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118HR1255 | Sgt. Isaac Woodard, Jr. and Sgt. Joseph H. Maddox GI Bill Restoration Act of 2023 | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1255 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1255
To amend title 38, United States Code, to extend to Black veterans of
World War II, and surviving spouses and certain direct descendants of
such veterans, eligibility for certain housing loans and educational
assistance administered by the Secretary of Veterans Affairs, and for
other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
February 28, 2023
Mr. Moulton (for himself and Mr. Clyburn) introduced the following
bill; which was referred to the Committee on Veterans' Affairs
_______________________________________________________________________
A BILL
To amend title 38, United States Code, to extend to Black veterans of
World War II, and surviving spouses and certain direct descendants of
such veterans, eligibility for certain housing loans and educational
assistance administered by the Secretary of Veterans Affairs, and for
other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Sgt. Isaac Woodard, Jr. and Sgt.
Joseph H. Maddox GI Bill Restoration Act of 2023''.
SEC. 2. FINDINGS.
Congress finds the following:
(1) African Americans played a pivotal role in the war
effort during World War II, with more than 1,200,000 African
Americans serving in the Armed Forces, and, by 1945,
approximately 1.9 percent of all officers in the Armed Forces
were African Americans.
(2) Following World War II, the Servicemen's Readjustment
Act of 1944 (58 Stat. 284, commonly known as the ``GI Bill'')
offered substantial material benefits to 16,000,000 veterans to
assist them in reintegrating into civil society.
(3) The GI Bill offered a range of economic and educational
benefits administered by the Federal Government through the
Secretary of the Veterans Administration, including monetary
assistance to access higher education, government guarantees
for housing loans, unemployment allowances, and civilian
workforce reentry assistance.
(4) Though the legislative text of the GI Bill was race
neutral, the administration of benefits through national,
State, and local Veterans Administration offices resulted in a
pattern of discrimination against racial minorities, especially
African Americans.
(5) Veterans Administration benefits counselors denied
African Americans access to educational benefits at certain
universities and funneled applicants into industrial and
vocational schools rather than higher education opportunities,
with just 6 percent of African-American veterans of World War
II earning a college degree, compared to 19 percent of White
veterans of World War II.
(6) In administering its housing guaranty program, the
Veterans Administration adopted the Federal Housing
Administration's racial exclusion programs, also known as
redlining, which excluded a significant number of African
Americans from taking full advantage of the housing guaranty
program.
(7) The GI Bill created substantial economic growth and
wealth accumulation for those who could benefit, but
discriminatory administration of the program prevented many
African-American veterans of World War II from enjoying the
full economic prosperity of the post-war period.
SEC. 3. HOUSING LOANS GUARANTEED BY THE SECRETARY OF VETERANS AFFAIRS
FOR BLACK VETERANS OF WORLD WAR II AND SURVIVORS AND
CERTAIN DIRECT DESCENDANTS OF SUCH VETERANS.
(a) Establishment.--Chapter 37 of title 38, United States Code, is
amended as follows:
(1) Definition.--Section 3701(b) of such title is amended
by adding at the end the following new paragraphs:
``(8) The term `veteran' also includes, for purposes of
housing loans, an individual who--
``(A) is Black;
``(B) served on active duty as a member of the
Armed Forces during World War II; and
``(C) certifies to the Secretary that such
individual was denied a specific benefit under the
Servicemen's Readjustment Act of 1944 (58 Stat. 284) on
the basis of race.
``(9) The term `veteran' also includes, for purposes of
housing loans, an individual who--
``(A) is the surviving spouse, child, grandchild,
or other direct descendant of a veteran described in
paragraph (8);
``(B) certifies to the Secretary that such veteran
described in paragraph (8) was denied a specific
benefit under the Servicemen's Readjustment Act of 1944
(58 Stat. 284) on the basis of race; and
``(C) is living on the date of the enactment of the
Sgt. Isaac Woodard, Jr. and Sgt. Joseph H. Maddox GI
Bill Restoration Act of 2023.''.
(2) Basic entitlement.--Section 3702(a)(2)(E) of such title
is amended by adding at the end the following new subparagraph:
``(H) Each individual--
``(i) described in paragraph (8) or (9) of section
3701(b) of this title; and
``(ii) who applies for a housing loan during the
five-year period beginning on the date of the enactment
of the Sgt. Isaac Woodard, Jr. and Sgt. Joseph H.
Maddox GI Bill Restoration Act of 2023.''.
(b) Deadline.--The Secretary shall carry out the amendment made by
this section not later than 90 days after the date of the enactment of
this Act.
(c) Regulations.--The Secretary of Veterans Affairs shall prescribe
regulations to carry out the amendments made by this section.
(d) GAO Report.--Not later than one year after the deadline under
subsection (b), the Comptroller General of the United States shall
submit to Congress a report regarding--
(1) the number of individuals who received housing loan
benefits pursuant to the amendments made by this section; and
(2) the total value of housing loan benefits administered
by the Secretary pursuant to the amendments made by this
section.
SEC. 4. EDUCATIONAL ASSISTANCE FOR SURVIVORS AND CERTAIN DIRECT
DESCENDANTS OF BLACK VETERANS OF WORLD WAR II.
(a) Entitlement.--Subsection (b) of section 3311 of title 38,
United States Code, is amended by adding at the end the following new
paragraph:
``(12) An individual--
``(A) described in section 3701(b)(9) of this
title; and
``(B) who applies for educational assistance under
this chapter during the five-year period beginning on
the date of the enactment of the Sgt. Isaac Woodard,
Jr. and Sgt. Joseph H. Maddox GI Bill Restoration Act
of 2023.''.
(b) Deadline.--The Secretary shall carry out the amendment made by
this section not later than 90 days after the date of the enactment of
this Act.
(c) Regulations.--The Secretary of Veterans Affairs shall prescribe
regulations to carry out the amendment made by this section.
(d) GAO Report.--Not later than one year after the deadline under
subsection (b), the Comptroller General of the United States shall
submit to Congress a report regarding--
(1) the number of individuals who received educational
assistance pursuant to the amendment made by this section; and
(2) the total amount of educational assistance paid by the
Secretary pursuant to the amendment made by this section.
SEC. 5. BLUE RIBBON PANEL ON BENEFITS AND ASSISTANCE FOR FEMALE AND
MINORITY VETERANS.
(a) Establishment.--Not later than 30 days after the date of the
enactment of this Act, the Secretary of Veterans Affairs shall,
pursuant to the Federal Advisory Committee Act (Public Law 92-463; 5
U.S.C. App.), appoint a panel of independent experts on--
(1) inequities in the distribution of benefits and
assistance administered by the Secretary; and
(2) military service by female and minority members of the
Armed Forces.
(b) Duties.--The panel shall develop recommendations regarding
additional benefits and assistance for individuals described in
subsection (a)(2), and related legislation.
(c) Report.--Not later than one year after the date of the
enactment of this Act, the panel shall submit to Congress and the
President a report containing the recommendations developed under this
section.
<all>
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118HR1256 | Veterans Health Administration Leadership Transformation Act | [
[
"M001214",
"Rep. Mrvan, Frank J. [D-IN-1]",
"sponsor"
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[
"M001210",
"Rep. Murphy, Gregory [R-NC-3]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1256 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1256
To amend title 38, United States Code, to make certain improvements in
the laws relating to the appointment of the Under Secretary of Health
and Assistant Under Secretaries of Health of the Department of Veterans
Affairs, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
February 28, 2023
Mr. Mrvan introduced the following bill; which was referred to the
Committee on Veterans' Affairs
_______________________________________________________________________
A BILL
To amend title 38, United States Code, to make certain improvements in
the laws relating to the appointment of the Under Secretary of Health
and Assistant Under Secretaries of Health of the Department of Veterans
Affairs, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Veterans Health Administration
Leadership Transformation Act''.
SEC. 2. UNDER SECRETARY OF HEALTH OF DEPARTMENT OF VETERANS AFFAIRS.
(a) Term of Under Secretary.--Section 305(a)(1) of title 38, United
States Code, is amended by adding at the end the following new
sentence: ``An individual appointed to serve as the Under Secretary of
Health shall be appointed for a term of five years.''.
(b) Number of Assistant Under Secretaries of Health.--Subsection
(a)(3) of section 7306 of such title is amended--
(1) by striking ``Not to exceed eight'' and inserting ``As
many''; and
(2) by inserting ``as the Secretary determines necessary''
after ``Health''.
(c) Elimination of Certain Requirements for Assistant Under
Secretaries.--Such section is further amended--
(1) by striking subsection (b);
(2) by redesignating subsections (c) through (g) as
subsections (b) through (f), respectively; and
(3) in subsection (c), as so redesignated, by striking
``subsection (e)'' and inserting ``subsection (d)''.
<all>
</pre></body></html>
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|
118HR1257 | Reducing Helicopter Noise in the District of Columbia Act | [
[
"N000147",
"Del. Norton, Eleanor Holmes [D-DC-At Large]",
"sponsor"
]
] | <p><b>Reducing Helicopter Noise in the District of Columbia Act</b></p> <p>This bill requires helicopters and other rotorcraft in the District of Columbia to fly at the maximum altitude permitted by the Federal Aviation Administration unless an exception applies. The exceptions specified in the bill allow for lower altitude flights if necessary to</p> <ul> <li>ensure aviation safety,</li> <li>transport the President or Vice President,</li> <li>protect patients in medical-related flights,</li> <li>take off or land, or</li> <li>engage in active law enforcement or rescue operations.</li> </ul> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1257 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1257
To direct the Secretary of Transportation, acting through the
Administrator of the Federal Aviation Administration, to amend certain
regulations to require all helicopters and rotorcraft to fly at the
maximum altitude permitted by the Federal Aviation Administration in
the District of Columbia, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
February 28, 2023
Ms. Norton introduced the following bill; which was referred to the
Committee on Transportation and Infrastructure
_______________________________________________________________________
A BILL
To direct the Secretary of Transportation, acting through the
Administrator of the Federal Aviation Administration, to amend certain
regulations to require all helicopters and rotorcraft to fly at the
maximum altitude permitted by the Federal Aviation Administration in
the District of Columbia, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Reducing Helicopter Noise in the
District of Columbia Act''.
SEC. 2. HELICOPTER NOISE REDUCTION.
(a) In General.--Not later than 180 days after the date of
enactment of this Act, the Secretary of Transportation, acting through
the Administrator of the Federal Aviation Administration, shall amend
such regulations as are necessary to require all helicopters and
rotorcraft in the District of Columbia to fly at the maximum altitude
permitted by the Federal Aviation Administration in the District of
Columbia.
(b) Exceptions.--In amending regulations under subsection (a), the
Secretary of Transportation shall exempt the following activities:
(1) Ensuring the safe operation of the helicopter or
rotorcraft and any other aircraft.
(2) Transporting the President or Vice President.
(3) Protecting the health of a patient in a medical
helicopter or rotorcraft.
(4) Taking off or landing a helicopter or rotorcraft.
(5) During an active law enforcement or rescue operation.
<all>
</pre></body></html>
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118HR1258 | Protecting Gun Rights and Due Process Act | [
[
"P000605",
"Rep. Perry, Scott [R-PA-10]",
"sponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1258 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1258
To provide adequate protections for gun owners, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
February 28, 2023
Mr. Perry introduced the following bill; which was referred to the
Committee on the Judiciary, and in addition to the Committees on
Appropriations, Veterans' Affairs, Ways and Means, and Energy and
Commerce, for a period to be subsequently determined by the Speaker, in
each case for consideration of such provisions as fall within the
jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To provide adequate protections for gun owners, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Protecting Gun Rights and Due
Process Act''.
SEC. 2. DEFINITIONS RELATING TO MENTAL HEALTH.
(a) Title 18 Definitions.--Chapter 44 of title 18, United States
Code, is amended--
(1) in section 921(a), by adding at the end the following:
``(38)(A) The term `has been adjudicated mentally
incompetent or has been committed to a psychiatric hospital',
with respect to a person--
``(i) means the person is the subject of an order
or finding by a Federal, State, or local judicial
officer or court--
``(I) that was issued after a hearing--
``(aa) of which the person received
actual notice; and
``(bb) at which the person had an
opportunity to participate with
counsel; and
``(II) that found that the person, as a
result of marked subnormal intelligence, mental
impairment, mental illness, mental
incompetency, mental condition, or mental
disease--
``(aa) was guilty but mentally ill
in a criminal case, in a jurisdiction
that provides for such a verdict;
``(bb) was not guilty in a criminal
case by reason of insanity or mental
disease or defect;
``(cc) was incompetent to stand
trial in a criminal case; or
``(dd) was not guilty by reason of
lack of mental responsibility under
section 850a of title 10 (article 50a
of the Uniform Code of Military
Justice); and
``(ii) does not mean--
``(I) an admission to a psychiatric
hospital for observation; or
``(II) a voluntary admission to a
psychiatric hospital.
``(B) For the purposes of this paragraph, the term `order
or finding' does not include--
``(i) an order or finding that has expired, been
dismissed, or expunged;
``(ii) an order or finding that is no longer
applicable because a judicial officer or court has
found that the person who is the subject of the order
or finding--
``(I) does not present a danger to himself
or herself or to others;
``(II) has been restored to sanity or cured
of mental disease or defect;
``(III) has been restored to competency; or
``(IV) no longer requires involuntary
inpatient or outpatient treatment by a
psychiatric hospital; or
``(iii) an order or finding with respect to which
the person who is subject to the order or finding has
been granted relief from disabilities under section
925(c) of this title, under a program described in
section 101(c)(2)(A) or 105 of the NICS Improvement
Amendments Act of 2007 (34 U.S.C. 40911(c)(2)(A); 34
U.S.C. 40915), or under any other State-authorized
relief from disabilities program of the State in which
the original commitment or adjudication occurred.
``(C) For the purposes of this paragraph, the term `actual
notice' means notice that was served to the individually
personally and does not mean notice by publication or other
general means.
``(39) The term `psychiatric hospital' includes a mental
health facility, a mental hospital, a sanitarium, or a
psychiatric facility, including a psychiatric ward in a general
hospital.''; and
(2) in section 922--
(A) in subsection (d)(4)--
(i) by striking ``as a mental defective''
and inserting ``mentally incompetent''; and
(ii) by striking ``any mental institution''
and inserting ``a psychiatric hospital''; and
(B) in subsection (g)(4)--
(i) by striking ``as a mental defective or
who has'' and inserting ``mentally incompetent
or has''; and
(ii) by striking ``mental institution'' and
inserting ``psychiatric hospital''.
(b) Technical and Conforming Amendments.--The NICS Improvement
Amendments Act of 2007 (34 U.S.C. 40902 et seq.) is amended--
(1) by striking ``as a mental defective'' each place that
term appears and inserting ``mentally incompetent'';
(2) by striking ``mental institution'' each place that term
appears and inserting ``psychiatric hospital'';
(3) in section 101(c)--
(A) in paragraph (1), in the matter preceding
subparagraph (A), by striking ``to the mental health of
a person'' and inserting ``to whether a person is
mentally incompetent''; and
(B) in paragraph (2)--
(i) in subparagraph (A)(i), by striking
``to the mental health of a person'' and
inserting ``to whether a person is mentally
incompetent''; and
(ii) in subparagraph (B), by striking ``to
the mental health of a person'' and inserting
``to whether a person is mentally
incompetent''; and
(4) in section 102(c)(3)--
(A) in the paragraph heading, by striking ``as a
mental defective or committed to a mental institution''
and inserting ``as mentally incompetent or committed to
a mental institution''; and
(B) by striking ``mental institutions'' and
inserting ``psychiatric hospitals''.
SEC. 3. PROTECTING THE SECOND AMENDMENT RIGHTS OF VETERANS.
(a) Definition.--In this section, the term ``covered veteran''
means a person who, on the day before the date of enactment of this
Act, is considered to have been adjudicated as mentally incompetent or
committed to a psychiatric hospital under subsection (d)(4) or (g)(4)
of section 922 of title 18, United States Code, as a result of having
been found by the Secretary of Veterans Affairs to be mentally
incompetent.
(b) Review and Certification.--
(1) Review.--The Secretary of Veterans Affairs shall not
later than 90 days after the date of enactment of this Act,
conduct a review relating to each covered veteran to determine
whether the proceedings for the adjudication or commitment of
the covered veteran were conducted in accordance with, and
resulted in an order or finding described in, section
921(a)(38) of title 18, United States Code (as added by this
Act).
(2) Certification.--The Secretary of Veterans Affairs shall
certify that the proceedings under paragraph (1) were conducted
in accordance with, and resulted in an order or finding
described in, section 921(a)(38) of title 18, United States
Code (as added by this Act), ensure that the records of the
covered veteran used for purposes of any determination of
whether the covered veteran is disqualified from possessing or
receiving a firearm under subsection (g) or (n) of section 922
of title 18, United States Code, are modified to indicate that
the covered veteran has not been adjudicated mentally
incompetent or committed to a psychiatric hospital.
(c) Enforcement.--
(1) Identification of inaccurate records.--Not later than
January 1 of each year, the Attorney General shall--
(A) review the record of each person who is
considered to have been adjudicated mentally
incompetent or committed to a psychiatric hospital by
the Secretary of Veterans Affairs under subsection
(d)(4) or (g)(4) of section 922 of title 18, United
States Code, as a result of having been found by the
Secretary of Veterans Affairs to be mentally
incompetent;
(B) identify each record reviewed under
subparagraph (A) that does not include documentation
indicating that the proceedings for the adjudication or
commitment were conducted in accordance with, and
resulted in an order or finding described in section
921(a)(38) of title 18, United States Code, as added by
this Act; and
(C) submit to the Secretary of the Treasury and the
Committee on the Judiciary and the Committee on
Veterans' Affairs of the House of Representatives and
the Committee on the Judiciary and the Committee on
Veterans' Affairs of the Senate a report providing the
number of records identified under subparagraph (B) in
the previous year.
(2) Rescission.--Effective on the date on which the
Attorney General submits a report under paragraph (1)(C), there
is rescinded from the unobligated balances in the
appropriations account appropriated under the heading ``general
administration'' under the heading ``Departmental
Administration'' under the heading ``DEPARTMENT OF VETERANS
AFFAIRS'' the amount equal to the product of--
(A) the number of records that the report states
were identified by the Attorney General under paragraph
(1)(B); and
(B) $10,000.
(d) Appointment of Fiduciaries.--
(1) In general.--Chapter 55 of title 38, United States
Code, is amended by adding at the end the following:
``Sec. 5511. Use of determinations.
``No determination by the Secretary that benefits under this title
to which an individual is entitled shall be paid to a fiduciary shall
be considered to be a determination that the individual has been
adjudicated mentally incompetent for purposes of subsections (d)(4) and
(g)(4) of section 922 of title 18.''.
(2) Clerical amendment.--The table of sections for chapter
55 of title 38, United States Code, is amended by adding at the
end the following:
``5511. Use of determinations.''.
SEC. 4. USE OF DETERMINATIONS MADE BY THE COMMISSIONER OF SOCIAL
SECURITY.
(a) Title II.--Section 205(j) of the Social Security Act (42 U.S.C.
405(j)) is amended by adding at the end the following:
``(11) No determination by the Commissioner of Social Security with
respect to an individual, including a determination that benefits under
this title to which such individual is entitled shall be paid to a
representative payee, shall be considered to be a determination that
the individual has been adjudicated mentally incompetent for purposes
of subsection (d)(4) or (g)(4) of section 922 of title 18, United
States Code.''.
(b) Title XVI.--Section 1631(a)(2) of such Act (42 U.S.C.
1383(a)(2)) is amended by adding at the end the following:
``(J) No determination by the Commissioner of Social Security with
respect to an individual, including a determination that benefits under
this title to which such individual is entitled shall be paid to a
representative payee, shall be considered to be a determination that
the individual has been adjudicated mentally incompetent for purposes
of subsection (d)(4) or (g)(4) of section 922 of title 18, United
States Code.''.
(c) Enforcement.--
(1) Identification of inaccurate records.--Not later than
January 1 of each year, the Attorney General shall--
(A) review the record of each person who is
considered to have been adjudicated mentally
incompetent or committed to a psychiatric hospital
under subsection (d)(4) or (g)(4) of section 922 of
title 18, United States Code, as a result of a
determination by the Commissioner of Social Security
Administration;
(B) identify each such record that does not include
documentation indicating that the proceedings for the
adjudication or commitment were conducted in accordance
with, and resulted in an order or finding described in,
section 921(a)(38) of title 18, United States Code, as
added by this Act; and
(C) submit to the Secretary of the Treasury and
Congress a report providing the number of records
identified under subparagraph (B).
(2) Rescission.--
(A) In general.--Effective on the date on which the
Attorney General submits a report under paragraph
(1)(C), there is rescinded from the unobligated
balances in the Federal Old-Age and Survivors Insurance
Trust Fund, the Federal Disability Insurance Trust
Fund, the Federal Hospital Insurance Trust Fund, and
the Federal Supplementary Medical Insurance Trust Fund,
on a pro rata basis, the amount equal to the product
of--
(i) the number of records that the report
states were identified by the Attorney General
under paragraph (1)(B); and
(ii) $10,000.
(B) Treatment of amounts.--Amounts rescinded under
subparagraph (A) shall be deemed to have been expended
for costs described in section 201(g)(1) of the Social
Security Act (42 U.S.C. 401(g)(1)).
SEC. 5. STATE HEALTH REPORTS.
Section 102(c)(3) of the NICS Improvement Amendments Act of 2007
(18 U.S.C. 922 note) is amended by adding at the end the following: ``A
report made available by a State indicating that a person has been
adjudicated as mentally incompetent or committed to a mental
institution shall not be used for purposes of any determination of
whether a person is disqualified from possessing or receiving a firearm
under subsection (g) or (n) of section 922 of title 18, United States
Code, unless the Attorney General determines that the proceedings for
the adjudication or commitment were conducted in accordance with, and
resulted in an order or finding described in, section 921(a)(38) of
title 18, United States Code, and that the State has provided clear and
convincing evidence that the person poses an imminent and significant
danger.''.
SEC. 6. APPLICABILITY OF AMENDMENTS.
With respect to any record of a person prohibited from possessing
or receiving a firearm under subsection (d)(4) or (g)(4) of section 922
of title 18, United States Code, before the date of enactment of this
Act, the Attorney General shall remove such a record from the National
Instant Criminal Background Check System--
(1) upon being made aware that the person is no longer
considered as adjudicated mentally incompetent or committed to
a psychiatric hospital according to the criteria under
paragraph (38)(A)(i)(II) of section 921(a) of title 18, United
States Code (as added by this Act), and is therefore no longer
prohibited from possessing or receiving a firearm;
(2) upon being made aware that any order or finding that
the record is based on is an order or finding described in
paragraph (38)(B) of section 921(a) of title 18, United States
Code (as added by this Act); or
(3) upon being made aware that the person has been found
competent to possess a firearm after an administrative or
judicial review under section 5511 of title 38, United States
Code (as added by this Act).
<all>
</pre></body></html>
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|
118HR1259 | HITS Act | [
[
"S001156",
"Rep. Sánchez, Linda T. [D-CA-38]",
"sponsor"
],
[
"E000298",
"Rep. Estes, Ron [R-KS-4]",
"cosponsor"
],
[
"N000147",
"Del. Norton, Eleanor Holmes [D-DC-At Large]",
"cosponsor"
],
[
"Q000023",
"Rep. Quigley, Mike [D-IL-5]",
"cosponsor"
],
[
"M000312",
"Rep. McGovern, James P. [D-MA-2]",
"cosponsor"
],
[
"P000613",
"Rep. Panetta, Jimmy [D-CA-19]",
"cosponsor"
],
[
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"cosponsor"
],
[
"S001150",
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"cosponsor"
],
[
"C001131",
"Rep. Casar, Greg [D-TX-35]",
"cosponsor"
]
] | <p><b>Help Independent Tracks Succeed Act or the HITS Act</b></p> <p>This bill permits taxpayers to treat as currently deductible expenses the cost of qualified sound recording productions not exceeding $150,000 in a taxable year. The bill defines <i>qualified sound recording production</i> as certain sound recordings produced and recorded in the United States. </p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1259 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1259
To amend the Internal Revenue Code of 1986 to provide for an election
to expense certain qualified sound recording costs otherwise chargeable
to capital account.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
February 28, 2023
Ms. Sanchez (for herself and Mr. Estes) introduced the following bill;
which was referred to the Committee on Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to provide for an election
to expense certain qualified sound recording costs otherwise chargeable
to capital account.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Help Independent Tracks Succeed
Act'' or the ``HITS Act''.
SEC. 2. TREATMENT OF CERTAIN QUALIFIED SOUND RECORDING PRODUCTIONS.
(a) Election To Treat Costs as Expenses.--Section 181(a)(1) of the
Internal Revenue Code of 1986 is amended by striking ``qualified film
or television production, and any qualified live theatrical
production,'' and inserting ``qualified film or television production,
any qualified live theatrical production, and any qualified sound
recording production''.
(b) Dollar Limitation.--Section 181(a)(2) of such Code is amended
by adding at the end the following new paragraph:
``(C) Qualified sound recording production.--
Paragraph (1) shall not apply to so much of the
aggregate cost of any qualified sound recording
production, or to so much of the aggregate, cumulative
cost of all such qualified sound recording productions
in the taxable year, as exceeds $150,000.''.
(c) No Other Deduction or Amortization Deduction Allowable.--
Section 181(b) of such Code is amended by striking ``qualified film or
television production or any qualified live theatrical production'' and
inserting ``qualified film or television production, any qualified live
theatrical production, or any qualified sound recording production''.
(d) Election.--Section 181(c)(1) of such Code is amended by
striking ``qualified film or television production or any qualified
live theatrical production'' and inserting ``qualified film or
television production, any qualified live theatrical production, or any
qualified sound recording production''.
(e) Qualified Sound Recording Production Defined.--Section 181 of
such Code is amended by redesignating subsections (f) and (g) as
subsections (g) and (h), respectively, and by inserting after
subsection (e) the following new subsection:
``(f) Qualified Sound Recording Production.--For purposes of this
section, the term `qualified sound recording production' means a sound
recording (as defined in section 101 of title 17, United States Code)
produced and recorded in the United States.''.
(f) Bonus Depreciation.--
(1) Qualified sound recording production as qualified
property.--Section 168(k)(2)(A)(i) of such Code is amended--
(A) by striking ``or'' at the end of subclause
(IV), by adding ``or'' at the end of subclause (V), and
by inserting after subclause (V) the following:
``(VI) which is a qualified sound
recording production (as defined in
subsection (f) of section 181) for
which a deduction would have been
allowable under section 181 without
regard to subsections (a)(2) and (h) of
such section or this subsection,''; and
(B) in subclauses (IV) and (V) (as amended) by
striking ``without regard to subsections (a)(2) and
(g)'' both places it appears and inserting ``without
regard to subsections (a)(2) and (h)''.
(2) Production placed in service.--Section 168(k)(2)(H) of
such Code is amended by striking ``and'' at the end of clause
(i), by striking the period at the end of clause (ii) and
inserting ``, and'', and by adding after clause (ii) the
following:
``(iii) a qualified sound recording
production shall be considered to be placed in
service at the time of initial release or
broadcast.''.
(g) Conforming Amendments.--
(1) The heading for section 181 of such Code is amended to
read as follows: ``treatment of certain qualified
productions.''.
(2) The table of sections for part VI of subchapter B of
chapter 1 of such Code is amended by striking the item relating
to section 181 and inserting the following new item:
``Sec. 181. Treatment of certain qualified productions.''.
(h) Effective Date.--The amendments made by this section shall
apply to productions commencing in taxable years ending after the date
of the enactment of this Act.
<all>
</pre></body></html>
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118HR126 | Students Voicing Opinions in Today’s Elections (VOTE) Act | [
[
"G000553",
"Rep. Green, Al [D-TX-9]",
"sponsor"
]
] | <p><strong>Students Voicing Opinions in Today's Elections (VOTE) Act</strong></p> <p>This bill directs the Election Assistance Commission to carry out a pilot program providing funds, during FY2023, to local educational agencies (LEAs) for initiatives that provide 12th graders with voter registration information.</p> <p>LEAs must consult with their state and local election officials in developing the initiatives.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 126 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 126
To direct the Election Assistance Commission to carry out a pilot
program under which the Commission shall provide funds to local
educational agencies for initiatives to provide voter registration
information to secondary school students in the 12th grade.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 9, 2023
Mr. Green of Texas introduced the following bill; which was referred to
the Committee on House Administration
_______________________________________________________________________
A BILL
To direct the Election Assistance Commission to carry out a pilot
program under which the Commission shall provide funds to local
educational agencies for initiatives to provide voter registration
information to secondary school students in the 12th grade.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Students Voicing Opinions in Today's
Elections (VOTE) Act''.
SEC. 2. PILOT PROGRAM FOR PROVIDING VOTER REGISTRATION INFORMATION TO
SECONDARY SCHOOL STUDENTS PRIOR TO GRADUATION.
(a) Pilot Program.--The Election Assistance Commission (hereafter
in this Act referred to as the ``Commission'') shall carry out a pilot
program under which the Commission shall provide funds during fiscal
year 2023 to eligible local educational agencies for initiatives to
provide information on registering to vote in elections for public
office to secondary school students in the 12th grade.
(b) Eligibility.--A local educational agency is eligible to receive
funds under the pilot program under this Act if the agency submits to
the Commission, at such time and in such form as the Commission may
require, an application containing--
(1) a description of the initiatives the agency intends to
carry out with the funds;
(2) an estimate of the costs associated with such
initiatives; and
(3) such other information and assurances as the Commission
may require.
(c) Consultation With Election Officials.--A local educational
agency receiving funds under the pilot program shall consult with the
State and local election officials who are responsible for
administering elections for public office in the area served by the
agency in developing the initiatives the agency will carry out with the
funds.
(d) Definitions.--In this Act, the terms ``local educational
agency'' and ``secondary school'' have the meanings given such terms in
section 8101 of the Elementary and Secondary Education Act of 1965 (20
U.S.C. 7801).
SEC. 3. REPORTS.
(a) Reports by Recipients of Funds.--Not later than the expiration
of the 90-day period which begins on the date of the receipt of the
funds, each local educational agency receiving funds under the pilot
program under this Act shall submit a report to the Commission
describing the initiatives carried out with the funds and analyzing
their effectiveness.
(b) Report by Commission.--Not later than the expiration of the 60-
day period which begins on the date the Commission receives the final
report submitted by a local educational agency under subsection (a),
the Commission shall submit a report to Congress on the pilot program
under this Act.
SEC. 4. AUTHORIZATION OF APPROPRIATIONS.
There are authorized to be appropriated such sums as may be
necessary to carry out this Act.
<all>
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118HR1260 | SALT Relief Act | [
[
"S001222",
"Rep. Santos, George [R-NY-3]",
"sponsor"
]
] | <p><strong>SALT Relief Act </strong></p> <p>This bill increases from $10,000 to $50,000 the amount that an individual taxpayer may deduct as state and local taxes.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1260 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1260
To amend the Internal Revenue Code of 1986 to increase the limitation
on the deduction for State and local taxes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
February 28, 2023
Mr. Santos introduced the following bill; which was referred to the
Committee on Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to increase the limitation
on the deduction for State and local taxes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``SALT Relief Act''.
SEC. 2. INCREASE IN LIMITATION ON DEDUCTION FOR STATE AND LOCAL TAXES.
(a) In General.--Section 164(b)(6)(B) of the Internal Revenue Code
of 1986 is amended by striking ``$10,000 ($5,000'' and inserting
``$50,000 ($25,000''.
(b) Effective Date.--The amendment made by this section shall apply
to taxable years beginning after December 31, 2022.
<all>
</pre></body></html>
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118HR1261 | Federal Employees Sustainable Investment Act | [
[
"S001150",
"Rep. Schiff, Adam B. [D-CA-30]",
"sponsor"
],
[
"L000273",
"Rep. Leger Fernandez, Teresa [D-NM-3]",
"cosponsor"
],
[
"C001061",
"Rep. Cleaver, Emanuel [D-MO-5]",
"cosponsor"
],
[
"C001078",
"Rep. Connolly, Gerald E. [D-VA-11]",
"cosponsor"
],
[
"S001145",
"Rep. Schakowsky, Janice D. [D-IL-9]",
"cosponsor"
]
] | <p><strong>Federal Employees Sustainable Investment Act </strong></p> <p> This bill establishes a new fund—the Corporate Responsibility Stock Index Fund—as an investment option under the Thrift Savings Plan.</p> <p>The Corporate Responsibility Stock Index Fund must be invested in a stock portfolio designed to replicate the performance of a commonly recognized, passively managed index comprised of stocks that meet certain minimum criteria related to corporate responsibility.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1261 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1261
To amend title 5, United States Code, to provide for a corporate
responsibility investment option under the Thrift Savings Plan.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
February 28, 2023
Mr. Schiff (for himself, Ms. Leger Fernandez, Mr. Cleaver, Mr.
Connolly, and Ms. Schakowsky) introduced the following bill; which was
referred to the Committee on Oversight and Accountability
_______________________________________________________________________
A BILL
To amend title 5, United States Code, to provide for a corporate
responsibility investment option under the Thrift Savings Plan.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Federal Employees Sustainable
Investment Act''.
SEC. 2. CORPORATE RESPONSIBILITY STOCK INDEX FUND.
(a) Definition.--Section 8438(a) of title 5, United States Code, is
amended--
(1) by redesignating paragraphs (2) through (10) as
paragraphs (3) through (11), respectively;
(2) by inserting after paragraph (1) the following:
``(2) the term `Corporate Responsibility Stock Index Fund'
means the fund established under subsection (b)(1)(G).''; and
(3) in paragraph (10), as redesignated by paragraph (1) of
this subsection, by striking ``paragraph (8)(D)'' each place it
appears and inserting ``paragraph (9)(D)''.
(b) Establishment.--
(1) In general.--Section 8438(b)(1) of title 5, United
States Code, is amended--
(A) in subparagraph (E), by striking ``and'' at the
end;
(B) in subparagraph (F), by striking the period at
the end and inserting ``; and''; and
(C) by adding at the end the following:
``(G) a Corporate Responsibility Stock Index Fund as
provided under paragraph (6).''.
(2) Fund requirements.--Section 8438(b) of title 5, United
States Code, is amended by adding at the end the following:
``(6)(A)(i) The Board shall select a minimum of one index which is
a commonly recognized, passively managed index comprised of stocks
(from the United States or international equity markets) that have been
analyzed and selected based on criteria consistent with the purposes of
this paragraph.
``(ii) The criteria under clause (i) shall at a minimum include--
``(I) corporate governance;
``(II) environmental practices (including greenhouse gas
emissions and contribution to climate change);
``(III) workplace relations and benefits;
``(IV) product safety and impact;
``(V) international operations and human rights;
``(VI) involvement with repressive regimes; and
``(VII) community relations.
``(iii) The historical performance of each index selected under
this subparagraph shall be comparable to that of the other investment
funds and options available under this subsection.
``(B) The Corporate Responsibility Stock Index Fund shall be
invested in a portfolio designed to replicate the performance of the
index in subparagraph (A) (or, if more than one index is selected, the
overall average performance). The portfolio shall be designed such
that, to the extent practicable, the percentage of the Corporate
Responsibility Stock Index Fund that is invested in each stock is the
same as the percentage determined by dividing the aggregate market
value of all shares of that stock by the aggregate market value of all
shares of all stocks included in such index (or indexes).''.
<all>
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118HR1262 | CCU Parity Act of 2023 | [
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] | <p> <strong>CCU Parity Act of 2023 </strong></p> This bill increases the tax credit for carbon capture and use to match incentives for carbon capture and sequestration for both direct air capture and the power and industrial sectors. | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1262 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1262
To amend the Internal Revenue Code of 1986 to increase the applicable
dollar amount for qualified carbon oxide which is captured and utilized
for purposes of the carbon oxide sequestration credit.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
February 28, 2023
Mr. Schweikert (for himself and Ms. Sewell) introduced the following
bill; which was referred to the Committee on Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to increase the applicable
dollar amount for qualified carbon oxide which is captured and utilized
for purposes of the carbon oxide sequestration credit.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``CCU Parity Act of 2023''.
SEC. 2. INCREASE APPLICABLE DOLLAR AMOUNT FOR QUALIFIED CARBON OXIDE
WHICH IS CAPTURED AND UTILIZED.
(a) In General.--Section 45Q(b)(1)(A) of the Internal Revenue Code
of 1986 is amended--
(1) in clause (i), by striking subclause (II) and inserting
the following--
``(II) for purposes of paragraph
(4) of such subsection--
``(aa) with respect to any
qualified carbon oxide which is
captured and used in the manner
described in clause (i) of
paragraph (4)(B) of such
subsection, $12, and
``(bb) with respect to any
qualified carbon oxide which is
captured and utilized in the
manner described in clause (ii)
of paragraph (4)(B) of such
subsection, $17, and'', and
(2) in clause (ii), by striking subclause (II) and
inserting the following:
``(II) for purposes of paragraph
(4) of such subsection--
``(aa) with respect to any
qualified carbon oxide which is
captured and used in the manner
described in clause (i) of
paragraph (4)(B) of such
subsection, an amount equal to
the product of $12 and the
inflation adjustment factor for
such calendar year determined
under section 43(b)(3)(B) for
such calendar year, determined
by substituting `2025' for
`1990', and
``(bb) with respect to any
qualified carbon oxide which is
captured and utilized in the
manner described in clause (ii)
of paragraph (4)(B) of such
subsection, an amount equal to
the product of $17 and the
inflation adjustment factor for
such calendar year determined
under section 43(b)(3)(B) for
such calendar year, determined
by substituting `2025' for
`1990'.''.
(b) Effective Date.--The amendments made by this section shall
apply to carbon oxide captured and utilized after December 31, 2023.
<all>
</pre></body></html>
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118HR1263 | Transformation to Competitive Integrated Employment Act | [
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"cosponsor"
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],
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"cosponsor"
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"cosponsor"
],
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"D000629",
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"cosponsor"
],
[
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"cosponsor"
],
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"cosponsor"
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],
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] | <p><b>Transformation to Competitive Integrated Employment Act</b></p> <p>This bill addresses employment standards for individuals with disabilities. </p> <p>The bill directs the Department of Labor to award grants to states and certain eligible entities to assist them in transforming their business and program models to support individuals with disabilities by </p> <ul> <li>providing competitive integrated employment, </li> <li>assisting disabled individuals in finding and retaining work in such employment,</li> <li>providing integrated employment and integrated community participation and wraparound services for such individuals, and</li> <li>ensuring that such services comply with federal regulations for individuals receiving home and community-based services. </li> </ul> <p>The bill also prohibits the issuance of new special certificates that allow payment of subminimum wages to disabled individuals and phases out existing certificates over a four-year period. </p> <p>The bill directs Labor's Office of Disability Employment to award grants to provide technical assistance and other strategic support to employers transitioning from special certificates to competitive integrated employment for disabled individuals. </p> <p>Labor must contract with a nonprofit entity to conduct an evaluation of the impact of these transitions. <p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1263 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1263
To assist employers providing employment under special certificates
issued under section 14(c) of the Fair Labor Standards Act of 1938 in
transforming their business and program models to models that support
individuals with disabilities through competitive integrated
employment, to phase out the use of such special certificates, and for
other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
February 28, 2023
Mr. Scott of Virginia (for himself and Mrs. Rodgers of Washington)
introduced the following bill; which was referred to the Committee on
Education and the Workforce
_______________________________________________________________________
A BILL
To assist employers providing employment under special certificates
issued under section 14(c) of the Fair Labor Standards Act of 1938 in
transforming their business and program models to models that support
individuals with disabilities through competitive integrated
employment, to phase out the use of such special certificates, and for
other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Transformation to Competitive
Integrated Employment Act''.
SEC. 2. TABLE OF CONTENTS.
Sec. 1. Short title.
Sec. 2. Table of contents.
Sec. 3. Purposes.
TITLE I--COMPETITIVE INTEGRATED EMPLOYMENT TRANSFORMATION GRANT
PROGRAMS
Sec. 101. Program authorized.
Sec. 102. State grant program.
Sec. 103. Certificate holder grant program.
TITLE II--PHASE OUT OF SPECIAL CERTIFICATES UNDER SECTION 14(C) OF THE
FAIR LABOR STANDARDS ACT OF 1938
Sec. 201. Transition to fair wages for individuals with disabilities.
Sec. 202. Prohibition on new special certificates; sunset.
TITLE III--TECHNICAL ASSISTANCE AND DISSEMINATION
Sec. 301. Technical Assistance and dissemination.
TITLE IV--REPORTING AND EVALUATION
Sec. 401. Impact evaluation and reporting.
Sec. 402. Wage and hour reports.
TITLE V--GENERAL PROVISIONS
Sec. 501. Definitions.
Sec. 502. Authorization of appropriations.
SEC. 3. PURPOSES.
The purposes of this Act are to--
(1) assist employers with special certificates issued under
section 14(c) of the Fair Labor Standards Act of 1938 (29
U.S.C. 214(c)) to transform their business and program
operations to models that support individuals with disabilities
to find and retain work in competitive integrated employment;
(2) ensure individuals with disabilities, families of such
individuals, State and local governments, and other
stakeholders are involved in the transformations described in
paragraph (1);
(3) ensure individuals employed in programs using such
special certificates transition to competitive integrated
employment positions and, as needed, to integrated services
that support them in their homes and in community settings;
(4) identify models and processes for shifting business and
program models from such special certificates to competitive
integrated employment models and integrated community
participation and wraparound services, and to share that
information with other such special certificate holders, State
and local entities, and other service providers for individuals
with disabilities; and
(5) support States and local governments as they revise and
implement their Olmstead plans and local plans, respectively,
in order to improve competitive integrated employment outcomes
for individuals with disabilities through all State workforce
development systems.
TITLE I--COMPETITIVE INTEGRATED EMPLOYMENT TRANSFORMATION GRANT
PROGRAMS
SEC. 101. PROGRAM AUTHORIZED.
From the amounts appropriated to carry out this title, the
Secretary of Labor shall award grants under sections 102 and 103, on a
competitive basis, to States and eligible entities to assist employers
who were issued special certificates in transforming their business and
program models from providing employment using such special
certificates to business and program models that employ and support
individuals with disabilities by--
(1) providing competitive integrated employment, including
by compensating all employees of the employer at a rate that
is--
(A) not less than the higher of the rate specified
in section 6(a)(1) of the Fair Labor Standards Act of
1938 (29 U.S.C. 206(a)(1)) or the rate specified in the
applicable State or local minimum wage law; and
(B) not less than the customary rate paid by the
employer for the same or similar work performed by
other employees who are not individuals with
disabilities, and who are similarly situated in similar
occupations by the same employer and who have similar
training, experience, and skills;
(2) assisting individuals with disabilities who were
employed by the employer in finding and retaining work in
competitive integrated employment, which work may be with the
employer after such transformation or in another competitive
integrated employment setting;
(3) providing integrated community participation and
wraparound services for individuals with disabilities; and
(4) ensuring all such services and other non-employment
services offered under, or with assistance from, such a grant
comply with the requirements for home and community-based
services under the Home and Community-Based Services (HCBS)
final rule published on January 16, 2014 (79 Fed. Reg. 2948),
or a successor rule.
SEC. 102. STATE GRANT PROGRAM.
(a) Application.--
(1) In general.--To be eligible to receive a grant under
this section, a State shall submit an application to the
Secretary at such time, in such manner, and including such
information as the Secretary may reasonably require.
(2) Contents.--Each application submitted under paragraph
(1) shall include--
(A) a description of the status of the employers in
the State providing employment using special
certificates, including--
(i) the number of employers in the State
using special certificates to employ and pay
individuals with disabilities;
(ii) the number of employers described in
clause (i) that also employ individuals with
disabilities in competitive integrated
employment, which shall include employers
providing such employment in combination with
integrated services;
(iii) the number of employees employed
under a special certificate, disaggregated by--
(I) employer; and
(II) demographic characteristics,
including gender, race, ethnicity, and
type of disability, unless indicating
such characteristics would disclose
personally identifiable information;
(iv) the average, median, minimum, and
maximum number of hours such employees work per
week, disaggregated by employer, and reported
for the State as a whole; and
(v) the average, median, minimum, and
maximum hourly wage for such employees,
disaggregated by employer, and reported for the
State as a whole;
(B) a description of the activities of the State
with respect to competitive integrated employment for
individuals with disabilities, including, as
applicable--
(i) a copy of the State plan for carrying
out the Employment First initiative;
(ii) a copy of the Olmstead plan of the
State;
(iii) a description of activities related
to the development and promotion of ABLE
accounts; and
(iv) a description of the medical
assistance provided by the State through a
Medicaid buy-in eligibility pathway under
subclause (XV) or (XVI) of section
1902(a)(10)(A)(ii) of the Social Security Act
(42 U.S.C. 1396a(a)(10)(A)(ii)), including any
premiums or other cost sharing imposed on
individuals who enroll in the State Medicaid
program through such a pathway;
(C) a description of activities to be funded under
the grant, and the goals of such activities,
including--
(i) the process to be used to identify each
employer in the State that will transform its
business and program models from employing
individuals with disabilities using special
certificates to employing individuals with
disabilities in competitive integrated
employment settings, or a setting involving a
combination of competitive integrated
employment and integrated services;
(ii) the number of such employers in the
State that will carry out a transformation
described in clause (i);
(iii) the service delivery infrastructure
that will be implemented in the State to
support individuals with disabilities who have
been employed under special certificates
through such a transformation, including
providing enhanced integrated services to
support individuals with the most significant
disabilities;
(iv) a description of the process to
recruit and engage Federal, State, and local
governments and nonprofit and private employers
to hire individuals with disabilities into
competitive integrated employment who have been
employed under special certificates;
(v) the competitive integrated employment
and integrated services that will be
implemented in the State to support such
individuals;
(vi) a timeline for phasing out employment
using special certificates in the State, which
shall not extend past the date on which the
legal effect of such certificates expires under
section 14(c)(7) of the Fair Labor Standards
Act of 1938 (29 U.S.C. 214(c)(7)), as added by
title II;
(vii) a timeline for the expansion of
employers that will provide competitive
integrated employment, or a combination of
competitive integrated employment and
integrated services, to individuals with
disabilities who have been employed by such
employers under special certificates;
(viii) a description of the expanded
competitive integrated employment and
integrated services to be provided to such
individuals as a result of transformations
described in clause (i); and
(ix) a description of the process to be
used to engage stakeholders in such
transformations;
(D) a description of how the activities under the
grant will coordinate and align Federal, State, and
local programs, agencies, and funding in the
transformations described in subparagraph (C)(i);
(E) a description of the State's evaluation plan to
determine the social and economic impact of the grant,
including the impact (as measured throughout the
transformation and the 2-year period after the State
has phased out employment using special certificates)
on--
(i) the employment status of individuals
with disabilities in the State, including the
number of hours worked, average wages, and job
satisfaction, of such individuals; and
(ii) changes in provider capacity to
support competitive integrated employment and
integrated services;
(F) assurances that--
(i) the activities carried out under the
grant will result in each employer in the State
that provides employment using special
certificates on the date of enactment of this
Act transforming as described in subparagraph
(C)(i);
(ii) individuals with the most significant
disabilities, including intellectual and
developmental disabilities, who will be
affected by such a transformation will be given
priority in receiving the necessary competitive
integrated employment supports and integrated
services to succeed during and after such a
transformation;
(iii) each individual in the State who is
employed under a special certificate will, as a
result of such a transformation, be employed in
competitive integrated employment;
(iv) at a minimum, the State agencies
responsible for developmental disability
services, Medicaid, education, vocational
rehabilitation, mental health services,
transportation, and workforce development agree
to be partners in the goals of the grant;
(v) until the date that is 2 years after
the legal effect of special certificates
expires under section 14(c)(7) of the Fair
Labor Standards Act of 1938 (29 U.S.C.
214(c)(7)), as added by title II, the State
will comply with requirements of the Secretary
with respect to the collection of data, and
will require employers providing employment
under special certificates in the State to
comply with such requirements;
(vi) the State will cooperate with the
evaluation under title IV by providing all data
required and allow the evaluation of activities
under the grant;
(vii) the State will establish an advisory
council described in paragraph (3) to monitor
and guide the process of transforming business
and program models of employers in the State as
described in subparagraph (C)(i);
(viii) the State will cooperate with the
nonprofit entity carrying out technical
assistance and dissemination activities under
title III;
(ix) all integrated services and non-
employment services offered by employers in the
State will comply with--
(I) the requirements for home and
community-based services under the Home
and Community-Based Services (HCBS)
final rule published on January 16,
2014 (79 Fed. Reg. 2948), or a
successor rule;
(II) the holding of the Olmstead
decision; and
(III) the Americans with
Disabilities Act of 1990 (42 U.S.C.
12101 et seq.); and
(x) the State will disseminate information
to all individuals with disabilities employed
under special certificates regarding the
availability of--
(I) ABLE accounts and other asset
developmental options for individuals
with disabilities;
(II) the Ticket to Work and Self
Sufficiency Program established under
section 1148 of the Social Security Act
(42 U.S.C. 1320b-19); and
(III) other resources related to
benefits counseling for individuals
with disabilities who wish to or are
working in competitive integrated
employment settings; and
(G) such other information and assurances as the
Secretary may reasonably require.
(3) Members of the advisory council.--A State receiving a
grant under this section shall, for the purpose described in
paragraph (2)(F)(vii), establish an advisory council composed
of the following:
(A) Individuals with disabilities, including such
individuals with intellectual and developmental
disabilities, who are or were employed under a special
certificate, who shall comprise not less than 25
percent of the members.
(B) A family member of an individual with an
intellectual or developmental disability who is
employed under a special certificate.
(C) A family member of an individual with an
intellectual or developmental disability who is
employed in competitive integrated employment.
(D) An employer providing competitive integrated
employment.
(E) An employer providing employment under special
certificates.
(F) A representative of a nonprofit agency or
organization specializing in competitive integrated
employment.
(G) A representative of the State developmental
disability agency.
(H) A representative of the State vocational
rehabilitation agency, as such term is used under the
Rehabilitation Act of 1973 (29 U.S.C. 701 et seq.).
(I) A representative of an agency in the State
described in paragraph (6) or (7) of section 8501 of
title 41, United States Code.
(J) A representative of the State independent
living centers, as such term is used under the
Rehabilitation Act of 1973 (29 U.S.C. 701 et seq.).
(K) A representative of the State Council on
Developmental Disabilities, as defined in section 102
of the Developmental Disabilities Assistance and Bill
of Rights Act of 2000 (42 U.S.C. 15002).
(L) A representative of one of the State University
Centers for Excellence in Developmental Disabilities
Education, Research, and Service, established under
subtitle D of title I of the Developmental Disabilities
Assistance and Bill of Rights Act of 2000 (42 U.S.C.
15061 et seq.).
(M) A representative of the State protection and
advocacy system, as defined in section 102 of the
Developmental Disabilities Assistance and Bill of
Rights Act of 2000 (42 U.S.C. 15002).
(N) A representative of the State Medicaid office.
(O) Representatives of other State agencies and
disability organizations and other disability related
offices and groups with expertise in competitive
integrated employment.
(b) Geographic Diversity.--To the extent practicable, the Secretary
shall distribute grant funds under this section equitably among
geographic areas of the United States, and take into account rural and
urban diversity.
(c) Duration of Awards.--A grant under this section shall be
awarded for a period of 5 years.
(d) Limit on Award Number.--A State may only be awarded 1 grant
under this section.
(e) Amount of Awards.--A grant awarded under this section may not
be made in an amount that is less than $2,000,000, or more than
$10,000,000 for the 5 year grant period.
(f) Additional Funding for Supported Employment Services.--
(1) In general.--Title VI of the Rehabilitation Act of 1973
is amended--
(A) in section 603 (29 U.S.C. 795h)--
(i) in subsection (a), by adding at the end
the following:
``(3) References.--For purposes of this subsection, any
reference to sums or amounts appropriated under this title
shall not be considered to include the amounts appropriated
under section 611(e).'';
(ii) in subsection (c)--
(I) by inserting ``or a grant under
section 611'' after ``allotment under
this title''; and
(II) by inserting ``or such grant''
after ``such allotment''; and
(iii) in subsection (d)--
(I) by inserting ``or a grant under
section 611'' after ``allotment under
this title''; and
(II) by inserting ``or such grant''
after ``such allotment'';
(B) in section 604(b)(2) (29 U.S.C. 795i(b)(2)), by
inserting ``(including through a grant awarded under
section 611)'' after ``this title'';
(C) in section 610 (29 U.S.C. 795o), by inserting
``, except for section 611,'' after ``this title''; and
(D) by adding at the end the following:
``SEC. 611. ADDITIONAL FUNDING FOR CERTAIN STATES WITH COMPETITIVE
INTEGRATED EMPLOYMENT.
``(a) Grants.--From amounts appropriated under subsection (e), the
Secretary shall award a grant under this section to each eligible State
that submits an application under subsection (c) for the purposes
described in section 604.
``(b) Eligibility.--
``(1) In general.--A State is eligible for a grant under
this section for a fiscal year if the State--
``(A) is eligible for an allotment under section
603(a) for the fiscal year; and
``(B) has successfully completed a grant under
section 102 of the Transformation to Competitive
Integrated Employment Act during that fiscal year or
the preceding fiscal year, as determined under
paragraph (2).
``(2) Successfully completing a competitive integrated
employment grant.--A State has successfully completed a grant
under section 102 of the Transformation to Competitive
Integrated Employment Act if, at the conclusion of the 5-year
period of the grant, the Secretary determines--
``(A) the State has complied with all requirements
under such section for such grant;
``(B) the State has ceased issuing special
certificates under section 14(c) of the Fair Labor
Standards Act of 1938 (29 U.S.C. 214(c)); and
``(C) no special certificates issued under such
section have any force or effect.
``(c) Application.--A State seeking a grant under this section
shall submit an application to the Secretary at such time, in such
manner, and containing such information as the Secretary may reasonably
require, including information demonstrating the State has successfully
complied with the requirements under subsection (b)(2).
``(d) Awards.--
``(1) In general.--A grant to a State under this section
shall be awarded in an amount determined under paragraph (2)
for a fiscal year, except as provided under paragraph (3).
``(2) Amount.--Subject to available appropriations under
subsection (e), the amount of a grant under this section to a
State for a fiscal year shall be equal to 25 percent of the
amount allotted to such State under subsection (a) of section
603 for the preceding fiscal year (excluding any additional
amounts allotted to the State under subsection (b) of such
section).
``(3) Continued compliance.--If a State receiving a grant
under this section ceases compliance with subparagraph (B) or
(C) of subsection (b)(2) for a fiscal year--
``(A) no amounts shall be awarded through such
grant for such fiscal year; or
``(B) in a case in which such amounts have already
been awarded to the State for such fiscal year, the
State shall return to the Secretary such amounts.
``(e) Authorization of Appropriations.--There are authorized to be
appropriated for each of fiscal years 2028 through 2032 such sums as
may be necessary to carry out this section.''.
(2) Table of contents.--The table of contents in section
1(b) of the Rehabilitation Act of 1973 is amended by adding
after the item relating to section 610 the following:
``Sec. 611. Additional funding for certain States with competitive
integrated employment.''.
SEC. 103. CERTIFICATE HOLDER GRANT PROGRAM.
(a) In General.--To be eligible to receive a grant under this
section, an eligible entity shall submit an application to the
Secretary at such time, in such manner, and including such information
as the Secretary may reasonably require.
(b) Contents.--Each application submitted under subsection (a)
shall include--
(1) the status of the eligible entity's use of special
certificates to employ individuals with disabilities,
including--
(A)(i) the number of employees the eligible entity
employs using such special certificates at the time of
submission of the application;
(ii) the aggregate demographic profile of such
employees, including gender, race, and type of
disability of such employees, unless indicating such
demographic profile would disclose personally
identifiable information; and
(iii) an historical accounting, covering each of
the previous 4 fiscal years, of--
(I) the number of employees with a
disability working for a wage that is--
(aa) less than the higher of the
rate specified in section 6(a)(1) of
the Fair Labor Standards Act of 1938
(29 U.S.C. 206(a)(1)) or the rate
specified in the applicable State or
local minimum wage law; or
(bb) less than the customary rate
paid by the employer for the same or
similar work performed by other
employees who are not individuals with
disabilities, and who are similarly
situated in similar occupations by the
same employer and who have similar
training, experience, and skills;
(II) an aggregate demographic profile of
such employees including gender, race,
ethnicity, age, and type of disability;
(B) the average, minimum, maximum, and range of
hourly wages paid to employees employed using such
special certificates during the previous year;
(C) during the preceding 5 fiscal years, the number
of individuals with disabilities, disaggregated by
fiscal year, who have been transitioned by the eligible
entity from employment under such special certificates
to competitive integrated employment; and
(D) a description of the business and program
models (including the financial and organizational
structure) of the eligible entity that is using the
special certificates, including--
(i) the number and types of contracts the
entity has entered into during the preceding 5
fiscal years to supply goods or services and
under which individuals with or without
disabilities are employed;
(ii) the budget and the funding structure,
including all sources of funding, for the
preceding 5 fiscal years;
(iii) the human resource structure; and
(iv) the entities partnering with the
eligible entity as described in subsection
(h)(2);
(2) a description of activities to be funded under the
grant, and the goals of such activities, including--
(A) a description of the business and program
models of competitive integrated employment or a
combination of competitive integrated employment and
integrated services into which the models of the
eligible entity will transform, including the business
plan, employment structure, and leadership organization
of the eligible entity;
(B) a description of--
(i) the integrated services to be provided
by the eligible entity; or
(ii) the eligible entity's process for
referring an individual requiring such services
to a provider of such services to ensure that
the individual receives such services;
(C) after the transformation of the eligible
entity's business and program models as described in
subparagraph (A), the number of employees that will be
employed under such models;
(D) the date on which the eligible entity will
discontinue using special certificates, and the funding
structure the eligible entity will use to provide
competitive integrated employment or a combination of
such employment and integrated services; and
(E) the process to be used for the transformation
of the eligible entity's business and program models as
described in subparagraph (A), including--
(i) redesign of contracts;
(ii) changes in funding sources;
(iii) staff training on competitive
integrated employment support and practices;
(iv) input from key stakeholders, including
individuals with disabilities, their families,
and other local stakeholders; and
(v) a description of the individuals who
will be responsible for the development and
implementation of such process;
(3) a description of the process to recruit and engage
Federal, State, and local governments and nonprofit and private
employers to hire individuals with disabilities who have been
employed under special certificates;
(4) a timeline of activities to be implemented and goals to
be reached on at least a quarterly basis during the 3-year
grant period;
(5) a description of how the activities under the grant
will coordinate and align Federal, State, and local programs,
agencies, and funding in the transformation described in
paragraph (2)(A);
(6) assurances that--
(A) the activities carried out under the grant will
result in the transformation described in paragraph
(2)(A);
(B) individuals with disabilities who are employed
by the eligible entity under special certificates will
be employed in competitive integrated employment;
(C) the eligible entity will comply with the
requirements of the Secretary with respect to the
collection of data;
(D) the eligible entity will cooperate with the
evaluation described in title IV by providing all data
required and allow evaluation of the activities under
the grant; and
(E) the eligible entity will cooperate with the
nonprofit entity carrying out technical assistance and
dissemination required under title III;
(7) a description of the eligible entity's evaluation plan
to determine the impact of the grant;
(8) assurances of collaboration and support from all State
entities, including the State Medicaid agency, the State
developmental disability agency, the State vocational
rehabilitation agency, the State department of education, the
State board, the local board, and other State and local
governmental entities and organizations that support
transformations to providing competitive integrated employment
and integrated services for employees employed under a special
certificate; and
(9) such other information and assurances as the Secretary
may reasonably require.
(c) Geographic Diversity.--To the extent practicable, the Secretary
shall distribute grant funds under this section equitably among
geographic areas of the United States, and shall take into account
rural and urban diversity.
(d) Program Size.--To the extent practicable, the Secretary shall
distribute grant funds under this section equitably among eligible
entities providing employment using special certificates serving
different numbers of individuals.
(e) Duration of Awards.--
(1) Grant period.--A grant awarded under this section shall
be awarded for a period of 3 years.
(2) Grant cycles.--Grants shall be awarded under this
section in 2 grant cycles. Grants for the second grant cycle
shall be awarded not earlier than the end of the second year of
the first 3-year grant cycle.
(f) Limit on Award Number.--An eligible entity may only be awarded
1 grant total under this section.
(g) Amount of Awards.--A grant awarded under this section may not
be made in an amount that is less than $100,000, or more than $500,000,
for the 3-year grant period.
(h) Eligible Entity Defined.--In this title, the term ``eligible
entity'' means an entity that--
(1) employs individuals with disabilities under special
certificates and is located in a State that did not receive a
grant under section 102; and
(2) partners with at least 2 entities with experience
providing support to individuals with disabilities in
competitive integrated employment, such as--
(A) an employer providing competitive integrated
employment;
(B) a State developmental disability agency;
(C) a State mental health services agency;
(D) a representative of an agency described in
paragraph (6) or (7) of section 8501 of title 41,
United States Code;
(E) a representative of the State Council on
Developmental Disabilities, as defined in section 102
of the Developmental Disabilities Assistance and Bill
of Rights Act of 2000 (42 U.S.C. 15002);
(F) a representative of the State vocational
rehabilitation agency, as such term is used under the
Rehabilitation Act of 1973 (29 U.S.C. 701 et seq.);
(G) a representative of the State independent
living centers, as such term is used under the
Rehabilitation Act of 1973 (29 U.S.C. 701 et seq.);
(H) a representative of one of the State University
Centers for Excellence in Developmental Disabilities
Education, Research, and Service, established under
subtitle D of title I of the Developmental Disabilities
Assistance and Bill of Rights Act of 2000 (42 U.S.C.
15061 et seq.);
(I) a representative of the State protection and
advocacy system, as defined in section 102 of the
Developmental Disabilities Assistance and Bill of
Rights Act of 2000 (42 U.S.C. 15002); and
(J) a nonprofit agency or organization specializing
in competitive integrated employment.
TITLE II--PHASE OUT OF SPECIAL CERTIFICATES UNDER SECTION 14(C) OF THE
FAIR LABOR STANDARDS ACT OF 1938
SEC. 201. TRANSITION TO FAIR WAGES FOR INDIVIDUALS WITH DISABILITIES.
(a) In General.--Subparagraph (A) of section 14(c)(1) of the Fair
Labor Standards Act of 1938 (29 U.S.C. 214(c)(1)) is amended to read as
follows:
``(A) at a rate that equals, or exceeds, the greater of--
``(i)(I) 60 percent of the wage rate in effect
under section 6(a)(1), beginning on the effective date
described in section 201(b) of Transformation to
Competitive Integrated Employment Act;
``(II) 70 percent of the wage rate in effect under
section 6(a)(1), beginning 1 year after such effective
date;
``(III) 80 percent of the wage rate in effect under
section 6(a)(1), beginning 2 years after such effective
date;
``(IV) 90 percent of the wage rate in effect under
section 6(a)(1), beginning 3 years after such effective
date; and
``(V) the wage rate in effect under section
6(a)(1), beginning 4 years after such effective date;
or
``(ii) the wage rate in effect on the day before
the date of enactment of the Transformation to
Competitive Integrated Employment Act for the
employment, under a special certificate issued under
this paragraph, of the individual for whom the wage
rate is determined under this paragraph;''.
(b) Effective Date.--The amendment made by subsection (a) shall
take effect on the date that is 3 months after the date of enactment of
this Act.
SEC. 202. PROHIBITION ON NEW SPECIAL CERTIFICATES; SUNSET.
Section 14(c) of the Fair Labor Standards Act of 1938 (29 U.S.C.
214(c)) (as amended by section 201), is further amended by adding at
the end the following:
``(6) Prohibition on New Special Certificates.--Notwithstanding
paragraph (1), the Secretary shall not issue a special certificate
under this subsection to an employer that was not issued a special
certificate under this subsection before the date of enactment of the
Transformation to Competitive Integrated Employment Act.
``(7) Sunset.--Beginning on the day after the date that is 4 years
after the effective date described in section 201(b) of the
Transformation to Competitive Integrated Employment Act--
``(A) the authority to issue special certificates under
paragraph (1) shall expire; and
``(B) no special certificates issued under paragraph (1)
shall have any legal effect.''.
TITLE III--TECHNICAL ASSISTANCE AND DISSEMINATION
SEC. 301. TECHNICAL ASSISTANCE AND DISSEMINATION.
(a) Grant Authorized.--From the amounts appropriated for this
title, the Secretary (acting through the Office of Disability
Employment Policy of the Department of Labor in partnership with the
Employment and Training Administration of the Department of Labor), in
partnership with the Administration for Community Living of the
Department of Health and Human Services and the Office of Special
Education and Rehabilitative Services of the Department of Education,
shall award a grant to a nonprofit entity to--
(1)(A) provide technical assistance to employers who are
transforming from employing individuals with disabilities using
special certificates to providing competitive integrated
employment;
(B) identify and disseminate private and public sector
models of the transition described in subparagraph (A); and
(C) build a set of replicable strategies for employers
using special certificates to increase their use of evidence-
based practices in providing competitive integrated employment
and increase their options for providing competitive integrated
employment;
(2) collect and disseminate--
(A) evidence-based practices with respect to the
transformations described in paragraph (1)(A),
including practices that increase awareness of and
access to training materials from and opportunities
offered through the Office of Disability Employment
Policy of the Department of Labor; and
(B) evidence-based strategies for implementing the
aims of activities, intended to improve the quality of
integrated services to result in competitive integrated
employment for individuals with disabilities, carried
out--
(i) under the Workforce Innovation and
Opportunity Act (29 U.S.C. 3101 et seq.);
(ii) through settlement agreements made
pursuant to the employment requirements under
the Olmstead decision; or
(iii) through home and community-based
services described in the Home and Community-
Based Services (HCBS) final rule published on
January 16, 2014 (79 Fed. Reg. 2948), or a
successor rule;
(3) leverage and increase awareness of and access to
training materials and opportunities made available through
training and technical assistance investments of--
(A) the Office of Disability Employment Policy of
the Department of Labor;
(B) the Employment and Training Administration of
the Department of Labor;
(C) the Administration for Community Living of the
Department of Health and Human Services; and
(D) the Office of Special Education and
Rehabilitative Services of the Department of Education;
and
(4)(A) raise awareness of efforts in States to carry out
the Employment First initiative; and
(B) coordinate dissemination efforts related to ABLE
accounts and other financial asset development resources
through the ABLE National Resource Center and the Department of
the Treasury.
(b) Application.--
(1) In general.--To be eligible to receive a grant under
this section, a nonprofit entity shall submit an application to
the Secretary at such time, in such manner, and including such
information that the Secretary may reasonably require.
(2) Contents.--Each application submitted under paragraph
(1) shall include--
(A) a description of the nonprofit entity's
expertise in providing technical assistance that shall
include evidence of--
(i) knowledge of transforming business and
program models providing employment using
special certificates to models providing
competitive integrated employment and
integrated services;
(ii) knowledge of methods for supporting
employers, including employers not receiving a
grant under title I, to transform as described
in clause (i);
(iii) experience working with nonprofit,
for-profit, Federal, State, and local agencies
focusing on employment of youth and adults who
are individuals with disabilities; and
(iv) experience working with individuals
with disabilities and their families;
(B) a description of the nonprofit entity's
expertise in providing, collecting, compiling,
communicating, and disseminating information about
program and systems change for programs serving
individuals with disabilities that shall include--
(i) expertise documenting program change;
(ii) experience compiling recommended
practices related to program transformations;
(iii) expertise regarding competitive
integrated employment for youth and adults who
are individuals with disabilities;
(iv) expertise working with individuals
with disabilities and their families through
systems change procedures;
(v) expertise creating accessible products
to disseminate learned information, including
through web-based means;
(vi) experience creating accessible
websites to disseminate information;
(vii) experience working with nonprofit,
for-profit, Federal, State, and local agencies
focusing on employment of youth and adults who
are individuals with disabilities;
(viii) experience with assisting youth who
are individuals with disabilities in
transitioning from receiving services under the
Individuals with Disabilities Education Act (20
U.S.C. 1401 et seq.) to inclusive postsecondary
education and competitive integrated
employment; and
(ix) experience leveraging resources,
available through the Office of Disability
Employment Policy and the Employment and
Training Administration, that are designed to
provide effective and efficient services to job
seekers who are individuals with disabilities
in competitive integrated employment settings;
and
(C) a description of the individuals at the
nonprofit entity who will be responsible for carrying
out the activities under this title.
(3) Duration of award.--A grant under this section shall be
awarded for a period of 6 years, and shall be non-renewable.
(4) Nonprofit entity defined.--In this section, the term
``nonprofit entity'' means a nonprofit entity with expertise in
collecting, compiling, communicating, and disseminating
information about program and systems change for programs
serving individuals with disabilities.
TITLE IV--REPORTING AND EVALUATION
SEC. 401. IMPACT EVALUATION AND REPORTING.
(a) In General.--Not later than 6 months after the date of
enactment of this Act, the Secretary shall enter into a contract with a
nonprofit entity with experience in conducting evaluations of program
and systems change efforts to--
(1) conduct a multi-year evaluation on the impact of this
Act, including the amendments made by this Act, with respect to
individuals with disabilities (including such individuals
receiving a wage rate under section 14(c) of the Fair Labor
Standards Act of 1938 (29 U.S.C. 214(c)), as amended by title
II); and
(2) prepare the reports described in subsection (c).
(b) Evaluation.--In carrying out subsection (a)(1), the nonprofit
entity awarded a contract under this section shall evaluate--
(1) changes in wages and employment for individuals
described in subsection (a)(1); and
(2) actions taken by employers and States to comply with
the amendments made by title II and, in the case of an employer
or State receiving funds under title I, to comply with the
transformation requirements under such title.
(c) Reports.--The Secretary shall submit to the Committee on
Health, Education, Labor, and Pensions of the Senate and the Committee
on Education and the Workforce of the House of Representatives, the
following reports on the evaluation conducted under subsection (a)(1):
(1) An interim report on the evaluation, not later than 3
years after the evaluation commences under subsection (a)(1).
(2) A final report on such evaluation, not later than 18
months after the date on which the legal effect of special
certificates expire pursuant to paragraph (7) of section 14(c)
of the Fair Labor Standards Act of 1938 (29 U.S.C. 214(c)), as
added by title II.
SEC. 402. WAGE AND HOUR REPORTS.
(a) In General.--For each year of the 5-year period described in
section 14(c)(1)(A) of the Fair Labor Standards Act of 1938 (29 U.S.C.
214(c)(1)(A)), as amended by title II, the Secretary (acting through
the Administrator of the Wage and Hour Division), in coordination with
the Civil Rights Division of the Department of Justice, shall submit to
the Committee on Health, Education, Labor, and Pensions of the Senate
and the Committee on Education and the Workforce of the House of
Representatives, an annual report summarizing practices of employers
providing employment using special certificates, which, with respect to
the preceding year, shall include--
(1) the number of employees (of such employers) who are
individuals with disabilities and who are compensated at a rate
that is less than--
(A) the higher of the rate specified in section
6(a)(1) of the Fair Labor Standards Act of 1938 (29
U.S.C. 206(a)(1)) or the rate specified in the
applicable State or local minimum wage law; or
(B) the customary rate paid by the employer for the
same or similar work performed by other employees who
are not individuals with disabilities, and who are
similarly situated in similar occupations by the same
employer and who have similar training, experience, and
skills;
(2) the type of employment setting (such as segregated
employment or competitive integrated employment) and the
integrated services provided by such employers;
(3) the average hourly wage, minimum and maximum hourly
wage, and average hours worked per week of employees described
in paragraph (1), disaggregated by employer and by State;
(4) the aggregate demographic characteristics of employees
described in paragraph (1), including the gender, ethnicity,
race, and type of disability of such employees; and
(5) the number of employees who have transitioned from
employment provided under a special certificate to competitive
integrated employment, disaggregated by employer and by State.
(b) Report on Survey of Existing Special Certificate Holders.--Not
later than 1 year after the date of enactment of this Act, the
Secretary (acting through the Administrator of the Wage and Hour
Division) shall--
(1) survey not less than 10 percent of employers providing
employment to employees using special certificates, as of the
date of enactment of this Act, which shall include an
evaluation of--
(A) the training and support provided to such
employees to promote their transition to competitive
integrated employment;
(B) the actions taken by employers to identify
competitive integrated employment for such employees;
and
(C) the wages of such employees, including whether
such wages are at a rate that is less than--
(i) the higher of the rate specified in
section 6(a)(1) of the Fair Labor Standards Act
of 1938 (29 U.S.C. 206(a)(1)) or the rate
specified in the applicable State or local
minimum wage law; or
(ii) the customary rate paid by the
employer for the same or similar work performed
by other employees who are not individuals with
disabilities, and who are similarly situated in
similar occupations by the same employer and
who have similar training, experience, and
skills; and
(2) submit a report on the results of such survey to the
Committee on Health, Education, Labor, and Pensions of the
Senate, the Special Committee on Aging of the Senate, and the
Committee on Education and the Workforce of the House of
Representatives.
TITLE V--GENERAL PROVISIONS
SEC. 501. DEFINITIONS.
In this Act:
(1) ABLE account.--The term ``ABLE account'' has the
meaning given such term in section 529A(e)(6) of the Internal
Revenue Code of 1986.
(2) Competitive integrated employment.--The term
``competitive integrated employment'' has the meaning given the
term in section 7(5) of the Rehabilitation Act of 1973 (29
U.S.C. 705(5)).
(3) Disability.--The term ``disability'' includes any
intellectual, developmental, mental health, or other
disability.
(4) Integrated community participation and wraparound
services; integrated services.--
(A) In general.--Except as provided in subparagraph
(B), the terms ``integrated community participation and
wraparound services'' or ``integrated services'' mean
services for individuals with disabilities that are--
(i) designed to assist such individuals in
developing skills and abilities to reside
successfully in home and community-based
settings;
(ii) provided in accordance with a person-
centered written plan of care;
(iii) created using evidence-based
practices that lead to such individuals--
(I) maintaining competitive
integrated employment;
(II) achieving independent living;
or
(III) maximizing socioeconomic
self-sufficiency, optimal independence,
and full participation in the
community;
(iv) provided in a community location that
is not specifically intended for individuals
with disabilities;
(v) provided in a location that--
(I) allows the individuals
receiving the services to interact with
individuals without disabilities to the
fullest extent possible; and
(II) makes it possible for the
individuals receiving the services to
access community resources that are not
specifically intended for individuals
with disabilities and to have the same
opportunities to participate in the
community as individuals who do not
have a disability;
(vi) provided in multiple locations to
allow the individual receiving the services to
have options, thereby--
(I) optimizing individual
initiative, autonomy, and independence;
and
(II) facilitating choice regarding
services and supports, and choice
regarding the provider of such
services; and
(vii) in compliance with the Home and
Community-Based Services (HCBS) final rule
published on January 16, 2014 (79 Fed. Reg.
2948), or a successor rule.
(B) Exclusions.--The terms ``integrated community
participation and wraparound services'' or ``integrated
services'' shall not include a service provided in any
of the following settings:
(i) A nursing facility.
(ii) An institution for individuals with
mental diseases.
(iii) An intermediate care facility for
individuals with intellectual disabilities.
(iv) A congregate setting in which an
individual does not have the ability, at the
time preferred by the individual and in
accordance with other preferences of the
individual, to access services supporting the
full inclusion and engagement of the individual
in the greater community.
(5) Local board; local plan.--The terms ``local board'' and
``local plan'' have the meanings given such terms in section 3
of the Workforce Innovation and Opportunity Act (29 U.S.C.
3102).
(6) Olmstead decision.--The term ``Olmstead decision''
means the decision of the Supreme Court of the United States in
Olmstead v. L.C., 527 U.S. 581 (1999).
(7) Olmstead plan.--The term ``Olmstead plan'', with
respect to a State, means the plan of the State for complying
with the holding in the Olmstead decision.
(8) Individuals with disabilities.--The term ``individuals
with disabilities'' includes individuals described in section
14(c)(1) of the Fair Labor Standards Act of 1938 (29 U.S.C.
214(c)(1)).
(9) Secretary.--The term ``Secretary'' means the Secretary
of Labor.
(10) Special certificate.--The term ``special certificate''
means a special certificate issued under section 14(c) of the
Fair Labor Standards Act of 1938 (29 U.S.C. 214(c)).
(11) State.--The term ``State'' means each of the 50
States, the District of Columbia, the Commonwealth of Puerto
Rico, and the territory of Guam.
(12) State board.--The term ``State board'' has the meaning
given such term in section 3 of the Workforce Innovation and
Opportunity Act.
(13) Workforce development system.--The term ``workforce
development system'' has the meaning given such term in section
3 of the Workforce Innovation and Opportunity Act.
SEC. 502. AUTHORIZATION OF APPROPRIATIONS.
There are authorized to be appropriated to carry out this Act
(other than section 102(f)), $50,000,000 for each of fiscal years 2024
through 2029.
<all>
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118HR1264 | Commonsense Reporting Act of 2023 | [
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"S001172",
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[
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] | <p><b>Commonsense Reporting Act of 2023</b></p> <p>This bill addresses the eligibility verification process for the premium assistance tax credit and cost-sharing subsidy under the Patient Protection and Affordable Care Act (PPACA). It requires the Department of the Treasury to develop and implement a reporting system that allows employers to voluntarily report information about their health plans for the current plan year prior to the beginning of open enrollment. The bill also allows electronic transmission of employee and enrollee statements and permits Treasury to accept full names and dates of birth in lieu of dependents' and spouses' Social Security account numbers. </p> <p>The bill also allows certain large employers who do not offer their employees minimum health care coverage 90 days to appeal an assessment for not providing such coverage. </p> <p>The Government Accountability Office must evaluate (1) for the period beginning on January 1, 2015, and ending on December 31, 2022, the notification of employers by PPACA exchanges of the eligibility of employees for advance payments of the premium assistance tax credit or cost-sharing subsidies; and (2) for calendar year 2024, the functionality of the prospective reporting system established by this bill, including the accuracy of information collected.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1264 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1264
To streamline the employer reporting process and strengthen the
eligibility verification process for the premium assistance tax credit
and cost-sharing subsidy.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
February 28, 2023
Mr. Smith of Nebraska (for himself and Mr. Thompson of California)
introduced the following bill; which was referred to the Committee on
Ways and Means, and in addition to the Committee on Energy and
Commerce, for a period to be subsequently determined by the Speaker, in
each case for consideration of such provisions as fall within the
jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To streamline the employer reporting process and strengthen the
eligibility verification process for the premium assistance tax credit
and cost-sharing subsidy.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Commonsense Reporting Act of 2023''.
SEC. 2. FINDINGS.
Congress finds the following:
(1) The Department of the Treasury and the Internal Revenue
Service should work together with other relevant departments
and agencies to identify and implement methods to minimize
compliance burdens on businesses, insurance carriers, and
individuals.
(2) Such collaboration should strike an appropriate balance
between sufficient reporting to enforce the law and protecting
the privacy of individuals.
SEC. 3. VOLUNTARY PROSPECTIVE REPORTING SYSTEM.
(a) In General.--Not later than 1 year after the date of the
enactment of this Act, the Secretary of the Treasury, in consultation
with the Secretary of Health and Human Services, the Secretary of
Labor, and the Administrator of the Small Business Administration,
shall develop and implement guidance providing for a prospective
reporting system meeting the requirements of subsection (b). Such
system shall be available for use by employers on a voluntary basis
beginning not later than January 1, 2024.
(b) Requirements.--The system created under subsection (a) shall
include--
(1) voluntary reporting by each participating employer that
offers minimum essential coverage to its full-time employees
and their dependents under an eligible employer-sponsored plan,
not later than 45 days before the first day of the annual open
enrollment period under section 1311(c)(6)(B) of the Patient
Protection and Affordable Care Act (42 U.S.C. 18031(c)(6)(B))
for each calendar year, of--
(A) the name and employer identification number for
purposes of section 6056 of the Internal Revenue Code
of 1986 of the employer;
(B) a certification of--
(i) whether coverage meeting the definition
of minimum essential coverage in section
5000A(f) of the Internal Revenue Code of 1986
is offered to the full-time employees (within
the meaning of section 4980H of such Code) of
the employer;
(ii) whether such coverage is offered to
part-time employees of the employer;
(iii) whether such coverage is offered to
dependents of employees;
(iv) whether such coverage is offered to
spouses of employees;
(v) whether such coverage meets the minimum
value requirement of section 36B(c)(2)(C)(ii)
of such Code;
(vi) whether such coverage satisfies the
requirements to qualify for one of the
affordability safe harbors promulgated by the
Secretary of the Treasury for purposes of
section 4980H of such Code; and
(vii) whether the employer reasonably
expects to be liable for any shared
responsibility payment under section 4980H of
such Code for such year;
(C) the months during the prospective reporting
period that such coverage is available to individuals
described in clauses (i) through (iv) of subparagraph
(B);
(D) what waiting periods, if any, apply with
respect to such coverage; and
(E) a list of all employer identification numbers
of the employer for entities that employ employees
within the employers control group under subsection
(b), (c), (m), or (o) of section 414 of the Internal
Revenue Code for 1986;
(2) processes necessary to ensure that Exchanges, the
Federal Marketplace Data Services Hub, and the Internal Revenue
Service can securely and confidentially access the information
described in paragraph (1) as necessary to carry out their
respective missions, and to provide to the Secretary of Health
and Human Services additional information relating to
eligibility determinations for advance payment of the premium
tax credits under section 36B of such Code and the cost-sharing
subsidies under section 1402 of the Patient Protection and
Affordable Care Act (42 U.S.C. 18071);
(3) a process to allow Exchanges to follow up with
employers in order to obtain additional reasonably necessary
information relating to an employee's eligibility for such
advance payment or such cost-sharing subsidies, and to allow an
employee to receive notification of any problem in verifying
such eligibility; and
(4) a process to allow employers using the system to
provide timely updates to the Federal Marketplace Data Services
Hub regarding any cancellation of coverage or significant
change in coverage for participating employees that would
change the information reported under paragraph (1).
(c) Employer Notification of Employee Enrollment in Exchange
Plans.--Subparagraph (J) of section 1311(d)(4) of the Patient
Protection and Affordable Care Act (42 U.S.C. 18031(d)(4)(J)) is
amended by striking ``to each employer'' and all that follows through
``(and the effective date of such cessation); and'' and inserting ``to
each employer--
``(i) the name of each employee of the
employer who enrolls in a qualified health plan
for a plan year, or whose dependents enroll in
such a plan, at the time of such enrollment; or
``(ii) the name of each employee of the
employer described in subparagraph (I)(ii) who
ceases coverage under a qualified health plan
during a plan year (and the effective date of
such cessation); and''.
(d) Exemption From Reporting Requirement Under Internal Revenue
Code of 1986.--Section 6056 of the Internal Revenue Code of 1986 is
amended by redesignating subsection (f) as subsection (g) and by
inserting after subsection (e) the following new subsection:
``(f) Exemption.--If, through the system created pursuant to
section 3(a) of the Commonsense Reporting Act of 2023, an employer
provides prospective reporting for any calendar year that meets the
requirements of section 3(b)(1) of such Act, such employer shall be
treated as satisfying the return requirements of subsections (a), (b),
and (c) for such year.''.
(e) Third-Party Filing.--An employer may contract with a third
party to make the report under subsection (b)(1) without affecting the
employer's treatment as having satisfied the return requirements of
subsections (a) and (b) of section 6056 of the Internal Revenue Code of
1986.
(f) Access to the National Directory of New Hires.--Subsection
(i)(3) of section 453 of the Social Security Act (42 U.S.C. 653) is
amended by adding at the end the following new sentence: ``The
Secretary of the Treasury and the Secretary of Health and Human
Services shall have access to the information in the National Directory
of New Hires for purposes of administering section 36B and 4980H of the
Internal Revenue Code of 1986 and section 1402 of the Patient
Protection and Affordable Care Act (42 U.S.C. 18071). Subsection (k)(3)
shall not apply to information received for purposes of the
administration of such sections 36B and 4980H of such Code and section
1402 of such Act.''.
(g) Improving Employee Access to Accurate EINS.--Not later than 1
year after the date of the enactment of this Act, the Secretary of the
Treasury shall develop and implement guidance for allowing any employee
of an employer to receive, on request, the employer's employer
identification number for purposes of section 6056 of the Internal
Revenue Code of 1986. Employers shall provide the employer's employer
identification number for purposes of section 6056 of the Internal
Revenue Code of 1986 on employee pay statements.
(h) Funding for Voluntary Prospective Reporting System.--There is
authorized to be appropriated to the Secretary of the Treasury, the
Secretary of Health and Human Services, the Secretary of Labor, and the
Administrator of the Small Business Administration such sums as are
necessary to carry out this section.
SEC. 4. PROTECTION OF DEPENDENT PRIVACY.
(a) In General.--Paragraph (1) of section 6055(b) of the Internal
Revenue Code of 1986 is amended by adding at the end the following
flush sentence:
``For purposes of subparagraph (B)(i), in the case of an individual
other than the primary insured, if the health insurance issuer or the
employer is unable to collect or maintain information on the TINs of
such individuals (other than for purposes of this section), the
Secretary may allow the individual's full name and date of birth to be
substituted for the name and TIN. In the event the Secretary allows the
use of the individual's full name and date of birth in lieu of the TIN,
the Social Security Administration shall assist the Internal Revenue
Service in providing data matches to determine the TIN associated with
the name and date of birth provided by the Internal Revenue Service
with respect to such individual.''.
(b) Effective Date.--The amendment made by this section shall apply
to returns the due date for which is after the date that is 60 days
after the date of the enactment of this Act.
SEC. 5. ELECTRONIC STATEMENTS.
(a) In General.--Subsection (c) of section 6056 of the Internal
Revenue Code of 1986 is amended by adding at the end the following new
paragraph:
``(3) Electronic delivery.--An individual shall be deemed
to have consented to receive the statement under this
subsection in electronic form if such individual has
affirmatively consented at any prior time, to the person who is
the employer of the individual during the calendar year to
which the statement relates, to receive such statement in
electronic form. The preceding sentence shall not apply if the
individual revokes consent in writing with respect to the
statement under this subsection.''.
(b) Statements Relating to Health Insurance Coverage.--Subsection
(c) of section 6055 of the Internal Revenue Code of 1986 is amended by
adding at the end the following new paragraph:
``(3) Electronic delivery.--An individual shall be deemed
to have consented to receive the statement under this
subsection in electronic form if such individual has
affirmatively consented at any prior time, to the person
required to make such statement (such as the provider of the
individual's health coverage), to receive in electronic form
any private health information (such as electronic health
records), unless the individual revokes such consent in
writing.''.
(c) Effective Date.--The amendments made by this section shall
apply to statements the due date for which is after December 31, 2023.
SEC. 6. TIME FOR APPEAL.
(a) In General.--Section 4980H(d) of the Internal Revenue Code of
1986 is amended by adding at the end the following new paragraph:
``(4) Time for appeal.--The Secretary shall allow an
applicable large employer 90 days from the date of the first
letter which allows the employer an opportunity for
administrative review of a proposed employer shared
responsibility payment under this section by the Internal
Revenue Service Independent Office of Appeals to appeal the
proposed assessment of such payment before issuing the notice
and demand for payment under paragraph (1).''.
(b) Effective Date.--The amendment made by this section shall apply
to assessments in taxable years beginning after the date of the
enactment of this Act.
SEC. 7. STATUTE OF LIMITATIONS ON PENALTY ASSESSMENT.
(a) In General.--Section 4980H(d) of the Internal Revenue Code of
1986, as amended by section 6, is amended by adding at the end the
following new paragraph:
``(5) Statute of limitations on penalty assessment.--With
respect to an assessment of an assessable payment under
paragraph (1), the statutory period for such assessment shall
expire at the end of the 3-year period beginning on the date
the employer files the return under section 6056 for the
calendar year with respect to which such payment is
determined.''.
(b) Effective Date.--The amendment made by this section shall apply
to proposed assessments with respect to which a letter described in
section 4980H(d)(4) of the Internal Revenue Code of 1986 (as added by
this section) is issued in taxable years beginning after the date which
is 1 year after the date of the enactment of this Act.
SEC. 8. GAO STUDIES.
(a) Study of First Years of Employer Reporting.--
(1) In general.--The Comptroller General of the United
States shall conduct a study that evaluates, with respect to
the period beginning on January 1, 2015, and ending on December
31, 2022--
(A) the notification of employers by Exchanges
established under title I of the Patient Protection and
Affordable Care Act (Public Law 111-148) that a full-
time employee of the employer has been determined
eligible for advance payment of premium tax credits
under section 36B of the Internal Revenue Code of 1986
or cost-sharing subsidies under section 1402 of such
Act (42 U.S.C. 18071), including information
regarding--
(i) the data elements included in the
employer notification;
(ii) the process by which the notification
forms were developed and sent to employers,
including whether the process provided for a
formal notice and comment period;
(iii) whether employers report that such
notifications provided sufficient and relevant
information for them to make appropriate
decisions about whether to utilize the appeals
process;
(iv) the total number of notifications sent
to employers and the timeline of when such
notifications were sent;
(v) differences in the notification process
between the marketplace facilitated by the
Federal Government and the State-Based
Marketplaces; and
(vi) challenges that have arisen in the
notification process, and recommendations to
address these challenges; and
(B) the extent to which the Secretary of Health and
Human Services has established a separate appeals
process for employers who received such a notification
to challenge the eligibility determination, as required
by section 1411(f)(2) of the Patient Protection and
Affordable Care Act (42 U.S.C. 18081(f)(2)).
(2) Report.--Not later than 1 year after the date of the
enactment of this Act, the Comptroller General shall submit to
the Committees on Finance and Health, Education, Labor, and
Pensions of the Senate and the Committees on Ways and Means,
Energy and Commerce, and Education and the Workforce of the
House of Representatives a report on the results of the study
conducted under paragraph (1).
(b) Study of Prospective Reporting System.--
(1) In general.--The Comptroller General of the United
States shall conduct a study that evaluates, with respect to
the period beginning on January 1, 2024, and ending on December
31, 2024, the functionality of the prospective reporting system
established pursuant to section 3, including the accuracy of
information collected, the number of employers electing to
report under such system, and any challenges that have arisen
in implementing such system.
(2) Report.--Not later than July 1, 2025, the Comptroller
General shall submit to the Committees on Finance and Health,
Education, Labor, and Pensions of the Senate and the Committees
on Ways and Means, Energy and Commerce, and Education and the
Workforce of the House of Representatives a report on the
results of the study conducted under paragraph (1).
SEC. 9. TAX COMPLIANCE.
(a) In General.--Section 6724(d)(1)(B)(xxv) of the Internal Revenue
Code of 1986 is amended by inserting ``or, in the case of an employer
to which section 6056(f) applies, section 3(b)(1) of the Commonsense
Reporting Act of 2023'' before ``, or''.
(b) Effective Date.--The amendment made by this section shall apply
to returns required to be filed after the date of the enactment of this
Act.
<all>
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118HR1265 | Debt Solution and Accountability Act | [
[
"S001199",
"Rep. Smucker, Lloyd [R-PA-11]",
"sponsor"
]
] | <p><b>Debt Solution and Accountability Act</b></p> <p> This bill requires the Department of the Treasury to submit to Congress a debt report and a statement of intent within 60 days of an increase in the public debt limit. </p> <p>The debt report must include </p> <ul> <li>the historic, current, and projected levels of debt; </li> <li>the drivers and composition of future debt; and</li> <li>how the United States will meet debt obligations.</li> </ul> <p>The statement of intent must include a detailed explanation of</p> <ul> <li>proposals of the President to reduce the debt; </li> <li>the impact the increased debt limit will have on future government spending, debt service, and the position of the U.S. dollar as the international reserve currency; and</li> <li> projections of the fiscal health and sustainability of major entitlement programs (including Social Security, Medicare, and Medicaid). </li> </ul> <p>Treasury must make the information required by this bill available to the public on its website.</p> <p>Upon request, Treasury must submit to Congress specified financial and economic data relevant to determining the amount of the public debt. </p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1265 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1265
To provide further means of accountability with respect to the United
States debt and promote fiscal responsibility.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
February 28, 2023
Mr. Smucker introduced the following bill; which was referred to the
Committee on Ways and Means
_______________________________________________________________________
A BILL
To provide further means of accountability with respect to the United
States debt and promote fiscal responsibility.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Debt Solution and Accountability
Act''.
SEC. 2. SECRETARY OF THE TREASURY REPORT TO CONGRESS AFTER DEBT LIMIT
IS INCREASED.
(a) In General.--Subchapter II of chapter 31 of title 31, United
States Code, is amended by adding at the end the following:
``Sec. 3131. Report after debt limit is increased.
``(a) In General.--Not more than 60 days after the limit specified
under section 3101, as modified by section 3101A, is increased, the
Secretary of the Treasury shall submit a report to the Committee on
Ways and Means of the House of Representatives, the Committee on
Appropriations of the House of Representatives, the Committee on the
Budget of the House of Representatives, the Committee on Finance of the
Senate, the Committee on Appropriations of the Senate, and the
Committee on the Budget of the Senate consisting of the following:
``(1) Debt report.--A report on the state of the public
debt, including--
``(A) the historical levels of the debt, current
amount and composition of the debt, and future
projections of the debt;
``(B) the drivers and composition of future debt;
and
``(C) how the United States will meet debt
obligations, including principal and interest.
``(2) Statement of intent.--A detailed explanation of--
``(A) proposals of the President to reduce the
public debt in the short term (the current and
following three fiscal years), medium term
(approximately five to nine fiscal years), and long
term (approximately ten to twenty-five fiscal years),
and proposals of the President to adjust the debt-to-
gross domestic product ratio;
``(B) the impact the increased debt limit will have
on future Government spending, debt service, and the
position of the United States dollar as the
international reserve currency; and
``(C) projections of fiscal health and
sustainability of major direct-spending entitlement
programs (including Social Security, Medicare, and
Medicaid).
``(b) Progress Report.--Not more than 180 days after the report
described in subsection (a) is submitted, the Secretary of the Treasury
shall submit a detailed report on the progress of implementing all
proposals of the President described under paragraph (2)(A).
``(c) Public Access to Information.--The Secretary of the Treasury
shall furnish publicly accessible links on the web page of the
Department of the Treasury to each report submitted under this section.
Such links shall be available for not less than the 6-month period
following the date of such submission.''.
(b) Clerical Amendment.--The table of analysis for chapter 31 of
title 31, United States Code, is amended by inserting after the item
relating to section 3130 the following:
``3131. Report after debt limit is increased.''.
SEC. 3. ACCESS TO CERTAIN TREASURY DEPARTMENT DATA.
Not later than thirty days after receipt of a written request from
the Chairman of the Committee on Ways and Means of the House of
Representatives or the Committee on Finance of the Senate but no more
than four times per fiscal year for each, the Secretary of the Treasury
shall provide to the requesting Chairman financial and economic data
relevant to determining the amount of the public debt of the United
States, including--
(1) cash flow and debt transaction information used in
preparing the Daily Treasury Statement, including current
balances, receipts, and payments;
(2) operating cash balance projections; and
(3) relevant information regarding any extraordinary
measures (as defined under section 3131(d) of title 31, United
States Code) taken to prevent the public debt from exceeding
the limitation imposed by section 3101 of title 31, United
States Code, as modified by section 3101A of such title.
<all>
</pre></body></html>
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118HR1266 | Building Credit Access for Veterans Act of 2023 | [
[
"T000480",
"Rep. Timmons, William R. IV [R-SC-4]",
"sponsor"
],
[
"L000593",
"Rep. Levin, Mike [D-CA-49]",
"cosponsor"
],
[
"M000194",
"Rep. Mace, Nancy [R-SC-1]",
"cosponsor"
]
] | <p><strong>Building Credit Access for Veterans Act of 2023</strong></p> <p>This bill requires the Department of Veterans Affairs (VA) to implement a pilot program to assess the feasibility and advisability of using alternative credit scoring information or models to improve the determination of creditworthiness of certain individuals and to increase the number of such individuals who are able to obtain VA housing and small business loans. Specifically, the program is for veterans or members of the Armed Forces who are eligible for VA housing or small business loans and have insufficient credit history.</p> <p>Under the program, the VA must assess the feasibility and advisability of establishing criteria for acceptable commercially available credit scoring models to be used by lenders for the purpose of guaranteeing or insuring a VA housing or small business loan.</p> <p>Participation is voluntary on an opt-in basis for lenders, borrowers, and individuals.</p> <p>The VA must conduct outreach to lenders and individuals to inform them of the pilot program.<br> </p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1266 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1266
To require the Secretary of Veterans Affairs to carry out a pilot
program on using alternative credit scoring information for veterans
and members of the Armed Forces, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
February 28, 2023
Mr. Timmons (for himself and Mr. Levin) introduced the following bill;
which was referred to the Committee on Veterans' Affairs
_______________________________________________________________________
A BILL
To require the Secretary of Veterans Affairs to carry out a pilot
program on using alternative credit scoring information for veterans
and members of the Armed Forces, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Building Credit Access for Veterans
Act of 2023''.
SEC. 2. DEPARTMENT OF VETERANS AFFAIRS PILOT PROGRAM ON USE OF
ALTERNATIVE CREDIT SCORING INFORMATION OR CREDIT SCORING
MODELS.
(a) Pilot Program Required.--
(1) In general.--Not later than one year after the date of
the enactment of this Act, the Secretary of Veterans Affairs
shall commence carrying out a pilot program that will assess
the feasibility and advisability of--
(A) using alternative credit scoring information or
credit scoring models using alternative credit scoring
methodology for an individual described in paragraph
(2)--
(i) to improve the determination of
creditworthiness of such an individual; and
(ii) to increase the number of such
individuals who are able to obtain a loan
guaranteed or insured under chapter 37 of title
38, United States Code; and
(B) in consultation with such entities as the
Secretary considers appropriate, establishing criteria
for acceptable commercially available credit scoring
models to be used by lenders for the purpose of
guaranteeing or insuring a loan under chapter 37 of
title 38, United States Code.
(2) Individual described.--An individual described in this
paragraph is a veteran or a member of the Armed Forces who--
(A) is eligible for a loan under chapter 37 of
title 38, United States Code; and
(B) has an insufficient credit history for a lender
or the Secretary to determine the creditworthiness of
the individual.
(3) Alternative credit scoring information.--Alternative
credit scoring information described in paragraph (1)(A) may
include proof of rent, utility, and insurance payment
histories, and such other information as the Secretary
considers appropriate.
(b) Voluntary Participation.--
(1) In general.--The Secretary shall ensure that any
participation in the pilot program is voluntary on an opt-in
basis for a lender, a borrower, and an individual described in
subsection (a)(2).
(2) Notice of participation.--Subject to paragraph (3), any
lender who participates in the pilot program shall--
(A) notify each individual described in subsection
(a)(2) who, during the pilot program, applies for a
loan under chapter 37 of title 38, United States Code,
from such lender, of the lender's participation in the
pilot program; and
(B) offer such individual the opportunity to
participate in the pilot program.
(3) Limitation.--
(A) In general.--The Secretary may establish a
limitation on the number of individuals and lenders
that may participate in the pilot program.
(B) Report.--If the Secretary limits participation
in the pilot program under subparagraph (A), the
Secretary shall, not later than 15 days after
establishing such limitation, submit to Congress a
report setting forth the reasons for establishing such
limitation.
(c) Approval of Credit Scoring Models.--
(1) In general.--A lender participating in the pilot
program may not use a credit scoring model under subsection
(a)(1)(A) until the Secretary has reviewed and approved such
credit scoring model for purposes of the pilot program.
(2) Publication of criteria.--The Secretary shall publish
in the Federal Register any criteria established under
subsection (a)(1)(B) for acceptable commercially available
credit scoring models that use alternative credit scoring
information described in subsection (a)(1)(A) to be used for
purposes of the pilot program.
(3) Considerations; approval of certain models.--In
selecting credit scoring models to approve under this section,
the Secretary shall--
(A) consider the criteria for credit score
assessments under section 1254.7 of title 12, Code of
Federal Regulations; and
(B) approve any commercially available credit
scoring model that has been approved pursuant to
section 302(b)(7) of the Federal National Mortgage
Association Charter Act (12 U.S.C. 1717(b)(7)) or
section 305(d) of the Federal Home Loan Mortgage
Corporation Act (12 U.S.C. 1454(d)).
(d) Outreach.--To the extent practicable, the Secretary shall
conduct outreach to lenders and individuals described in subsection
(a)(2) to inform such persons of the pilot program.
(e) Report.--
(1) In general.--Not later than two years after the date of
the enactment of this Act, the Secretary shall submit to
Congress a report on the pilot program.
(2) Contents.--The report submitted under paragraph (1)
shall include the following:
(A) The findings of the Secretary with respect to
the feasibility and advisability of using alternative
credit scoring information or credit scoring models
using alternative credit scoring methodology for
individuals described in subsection (a)(2).
(B) A description of the efforts of the Secretary
to assess the feasibility and advisability of using
alternative credit scoring information or credit
scoring models as described in subparagraph (A).
(C) To the extent practicable, the following:
(i) The rate of participation in the pilot
program.
(ii) An assessment of whether participants
in the pilot program benefitted from such
participation.
(D) An assessment of the effect of the pilot
program on the subsidy rate for loans guaranteed or
insured by the Secretary under chapter 37 of title 38,
United States Code.
(E) Such other information as the Secretary
considers appropriate.
(f) Termination.--
(1) In general.--The Secretary shall complete the pilot
program required by subsection (a)(1) not later than September
30, 2026.
(2) Effect on loans and applications.--The termination of
the pilot program under paragraph (1) shall not affect a loan
guaranteed, or for which loan applications have been received
by a participating lender, on or before the date of the
completion of the pilot program.
(g) Insufficient Credit History Defined.--In this section, the term
``insufficient credit history'', with respect to an individual
described in subsection (a)(2), means that the individual does not have
a credit record with one of the national credit reporting agencies or
such credit record contains insufficient credit information to assess
creditworthiness.
<all>
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118HR1267 | Air Carrier Access Amendments Act of 2023 | [
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] | <p><strong>Air Carrier Access Amendments Act of 2023</strong></p> <p>This bill expands protections for airline passengers with disabilities and requires air carriers to meet certain minimum accessibility standards. </p> <p>The Department of Transportation (DOT) must prescribe regulations setting minimum accessibility standards for new and existing aircraft, airport facilities, websites, and kiosks. The accessibility standards must address topics including</p> <ul> <li> boarding and deplaning equipment, including ensuring individuals can board and deplane an aircraft from their personal assistive devices (e.g., wheelchairs);</li> <li>seating accommodations;</li> <li>lavatories;</li> <li>visually accessible announcements; and </li> <li>proper stowage of assistive devices in the cargo hold to prevent damage.</li> </ul> <p>Existing aircraft have five years from the effective date of the regulations to comply with the standards. DOT must assess civil penalties against an air carrier for violations of these provisions and refer patterns of discrimination to the Department of Justice (DOJ).</p> <p>DOT must also ensure that passengers with disabilities may (1) file a complaint with the agency in response to disability-related discrimination, and (2) receive assistance through a toll-free hotline or other electronic method.</p> <p>Further, the bill authorizes DOJ and aggrieved passengers to bring civil actions for discrimination against an air carrier.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1267 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1267
To protect the rights of passengers with disabilities in air
transportation, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
February 28, 2023
Ms. Titus (for herself and Mr. Cohen) introduced the following bill;
which was referred to the Committee on Transportation and
Infrastructure
_______________________________________________________________________
A BILL
To protect the rights of passengers with disabilities in air
transportation, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Air Carrier Access Amendments Act of
2023''.
SEC. 2. FINDINGS; SENSE OF CONGRESS.
(a) Findings.--Congress finds the following:
(1) In 1986, President Ronald Reagan signed the Air Carrier
Access Act of 1986 (Public Law 99-435; 100 Stat. 1080), adding
a provision now codified in section 41705 of title 49, United
States Code (in this section referred to as the ``ACAA''),
prohibiting disability-based discrimination in air
transportation.
(2) Despite the effort, individuals, including veterans,
with disabilities continue to experience significant barriers
to and with traveling by air, such as--
(A) damaged assistive devices;
(B) inaccessible aircraft, lavatories, and
communication media;
(C) delayed assistance;
(D) inappropriate treatment of service animals;
(E) inadequate disability awareness and sensitivity
training; and
(F) a lack of suitable seating accommodations.
(b) Sense of Congress.--It is the sense of Congress that--
(1) access for individuals with disabilities in air
transportation must move into the 21st century, or individuals
with disabilities will be left behind and unable to compete in
today's job market or enjoy the opportunities available to
other citizens of the United States;
(2) aircraft must accommodate individuals with
disabilities, and air carriers and foreign air carriers must
acquire and maintain aircraft that meet broad accessibility
standards;
(3) the ACAA must be updated to improve access to air
transportation for individuals with disabilities;
(4) legislation is necessary to modernize standards and
requirements that will strengthen accessibility in air
transportation;
(5) the Department of Transportation, in direct
consultation with the Access Board, must promulgate regulations
to ensure that all passengers with disabilities receive--
(A) prompt and effective boarding, deplaning, and
connections between flights;
(B) accommodations, including nonstandard
accommodations, that safely facilitate air travel; and
(C) better access to airport facilities, including
the provision of visually and tactilely accessible
announcements and full and equal access to aural
communications;
(6) legislation is necessary to ensure that individuals
with disabilities have adequate remedies available when air
carriers and foreign air carriers violate the ACAA; and
(7) unlike other civil rights statutes, the ACAA does not
contain a private right of action, which is critical to the
enforcement of such statutes, and Congress must correct this
anomaly.
SEC. 3. DEFINITIONS.
In this Act:
(1) Access board.--The term ``Access Board'' means the
Architectural and Transportation Barriers Compliance Board.
(2) Air carrier.--The term ``air carrier'' has the meaning
given that term in section 40102 of title 49, United States
Code.
(3) Disability.--The term ``disability'' means, with
respect to an individual--
(A) a physical or mental impairment that, on a
permanent or temporary basis, substantially limits one
or more major life activities of such individual;
(B) a record of such an impairment; or
(C) being regarded as having such an impairment.
(4) Foreign air carrier.--The term ``foreign air carrier''
has the meaning given that term in section 40102 of title 49,
United States Code.
(5) Secretary.--The term ``Secretary'' means the Secretary
of Transportation.
SEC. 4. IMPROVING ACCESS TO AIR TRANSPORTATION FOR INDIVIDUALS WITH
DISABILITIES.
(a) In General.--Section 41705 of title 49, United States Code, is
amended to read as follows:
``Sec. 41705. Accessibility of air transportation for individuals with
disabilities
``(a) In General.--In providing air transportation, an air carrier
or foreign air carrier may not discriminate against an individual on
the basis of a disability, including by taking any of the actions
prohibited under subsection (b) or not taking any of the actions
required by subsection (c).
``(b) Prohibited Actions.--
``(1) In general.--Subject to paragraph (2), an air carrier
or foreign air carrier may not--
``(A) directly or through a contractual, licensing,
or other arrangement, discriminate in the full and
equal enjoyment (within the meaning of that term under
section 302(a) of the Americans with Disabilities Act
of 1990 (42 U.S.C. 12182(a))) of air transportation,
including the use of standards or criteria or methods
of administration;
``(B) deny the opportunity of an individual or a
class of individuals, on the basis of a disability or
disabilities of the individual or class, to participate
in or benefit from the goods, services, facilities,
advantages, accommodations, or other opportunities
provided by the air carrier or foreign air carrier;
``(C) afford an individual or a class of
individuals, on the basis of a disability or
disabilities of the individual or class, with the
opportunity to participate in or benefit from a good,
service, facility, advantage, accommodation, or other
opportunity that is not equal to, or is different or
separate from a good, service, facility, advantage,
accommodation, or other opportunity afforded to other
individuals;
``(D) deny any goods, services, facilities,
privileges, advantages, accommodations, or other
opportunities to an individual because of the known
disability of another individual with whom the
individual is known to have a relationship or
association;
``(E) impose or apply eligibility criteria that
screen out or have the effect of screening out
individuals with disabilities or a class of individuals
with disabilities from fully enjoying any good,
service, facility, privilege, advantage, accommodation,
or other opportunity provided by the air carrier or
foreign air carrier, unless the air carrier or foreign
air carrier can demonstrate that such criteria are
necessary for the provision of the good, service,
facility, privilege, advantage, accommodation, or other
opportunity;
``(F) directly or through a contractual, licensing,
or other arrangement, use standards or criteria or
methods of administration that--
``(i) have the effect of discriminating on
the basis of disability; or
``(ii) perpetuate discrimination against
others who are subject to common administrative
control; or
``(G) operate an aircraft that does not comply with
this section and regulations prescribed under this
section, unless the aircraft, to the maximum extent
feasible, is made readily accessible to and usable by
individuals with disabilities, including individuals
who use wheelchairs, in accordance with this section
and upon issuance of regulations prescribed under this
section, not later than 7 years after the date of
enactment of the Air Carrier Access Amendments Act of
2023.
``(2) Exception.--
``(A) In general.--Subject to subparagraph (B), an
air carrier or foreign air carrier may provide an
individual or a class of individuals, on the basis of a
disability or disabilities of the individual or class,
with a good, service, facility, privilege, advantage,
accommodation, or other opportunity that is different
or separate from the good, service, facility,
privilege, advantage, accommodation, or other
opportunity provided to other individuals if doing so
is necessary to--
``(i) provide the individual or class of
individuals with a good, service, facility,
privilege, advantage, accommodation, or other
opportunity that is as effective as the good,
service, facility, privilege, advantage,
accommodation, or other opportunity provided to
other individuals; or
``(ii) comply with statutory, regulatory,
or other requirements related to safety and
security enforced by the Department of
Transportation, the Federal Aviation
Administration, or applicable foreign aviation
authorities.
``(B) Acceptance.--An individual or a class of
individuals shall retain the authority to decide
whether to accept or refuse a good, service, facility,
privilege, advantage, accommodation, or other
opportunity referred to in subparagraph (A).
``(C) Selection of goods, services, and other
opportunities provided to others.--If, in accordance
with subparagraph (A), an air carrier or foreign air
carrier provides to an individual or a class of
individuals a good, service, facility, privilege,
advantage, accommodation, or other opportunity that is
different or separate from the good, service, facility,
privilege, advantage, accommodation, or other
opportunity provided to other individuals, the air
carrier or foreign air carrier may not deny to an
individual with a disability the opportunity to
participate in the good, service, facility, privilege,
advantage, accommodation, or other opportunity provided
to such other individuals.
``(c) Required Actions.--An air carrier or foreign air carrier
shall--
``(1) afford goods, services, facilities, privileges,
advantages, accommodations, and other opportunities to an
individual with a disability in the most integrated setting
appropriate to the needs of the individual;
``(2) make reasonable modifications to policies, practices,
or procedures, when such modifications are necessary to afford
goods, services, facilities, privileges, advantages,
accommodations, or other opportunities to individuals with
disabilities, unless the air carrier or foreign air carrier can
demonstrate that making such modifications would fundamentally
alter the nature of the goods, services, facilities,
privileges, advantages, accommodations, or other opportunities;
and
``(3) take such measures as may be necessary to ensure that
no individual with a disability is excluded, denied services,
segregated, or otherwise treated differently from other
individuals because of the absence of auxiliary aids or
services, unless the air carrier or foreign air carrier can
demonstrate that taking such measures would--
``(A) fundamentally alter the nature of a good,
service, facility, privilege, advantage, accommodation,
or other opportunity being offered; or
``(B) result in an undue burden to an air carrier
or foreign air carrier.
``(d) Consumer Complaints.--
``(1) In general.--The Secretary shall ensure that
individuals with disabilities traveling in air transportation
are able to--
``(A) file complaints with the Department of
Transportation in response to disability-related
discrimination prohibited under this section or
regulations prescribed under this section; and
``(B) receive assistance from the Department of
Transportation through a toll-free hotline telephone
number, publicly available internet website, or
comparable electronic means of communication.
``(2) Notice to passengers with disabilities.--Each air
carrier or foreign air carrier shall include on its publicly
available internet website, any related mobile device
application, and online service--
``(A) the hotline telephone number established
under section 42302 or the telephone number for the
Aviation Consumer Protection Division of the Department
of Transportation and the Department's disability
assistance hotline telephone number or a comparable
electronic means of communication;
``(B) a notice that a consumer can file a
disability-related complaint with the Aviation Consumer
Protection Division;
``(C) an active link to the internet website of the
Aviation Consumer Protection Division for a consumer to
file a disability-related complaint; and
``(D) a notice that the consumer can file a
disability-related complaint with the air carrier or
foreign air carrier and the process and any timelines
for filing such a complaint.
``(3) Investigation of complaints.--
``(A) In general.--The Secretary shall--
``(i) not later than 120 days after the
receipt of any complaint of a violation of this
section or a regulation prescribed under this
section, investigate such complaint;
``(ii) provide, in writing, to the
individual that filed the complaint and the air
carrier or foreign air carrier alleged to have
violated this section or a regulation
prescribed under this section, the
determination of the Secretary with respect
to--
``(I) whether the air carrier or
foreign air carrier violated this
section or a regulation prescribed
under this section;
``(II) the facts underlying the
complaint; and
``(III) any action the Secretary is
taking in response to the complaint;
and
``(iii) assess civil penalties for, at a
minimum, each of the following violations:
``(I) Delay of, loss of, or
significant damage to a wheelchair or
scooter.
``(II) Physical harm to or fatal
injury of a passenger in the provision
of a service related to the
requirements of this section.
``(III) Failure to provide proper
assistance in boarding or deplaning a
passenger with disabilities when aisle
chair assistance is required.
``(IV) Denial of boarding for a
passenger with disabilities or denial
of access for a service animal in a
manner not in compliance with
requirements enforced by the Department
of Transportation, the Federal Aviation
Administration, or applicable foreign
aviation authorities.
``(V) Gross negligence of a
passenger with disabilities in air
transportation.
For purposes of section 46301, a separate
violation occurs under this section for each
individual act of discrimination prohibited by
subsections (a) through (c).
``(B) Referral.--If the Secretary has reasonable
cause to believe that any air carrier or foreign air
carrier or group of air carriers or foreign air
carriers is engaged in a pattern or practice of
discrimination under this section, or any person or
group of persons has been discriminated against under
this section and such discrimination raises an issue of
general public importance, the Secretary shall, after
the assessment of the civil penalty, refer the matter
to the Attorney General for further action.
``(C) Publication of data.--The Secretary shall
publish disability-related complaint data in a manner
comparable to other aviation consumer complaint data.
``(D) Review and report.--The Secretary shall
regularly review all complaints received by air
carriers and foreign air carriers alleging
discrimination on the basis of disability and shall
report annually to Congress on the disposition of such
complaints.
``(e) Civil Action.--
``(1) Aggrieved persons.--
``(A) In general.--Any person aggrieved by an air
carrier or foreign air carrier's violation of this
section or a regulation prescribed under this section
may, during the 2-year period beginning on the date of
the violation, bring a civil action in an appropriate
district court of the United States.
``(B) Available relief.--If a court finds in favor
of the plaintiff in a civil action brought under
subparagraph (A), the court may award to the plaintiff
equitable and legal relief, including compensatory and
punitive damages, and shall, in addition to any such
relief, award reasonable attorney's fees, reasonable
expert fees, and costs of the action to the plaintiff.
``(C) Exhaustion of administrative remedies.--Any
person aggrieved by an air carrier or foreign air
carrier's violation of this section or a regulation
prescribed under this section shall not be required to
exhaust administrative remedies before bringing a civil
action under subparagraph (A).
``(D) Rule of construction.--Nothing in this
paragraph shall be construed to invalidate or limit
other Federal or State laws affording to individuals
with disabilities greater legal rights or protections
than those granted by this section.
``(2) Enforcement by attorney general.--
``(A) In general.--The Attorney General may bring a
civil action on behalf of individuals aggrieved by an
air carrier or foreign air carrier's violation of this
section or a regulation prescribed under this section
in any appropriate district court of the United States.
``(B) Authority of court.--In a civil action under
subparagraph (A), the court may--
``(i) grant any equitable relief that the
court considers to be appropriate;
``(ii) award such other relief as the court
considers to be appropriate, including monetary
damages to individuals aggrieved by an air
carrier or foreign air carrier's violation of
this section or a regulation prescribed under
this section, when requested by the Attorney
General; and
``(iii) assess a civil penalty against the
air carrier or foreign air carrier.
``(f) Rule of Construction.--Nothing in this section shall require
an air carrier or foreign air carrier to permit an individual to
participate in or benefit from goods, services, facilities, privileges,
advantages, accommodations, or other opportunities if the individual
poses a significant risk to the health or safety of others that cannot
be eliminated by a modification to policies, practices, or procedures
or by the provision of auxiliary aids or services.
``(g) Definitions.--In this section:
``(1) Access board.--The term `Access Board' means the
Architectural and Transportation Barriers Compliance Board.
``(2) Air carrier.--The term `air carrier' has the same
meaning given that term in section 40102.
``(3) Aircraft.--The term `aircraft' means a transport
category airplane designed for operation by an air carrier or
foreign air carrier type-certificated under part 21 of title
14, Code of Federal Regulations, with a passenger seating
capacity of 30 or more.
``(4) Disability.--The term `disability' means, with
respect to an individual--
``(A) a physical or mental impairment that, on a
permanent or temporary basis, substantially limits one
or more major life activities of such individual;
``(B) a record of such an impairment; or
``(C) being regarded as having such an impairment.
``(5) Foreign air carrier.--The term `foreign air carrier'
has the meaning given that term in section 40102.
``(6) Most integrated setting.--The term `most integrated
setting' has the meaning given that term in appendix A of part
35 of title 28, Code of Federal Regulations.
``(7) Undue burden.--The term `undue burden' has the
meaning given that term in section 36.104 of title 28, Code of
Federal Regulations.''.
(b) Technical Assistance.--Not later than 1 year after the date of
enactment of this Act, the Secretary shall ensure the availability and
provision of appropriate technical assistance manuals to individuals
and entities with rights or responsibilities under section 41705 of
title 49, United States Code, as amended by subsection (a).
(c) Clerical Amendment.--The chapter analysis for chapter 417 of
title 49, United States Code, is amended by striking the item relating
to section 41705 and inserting the following:
``41705. Accessibility of air transportation for individuals with
disabilities.''.
SEC. 5. STANDARDS.
(a) Aircraft Access Standards.--
(1) Standards.--
(A) In general.--Not later than 2 years after the
date of the enactment of this Act, the Secretary shall,
in direct consultation with the Access Board, prescribe
regulations setting forth the minimum standards to
ensure that aircraft, and related boarding and
deplaning equipment, are accessible, in terms of design
for, transportation of, and communication with,
individuals with disabilities, including individuals
who use wheelchairs.
(B) Application.--The standards prescribed under
subparagraph (A) shall apply to existing aircraft
operated by air carriers or foreign air carriers on the
date that is 5 years after the regulations prescribed
under subparagraph (A) become effective.
(2) Covered aircraft, equipment, and features.--The
standards prescribed under paragraph (1)(A) shall address, at a
minimum--
(A) boarding and deplaning equipment, including
ensuring that there is a route accessible for
individuals to board and deplane the aircraft from
their personal assistive devices, including
wheelchairs;
(B) seating accommodations, which shall include in-
cabin wheelchair restraints (if deemed technologically
feasible);
(C) lavatories;
(D) captioning and audio description of in-flight
entertainment and captioning of any other aural
communication;
(E) individual video displays;
(F) visually and tactilely accessible
announcements;
(G) adequate in-cabin stowage for assistive
devices; and
(H) proper stowage of assistive devices in the
cargo hold to prevent damage, which includes ensuring
that cargo doors and the cargo holds allow such devices
to be enplaned and stowed upright.
(b) Airport Facilities.--Not later than 2 years after the date of
enactment of this Act, the Secretary shall, in direct consultation with
the Access Board, prescribe regulations setting forth minimum standards
under section 41705 of title 49, United States Code (commonly known as
the ``Air Carrier Access Act'') (as amended by section 4), that ensure
all gates (including counters), ticketing areas, and customer service
desks covered under such section at airports are accessible to and
usable by all individuals with disabilities, including through the
provision of visually and tactilely accessible announcements and full
and equal access to aural communications.
(c) Websites, Software Applications, and Kiosks.--Not later than 2
years after the date of enactment of this Act, the Secretary shall, in
direct consultation with the Access Board, prescribe regulations
setting forth minimum standards to ensure that individuals with
disabilities are able to access kiosks, software applications, and
websites in a manner that is equally as effective as individuals
without disabilities, with a substantially equivalent ease of use. Such
standards shall be consistent with the standards set forth in the Web
Content Accessibility Guidelines 2.1 Level AA of the Web Accessibility
Initiative of the World Wide Web Consortium or any subsequent version.
<all>
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118HR1268 | Special Envoy for the Abraham Accords Act | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1268 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1268
To amend the State Department Basic Authorities Act of 1956 to
establish the position of Special Envoy for the Abraham Accords, and
for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
February 28, 2023
Mr. Torres of New York (for himself and Mr. Lawler) introduced the
following bill; which was referred to the Committee on Foreign Affairs
_______________________________________________________________________
A BILL
To amend the State Department Basic Authorities Act of 1956 to
establish the position of Special Envoy for the Abraham Accords, and
for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Special Envoy for the Abraham
Accords Act''.
SEC. 2. FINDINGS.
Congress finds that the policy of the United States, as enacted in
section 104 of the Israel Relations Normalization Act of 2022 (division
Z of Public Law 117-103), with respect to the Abraham Accords remains
unchanged.
SEC. 3. SPECIAL ENVOY FOR THE ABRAHAM ACCORDS.
Title I of the State Department Basic Authorities Act of 1956 (22
U.S.C. 2651a et seq.) is amended by adding at the end the following new
section:
``SEC. 64. SPECIAL ENVOY FOR THE ABRAHAM ACCORDS.
``(a) Special Envoy for the Abraham Accords.--There is in the
Department of State a Special Envoy for the Abraham Accords (in this
section referred to as the `Special Envoy').
``(b) Nomination.--
``(1) In general.--The Special Envoy shall be appointed by
the President, by and with the advice and consent of the
Senate. The Special Envoy shall report directly to the
Secretary.
``(2) Determination.--If the President determines that such
is appropriate, the President may nominate the Special Envoy
from among officers and employees of the Department. Such
officer or employee may not retain the position (or the
responsibilities associated with such position) held by such
officer or employee prior to the nomination of such officer or
employee to the position of Special Envoy under this paragraph.
``(c) Qualifications.--The Special Envoy should be a person of
recognized distinction in the field high-level diplomatic experience,
and or knowledge of the Islamic and Jewish worlds, knowledge of
economics, security, and human rights.
``(d) Rank and Status of Ambassador.--The Special Envoy who shall
have the rank of ambassador and shall hold the office at the pleasure
of the President.
``(e) Duties.--The Special Envoy shall seek to expand and
strengthen the Abraham Accords, in coordination with regional
ambassadors, nongovernmental organizations, and other stakeholders
determined appropriate by the Special Envoy.
``(f) Responsibilities.--The Special Envoy shall--
``(1) serve as the primary advisor to, and coordinate
efforts across, the United States Government relating to
expanding and strengthening the Abraham Accords;
``(2) engage in discussions with nation-state officials
lacking official diplomatic relations with Israel regarding the
Abraham Accords; and
``(3) consult with representatives of nongovernmental
organizations that have attempted to expand and strengthen the
Abraham Accords.''.
<all>
</pre></body></html>
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118HR1269 | Healthy Meals Help Kids Learn Act of 2023 | [
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] | <p><b>Healthy Meals Help Kids Learn Act of 2023</b></p> <p>This bill permanently increases the federal reimbursement rates for the school lunch and breakfast programs. Specifically, beginning July 1, 2023, the bill provides an additional 45 cents per lunch served in the National School Lunch Program and an additional 28 cents per breakfast served in the School Breakfast Program. These amounts must be adjusted annually for inflation beginning July 1, 2024.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1269 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1269
To amend the Richard B. Russell National School Lunch Act and the Child
Nutrition Act of 1966 to increase reimbursement rates of school meals,
and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. McGovern introduced the following bill; which was referred to the
Committee on Education and the Workforce
_______________________________________________________________________
A BILL
To amend the Richard B. Russell National School Lunch Act and the Child
Nutrition Act of 1966 to increase reimbursement rates of school meals,
and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited ``Healthy Meals Help Kids Learn Act of
2023''.
SEC. 2. INCREASING THE REIMBURSEMENT RATE OF SCHOOL MEALS.
(a) School Lunch Increase.--Section 4(b) of the Richard B. Russell
National School Lunch Act (42 U.S.C. 1753(b)) is amended by adding at
the end the following:
``(4) Non-Performance-Based Additional Reimbursement.--
``(A) In general.--Beginning on July 1, 2023, each lunch
served in school food authorities shall receive an additional
45 cents.
``(B) Adjustment.--The amount in subparagraph (A) shall be
adjusted in accordance with section 11(a)(3) beginning on July
1, 2024.''.
(b) School Breakfast Increase.--Section 4(b)(1) of the Child
Nutrition Act of 1966 (42 U.S.C. 1758(b)(1)) is amended by adding at
the end the following:
``(F) Non-Performance-Based Additional Reimbursement.--
``(i) In general.--Beginning on July 1, 2023, each free
breakfast, reduced price breakfast, and breakfast served to
children not eligible for free or reduced price meals served in
school food authorities shall receive an additional 28 cents.
``(ii) Adjustment.--The amount in clause (i) shall be
adjusted in accordance with section 11(a)(3) of the Richard B.
Russell National School Lunch Act beginning on July 1, 2024.''.
<all>
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118HR127 | Protection from Obamacare Mandates and Congressional Equity Act | [
[
"B001302",
"Rep. Biggs, Andy [R-AZ-5]",
"sponsor"
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] | <p><b>Protection from Obamacare Mandates and Congressional Equity Act</b></p> <p>This bill alters provisions relating to the requirement to maintain minimum essential health care coverage (i.e., the individual mandate), as well as provisions relating to health care coverage for certain executive branch and congressional employees. </p> <p>Specifically, the bill exempts individuals from the requirement to maintain minimum essential health care coverage if they reside in a county where fewer than two health insurers offer insurance on the health insurance exchange. Under current law, there is no penalty for failing to maintain minimum essential health care coverage.</p> <p>The bill also requires certain executive branch and congressional employees to participate in health insurance exchanges. Under current law, Members of Congress and their designated staff are required to obtain coverage through health insurance exchanges, rather than the Federal Employee Health Benefits (FEHB) Program. Current regulations authorize government contributions toward such coverage and require Members of Congress to designate which members of their staff are required to obtain coverage through an exchange. </p> <p>The bill requires all congressional staff, including employees of congressional committees and leadership offices, to obtain coverage through an exchange. The bill also prohibits Members of Congress from having the discretion to determine which of their employees are eligible to enroll through an exchange. Further, the President, Vice President, and executive branch political appointees must also obtain coverage through exchanges, rather than FEHB. The government is prohibited from contributing to or subsidizing the health insurance coverage of the officials and employees subject to this requirement, including Members of Congress and their staff.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 127 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 127
To amend the Internal Revenue Code of 1986 to provide an exemption to
the individual mandate to maintain health coverage for individuals
residing in counties with fewer than 2 health insurance issuers
offering plans on an Exchange; to require Members of Congress and
congressional staff to abide by the Patient Protection and Affordable
Care Act with respect to health insurance coverage; and for other
purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 9, 2023
Mr. Biggs introduced the following bill; which was referred to the
Committee on Ways and Means, and in addition to the Committees on
Energy and Commerce, House Administration, and Oversight and
Accountability, for a period to be subsequently determined by the
Speaker, in each case for consideration of such provisions as fall
within the jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to provide an exemption to
the individual mandate to maintain health coverage for individuals
residing in counties with fewer than 2 health insurance issuers
offering plans on an Exchange; to require Members of Congress and
congressional staff to abide by the Patient Protection and Affordable
Care Act with respect to health insurance coverage; and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Protection from Obamacare Mandates
and Congressional Equity Act''.
SEC. 2. MODIFICATIONS TO EXEMPTION FROM REQUIREMENT TO MAINTAIN HEALTH
COVERAGE.
(a) Exemption for Individuals in Areas With Fewer Than 2 Issuers
Offering Plans on an Exchange.--Section 5000A(e) of the Internal
Revenue Code of 1986 is amended by adding at the end the following new
paragraph:
``(6) Individuals in areas with fewer than 2 issuers
offering plans on an exchange.--
``(A) In general.--Any applicable individual for
any period during a calendar year if there are fewer
than 2 health insurance issuers offering qualified
health plans on an Exchange for such period in the
county in which the applicable individual resides.
``(B) Aggregation rules.--For purposes of
subparagraph (A), all health insurance issuers treated
as a single employer under subsection (a) or (b) of
section 52, or subsection (m) or (o) of section 414,
shall be treated as a single health insurance
issuer.''.
(b) Effective Date.--The amendments made by this section shall
apply to months beginning after the date of the enactment of this Act.
SEC. 3. HEALTH INSURANCE COVERAGE FOR CERTAIN CONGRESSIONAL STAFF AND
MEMBERS OF THE EXECUTIVE BRANCH.
Section 1312(d)(3)(D) of the Patient Protection and Affordable Care
Act (42 U.S.C. 18032(d)(3)(D)) is amended--
(1) by striking the subparagraph heading and inserting the
following:
``(D) Members of congress, congressional staff, and
political appointees in the exchange.--'';
(2) in clause (i), in the matter preceding subclause (I)--
(A) by striking ``and congressional staff with''
and inserting ``, congressional staff, the President,
the Vice President, and political appointees with'';
and
(B) by striking ``or congressional staff shall''
and inserting ``, congressional staff, the President,
the Vice President, or a political appointee shall'';
(3) in clause (ii)--
(A) in subclause (II), by inserting after
``Congress,'' the following: ``of a committee of
Congress, or of a leadership office of Congress,''; and
(B) by adding at the end the following:
``(III) Political appointee.--The
term `political appointee' means any
individual who--
``(aa) is employed in a
position described under
sections 5312 through 5316 of
title 5, United States Code
(relating to the Executive
Schedule);
``(bb) is a limited term
appointee, limited emergency
appointee, or noncareer
appointee in the Senior
Executive Service, as defined
under paragraphs (5), (6), and
(7), respectively, of section
3132(a) of title 5, United
States Code; or
``(cc) is employed in a
position in the executive
branch of the Government of a
confidential or policy-
determining character under
schedule C of subpart C of part
213 of title 5 of the Code of
Federal Regulations.''; and
(4) by adding at the end the following:
``(iii) Government contribution.--No
Government contribution under section 8906 of
title 5, United States Code, shall be provided
on behalf of an individual who is a Member of
Congress, a congressional staff member, the
President, the Vice President, or a political
appointee for coverage under this paragraph.
``(iv) Limitation on amount of tax credit
or cost sharing.--An individual enrolling in
health insurance coverage pursuant to this
paragraph shall not be eligible to receive a
tax credit under section 36B of the Internal
Revenue Code of 1986 or reduced cost sharing
under section 1402 of this Act in an amount
that exceeds the total amount for which a
similarly situated individual (who is not so
enrolled) would be entitled to receive under
such sections.
``(v) Limitation on discretion for
designation of staff.--Notwithstanding any
other provision of law, a Member of Congress
shall not have discretion in determinations
with respect to which employees employed by the
office of such Member are eligible to enroll
for coverage through an Exchange.
``(vi) Clarification.--The terms `small
employer' (as defined under section 1304(b)(2))
and `qualified employers' (as defined under
subsection (f)) do not include the Congress,
with respect to enrollments in an Exchange and
a SHOP Exchange.''.
<all>
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118HR1270 | To exclude certain amounts relating to compensating victims of the East Palestine train derailment, and for other purposes. | [
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] | <p>This bill excludes from gross income, for income tax purposes, compensation received by individuals and businesses for losses resulting from the East Palestine, Ohio train derailment on February 3, 2023. This includes lost business income paid by a federal, state, or local government agency, Norfolk Southern Railway, or any subsidiary, insurer, or agent of the railway, or any related person.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1270 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1270
To exclude certain amounts relating to compensating victims of the East
Palestine train derailment, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Johnson of Ohio (for himself, Mr. Balderson, Mr. Miller of Ohio,
Mr. Latta, Mr. Davidson, Mr. Joyce of Ohio, Mr. Wenstrup, Mrs. Sykes,
Mr. Turner, Mr. Jordan, and Mr. Carey) introduced the following bill;
which was referred to the Committee on Ways and Means
_______________________________________________________________________
A BILL
To exclude certain amounts relating to compensating victims of the East
Palestine train derailment, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. EAST PALESTINE DISASTER RELIEF PAYMENTS.
(a) Disaster Relief Payments to Victims of East Palestine Train
Derailment.--The East Palestine train derailment is hereby deemed to be
a qualified disaster for the purposes of section 139(c) of the Internal
Revenue Code of 1986.
(b) Exclusion From Gross Income of Business Interruption
Payments.--For purposes of the Internal Revenue Code of 1986, gross
income does not include any amounts provided to a taxpayer to
compensate such taxpayer for lost business income resulting from the
East Palestine train derailment by a--
(1) Federal, State, or local government agency,
(2) Norfolk Southern Railway, or
(3) any subsidiary, insurer, or agent of Norfolk Southern
Railway or any related person.
(c) Train Derailment.--For purposes of this section, the term
``East Palestine train derailment'' means the derailment of a train in
East Palestine, Ohio, on February 3, 2023.
(d) Effective Date.--This section shall apply to amounts received
on or after February 3, 2023.
<all>
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118HR1271 | No Retaining Every Gun In a System That Restricts Your Rights Act | [
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[From the U.S. Government Publishing Office]
[H.R. 1271 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1271
To amend title 18, United States Code, to discontinue the collection by
the Federal Government of firearm transaction records of discontinued
firearms businesses, to require the destruction of such already
collected records, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Cloud (for himself, Mr. Crenshaw, Mrs. Luna, Mrs. Boebert, Mr.
Bishop of North Carolina, Mr. Biggs, Mr. Perry, Mr. Mann, Mr. Johnson
of Louisiana, Mrs. Harshbarger, Mr. Burlison, Mr. Nehls, Mr. Massie,
Mr. LaTurner, Mr. Sessions, Mr. Johnson of Ohio, Mr. Bergman, Mr.
Clyde, Ms. De La Cruz, Ms. Greene of Georgia, Mr. McClintock, Mr. Good
of Virginia, Mr. Babin, Mr. Brecheen, Mr. Burchett, Mrs. Cammack, Mr.
Carl, Mr. Cline, Mr. Collins, Mr. Crane, Mr. Crawford, Mr. Davidson,
Mr. DesJarlais, Mr. Donalds, Mr. Duncan, Mr. Dunn of Florida, Mr.
Edwards, Mr. Ellzey, Mr. Gaetz, Mr. Gooden of Texas, Mr. Gosar, Mr.
Griffith, Mr. Grothman, Ms. Hageman, Mr. Hudson, Mr. Joyce of
Pennsylvania, Mr. Lamborn, Mrs. Lesko, Mrs. Rodgers of Washington, Mrs.
Miller of Illinois, Mr. Mooney, Mr. Moore of Alabama, Mr. Murphy, Mr.
Norman, Mr. Ogles, Mr. Posey, Mr. Rosendale, Mr. Roy, Ms. Stefanik, Ms.
Tenney, Mr. Tiffany, Mr. Timmons, and Mr. Weber of Texas) introduced
the following bill; which was referred to the Committee on the
Judiciary
_______________________________________________________________________
A BILL
To amend title 18, United States Code, to discontinue the collection by
the Federal Government of firearm transaction records of discontinued
firearms businesses, to require the destruction of such already
collected records, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``No Retaining Every Gun In a System
That Restricts Your Rights Act''.
SEC. 2. DESTRUCTION OF BUREAU OF ALCOHOL, TOBACCO, FIREARMS AND
EXPLOSIVES FIREARM TRANSACTION RECORDS OF DISCONTINUED
FIREARMS BUSINESSES.
(a) In General.--Within 90 days after the date of the enactment of
this Act, the Director of the Bureau of Alcohol, Tobacco, Firearms and
Explosives shall destroy all firearm transaction records delivered to
the Attorney General pursuant to section 923(g)(4) of title 18, United
States Code.
(b) Preventing Future Firearm Registration.--Section 923(g)(4) of
title 18, United States Code, is amended by striking the 2nd and 3rd
sentences.
SEC. 3. REPORT TO THE CONGRESS.
The Director of the Bureau of Alcohol, Tobacco, Firearms and
Explosives shall submit to the Congress a written report that specifies
the number of firearm transaction records destroyed pursuant to section
2(a).
<all>
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118HR1272 | To designate the facility of the United States Postal Service located at 4400 East Paisano Drive in El Paso, Texas, as the "Enedina Sanchez Cordero Post Office Building". | [
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[From the U.S. Government Publishing Office]
[H.R. 1272 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1272
To designate the facility of the United States Postal Service located
at 4400 East Paisano Drive in El Paso, Texas, as the ``Enedina Sanchez
Cordero Post Office Building''.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Ms. Escobar (for herself, Mr. Veasey, Mr. Allred, Mr. Castro of Texas,
Mr. Vicente Gonzalez of Texas, Ms. Crockett, Ms. Garcia of Texas, Mr.
Doggett, Mr. Casar, Mr. Cuellar, Ms. Jackson Lee, Mrs. Fletcher, and
Mr. Green of Texas) introduced the following bill; which was referred
to the Committee on Oversight and Accountability
_______________________________________________________________________
A BILL
To designate the facility of the United States Postal Service located
at 4400 East Paisano Drive in El Paso, Texas, as the ``Enedina Sanchez
Cordero Post Office Building''.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. ENEDINA SANCHEZ CORDERO POST OFFICE BUILDING.
(a) Designation.--The facility of the United States Postal Service
located at 4400 East Paisano Drive in El Paso, Texas, shall be known
and designated as the ``Enedina Sanchez Cordero Post Office Building''.
(b) References.--Any reference in a law, map, regulation, document,
paper, or other record of the United States to the facility referred to
in subsection (a) shall be deemed to be a reference to the ``Enedina
Sanchez Cordero Post Office Building''.
<all>
</pre></body></html>
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118HR1273 | Peace Corps Reauthorization Act of 2023 | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1273 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1273
To amend the Peace Corps Act by providing better support for current
and returned volunteers, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Garamendi (for himself, Mr. Graves of Louisiana, Mr. Meeks, and
Mrs. Radewagen) introduced the following bill; which was referred to
the Committee on Foreign Affairs
_______________________________________________________________________
A BILL
To amend the Peace Corps Act by providing better support for current
and returned volunteers, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Peace Corps Reauthorization Act of
2023''.
SEC. 2. FUNDING FOR THE PEACE CORPS; INTEGRATION OF INFORMATION AGE
VOLUNTEER OPPORTUNITIES.
Section 3 of the Peace Corps Act (22 U.S.C. 2502) is amended--
(1) in subsection (b)(2), by striking ``that fiscal year
and the subsequent fiscal year'' and inserting ``obligation
until the last day of the subsequent fiscal year''; and
(2) by redesignating subsection (h) as subsection (e).
SEC. 3. READJUSTMENT ALLOWANCES FOR VOLUNTEERS AND VOLUNTEER LEADERS.
Section 5 of the Peace Corps Act (22 U.S.C. 2504) is amended--
(1) in subsection (b), by striking ``insure their health''
and inserting ``ensure their safety, their health, and'';
(2) in subsection (c)--
(A) by striking ``$125'' and inserting ``$375'';
(B) by striking ``his'' each place such term
appears and inserting ``the volunteer's''; and
(C) by striking ``he'' and inserting ``the
volunteer'';
(3) by redesignating subsection (e) as subsection (d);
(4) by inserting after subsection (d), as redesignated, the
following:
``(e) The Director shall consult with health experts outside of the
Peace Corps, including experts licensed in the field of mental health,
and follow guidance by the Centers for Disease Control and Prevention
regarding the prescription of medications to volunteers.'';
(5) in subsection (h), by striking ``he'' and inserting
``the President'';
(6) in subsection (n)(2)--
(A) by striking ``subsection (e)'' each place such
term appears and inserting ``subsection (d)''; and
(B) by striking ``he'' and inserting ``the
President''; and
(7) in subsection (o), by striking ``his'' each place such
term appears and inserting ``the volunteer's''.
SEC. 4. RESTORATION OF VOLUNTEER OPPORTUNITIES FOR MAJOR DISRUPTIONS TO
VOLUNTEER SERVICE.
(a) In General.--Section 5 of the Peace Corps Act (22 U.S.C. 2504),
as amended by section 3 of this Act, is further amended by adding at
the end the following:
``(q) Disruption of Service Protocols.--
``(1) In general.--The Director shall establish processes
for the safe return to service of returning Peace Corps
volunteers whose service is interrupted due to mandatory
evacuations of volunteers due to catastrophic events or global
emergencies of unknowable duration, which processes shall
include--
``(A) the establishment of monitoring and
communications systems, protocols, safety measures,
policies, and metrics for determining the appropriate
approaches for restoring volunteer opportunities for
evacuated returned volunteers whose service is
interrupted by a catastrophic event or global
emergency; and
``(B) streamlining, to the fullest extent
practicable, application requirements for the return to
service of such volunteers.
``(2) Return to service.--Beginning on the date on which
any volunteer described in paragraph (1) returns to service,
the Director shall strive to afford evacuated volunteers, to
the fullest extent practicable, the opportunity--
``(A) to return to their previous country of
service, except for Peace Corps missions in China; and
``(B) to continue their service in the most needed
sectors within the country in which they had been
serving immediately before their evacuation due to a
catastrophic event or global emergency, except for
Peace Corps missions in China.''.
(b) Medical Personnel.--Section 5A(b) of the Peace Corps Act (22
U.S.C. 2504a(b)) is amended, in the matter preceding paragraph (1), by
inserting ``, mental health professionals'' after ``medical officers''.
(c) Volunteer Leaders.--Section 6 of the Peace Corps Act (22 U.S.C.
2505) is amended--
(1) in paragraph (1), by striking ``$125'' and inserting
``$375''; and
(2) in paragraph (3), by striking ``he'' and inserting
``the President''.
SEC. 5. HEALTH CARE CONTINUATION FOR PEACE CORPS VOLUNTEERS.
Section 5(d) of the Peace Corps Act, as redesignated by section
3(3) of this Act, is amended to read as follows:
``(d)(1) Volunteers shall receive such health care during their
service as the Director considers necessary or appropriate, including,
if necessary, services under section 8B.
``(2) Applicants for enrollment shall receive such health
examinations preparatory to their service, and applicants for
enrollment who have accepted an invitation to begin a period of
training under section 8(a) shall receive, preparatory to their
service, such immunization, dental care, and information regarding
prescription options and potential interactions, as may be necessary
and appropriate and in accordance with subsection (F).
``(3) Subject to such conditions as the Director may prescribe, the
health care described in paragraphs (1) and (2) for serving volunteers,
applicants for enrollment, or returned volunteers may be provided in
any facility of any agency of the United States Government, and in such
cases the amount expended for maintaining and operating such facility
shall be reimbursed from appropriations available under this Act.
Health care may not be provided under this subsection in a manner that
is inconsistent with the Assisted Suicide Funding Restriction Act of
1997 (Public Law 105-12).
``(4) Not later than 30 days before the date on which the period of
service of a volunteer terminates, or 30 days after such termination
date if such termination is the result of an emergency, the Director,
in consultation with the Secretary of Health and Human Services, shall
provide detailed information to such volunteer regarding options for
health care after termination other than health care provided by the
Peace Corps, including information regarding--
``(A) how to find additional, detailed information,
including information regarding--
``(i) the application process and eligibility
requirements for medical assistance through a State
Medicaid plan under title XIX of the Social Security
Act (42 U.S.C. 1396 et seq.), or under a waiver of such
plan; and
``(ii) health care option identification services
available through the public and private sectors;
``(B) where detailed information on health plans may be
obtained; and
``(C) if such volunteer is 25 years of age or younger, the
eligibility of such volunteer to enroll as a dependent child in
a group health plan or health insurance coverage in which the
parent of such volunteer is enrolled in such plan or coverage
offers such dependent coverage.
``(5) Paragraph (4) shall apply to volunteers whose periods of
service are subject to early termination.''.
SEC. 6. ACCESS TO ANTIMALARIAL DRUGS AND HYGIENE PRODUCTS FOR PEACE
CORPS VOLUNTEERS.
Section 5A of the Peace Corps Act (22 U.S.C. 2504a) is amended--
(1) by striking subsections (c) and (e);
(2) by redesignating subsection (d) as subsection (e);
(3) by inserting after subsection (b) the following:
``(c) Antimalarial Drugs.--
``(1) In general.--The Director shall consult with experts
at the Centers for Disease Control and Prevention regarding
recommendations for prescribing malaria prophylaxis, in order
to provide the best standard of care within the context of the
Peace Corps environment.
``(2) Certain training.--The Director shall ensure that
each Peace Corps medical officer serving in a malaria-endemic
country receives training in the recognition of the side
effects of such medications.
``(3) Consultation.--The Director shall consult with the
Assistant Secretary of Defense for Health Affairs regarding the
policy of using mefloquine in the field as an antimalarial
prophylactic.
``(d) Access to Hygiene Products.--Not later than 180 days after
the date of the enactment of the Peace Corps Reauthorization Act of
2023, the Director shall establish a comprehensive policy to ensure
Peace Corps volunteers who require hygiene products are able to access
such products.''.
SEC. 7. CODIFICATION OF CERTAIN EXECUTIVE ORDERS RELATING TO EXISTING
NONCOMPETITIVE ELIGIBILITY FEDERAL HIRING STATUS FOR
RETURNING VOLUNTEERS AND EXTENSION OF THE PERIOD OF SUCH
STATUS.
The Peace Corps Act (22 U.S.C. 2501 et seq.) is amended by
inserting after section 5A the following:
``SEC. 5B. CODIFICATION OF EXECUTIVE ORDERS RELATING TO NONCOMPETITIVE
ELIGIBILITY FEDERAL HIRING STATUS FOR RETURNING
VOLUNTEERS.
``(a) In General.--Subject to subsection (b), Executive Order 11103
(22 U.S.C. 2504 note; relating to Providing for the Appointment of
Former Peace Corps Volunteers to the Civilian Career Services), as
amended by Executive Order 12107 (44 Fed. Reg. 1055; relating to the
Civil Service Commission and Labor-Management in the Federal Service),
as in effect on the day before the date of the enactment of the Peace
Corps Reauthorization Act of 2023, shall remain in effect and have the
full force and effect of law.
``(b) Period of Eligibility.--
``(1) Definitions.--In this subsection:
``(A) Executive agency.--the term `Executive
agency'--
``(i) has the meaning given such term in
section 105 of title 5, United States Code;
``(ii) includes the United States Postal
Service and the Postal Regulatory Commission;
and
``(iii) does not include the Government
Accountability Office.
``(B) Hiring freeze.--The term `hiring freeze'
means any memorandum, Executive order, or other action
by the President that prohibits an Executive agency
from filling vacant Federal civilian employee positions
or creating new such positions.
``(2) In general.--The period of eligibility for
noncompetitive appointment to the civil service provided to an
individual under subsection (a), including any individual who
is so eligible on the date of the enactment of the Peace Corps
Reauthorization Act of 2023, shall be extended by the total
number of days, during such period, that--
``(A) a hiring freeze for civilian employees of the
executive branch is in effect by order of the President
with respect to any Executive agency at which the
individual has applied for employment;
``(B) there is a lapse in appropriations with
respect to any Executive agency at which the individual
has applied for employment; or
``(C) the individual is receiving disability
compensation under section 8142 of title 5, United
States Code, based on the individual's service as a
Peace Corps volunteer, retroactive to the date the
individual applied for such compensation.
``(3) Applicability.--The period of eligibility for
noncompetitive appointment status to the civil service under
subsection (a) shall apply to a Peace Corps volunteer--
``(A) whose service ended involuntarily as a result
of a suspension of volunteer operations by the
Director, but may not last longer than 1 year after the
date on which such service ended involuntarily; or
``(B) who re-enrolls as a volunteer in the Peace
Corps after completion of a term of service.''.
SEC. 8. EXTENSION OF PERIOD OF EXISTING NONCOMPETITIVE ELIGIBILITY
FEDERAL HIRING STATUS FOR RETURNING VOLUNTEERS.
The Peace Corps Act (22 U.S.C. 2501 et seq.) is amended by
inserting after section 5B, as added by section 7 of this Act, the
following:
``SEC. 5C. EXTENSION OF PERIOD OF EXISTING NONCOMPETITIVE ELIGIBILITY
FEDERAL HIRING STATUS FOR RETURNING VOLUNTEERS.
``(a) In General.--Subject to section 5B, Executive Order 11103 (22
U.S.C. 2504 note; relating to Providing for the Appointment of Former
Peace Corps Volunteers to the Civilian Career Services), as amended by
Executive Order 12107 (44 Fed. Reg. 1055; relating to the Civil Service
Commission and Labor-Management in the Federal Service), as in effect
on the day before the date of the enactment of the Peace Corps
Reauthorization Act of 2023, shall remain in effect and have the full
force and effect of law.
``(b) Noncompetitive Eligibility Federal Hiring Status.--Subject to
subsection (d), any volunteer whose Peace Corps service was terminated
after April 1, 2020, and who has been certified by the Director as
having satisfactorily completed a full term of service, may be
appointed within two years of completion of qualifying service to a
position in any United States department, agency, or establishment in
the competitive service under title 5, United States Code, without
competitive examination, in accordance with such regulations and
conditions as may be prescribed by the Director of the Office of
Personnel Management.
``(c) Extension.--The appointing authority may extend the
noncompetitive appointment eligibility under subsection (b) to not more
than 3 years after a volunteer's separation from the Peace Corps if the
volunteer, following such service, was engaged in--
``(1) military service;
``(2) the pursuit of studies at a recognized institution of
higher learning; or
``(3) other activities which, in the view of the appointing
authority, warrant an extension of such eligibility.
``(d) Exception.--The appointing authority may not extend the
noncompetitive appointment eligibility under subsection (b) to any
volunteer who chooses to be subject to early termination.''.
SEC. 9. COMPREHENSIVE ILLEGAL DRUG USE POLICY WITH RESPECT TO PEACE
CORPS VOLUNTEERS.
(a) In General.--The Peace Corps Act (22 U.S.C. 2501 et seq.) is
amended by inserting after section 8I (22 U.S.C. 2507i) the following
new section:
``SEC. 8J. COMPREHENSIVE ILLEGAL DRUG USE POLICY WITH RESPECT TO PEACE
CORPS VOLUNTEERS.
``(a) In General.--The Director shall develop and implement a
comprehensive drug use policy with respect to Peace Corps volunteers.
The policy shall--
``(1) establish a zero tolerance policy regarding volunteer
or trainee involvement with illegal drugs; and
``(2) require that every case of volunteer or trainee
illegal drug involvement be brought immediately to the
attention of relevant Peace Corps leadership, including the
Director, and be reported expeditiously by the Peace Corps to
the Office of the Inspector General.
``(b) Consultation.--In developing the policy described in
subsection (a), the Director may consult with and incorporate, as
appropriate, the recommendations and views of experts in the field of
substance abuse, and shall consult with the Committee on Foreign
Affairs of the House of Representatives and the Committee on Foreign
Relations of the Senate.''.
(b) Report.--Not later than one year after the date of the
enactment of this Act, the Director shall submit to the Committee on
Foreign Affairs of the House of Representatives and the Committee on
Foreign Relations of the Senate a report on the illegal drug use policy
required to be developed and implemented under section 8J of the Peace
Corps Act, as added by subsection (a).
SEC. 10. PROTECTION OF PEACE CORPS VOLUNTEERS AGAINST REPRISAL OR
RETALIATION.
Section 8G of the Peace Corps Act (22 U.S.C. 2507g) is amended by
adding at the end the following:
``(d) Prohibition Against Reprisal or Retaliation.--
``(1) Definitions.--In this subsection:
``(A) Covered official or office.--The term
`covered official or office' means--
``(i) any Peace Corps employee, including
an employee of the Office of Inspector General;
``(ii) a Member of Congress or a designated
representative of a committee of Congress;
``(iii) an Inspector General (other than
the Inspector General for the Peace Corps);
``(iv) the Government Accountability
Office;
``(v) any authorized official of the
Department of Justice or other Federal law
enforcement agency; and
``(vi) a United States court, including any
Federal grand jury.
``(B) Relief.--The term `relief' includes all
affirmative relief necessary to make a volunteer whole,
including monetary compensation, equitable relief,
compensatory damages, and attorney fees and costs.
``(C) Reprisal or retaliation.--The term `reprisal
or retaliation' means taking, threatening to take, or
initiating adverse administrative action against a
volunteer because the volunteer made a report described
in subsection (a) or otherwise disclosed to a covered
official or office any information pertaining to waste,
fraud, abuse of authority, misconduct, mismanagement,
violations of law, or a significant threat to health
and safety, if the activity or occurrence complained of
is based upon the reasonable belief of the volunteer.
``(2) In general.--The Director of the Peace Corps shall
take all reasonable measures, including through the development
and implementation of a comprehensive policy, to prevent and
address reprisal or retaliation against a volunteer by any
Peace Corps officer or employee, or any other person with
supervisory authority over the volunteer during the volunteer's
period of service.
``(3) Reporting and investigation; relief.--
``(A) In general.--A volunteer may report a
complaint or allegation of reprisal or retaliation--
``(i) directly to the Inspector General of
the Peace Corps, who may conduct such
investigations and make such recommendations
with respect to the complaint or allegation as
the Inspector General considers appropriate;
and
``(ii) through other channels provided by
the Peace Corps, including through the process
for confidential reporting implemented pursuant
to subsection (a).
``(B) Relief.--The Director of the Peace Corps--
``(i) may order any relief for an
affirmative finding of a proposed or final
resolution of a complaint or allegation of
reprisal or retaliation in accordance with
policies, rules, and procedures of the Peace
Corps; and
``(ii) shall ensure that such relief is
promptly provided to the volunteer.
``(4) Appeal.--
``(A) In general.--A volunteer may submit an appeal
to the Director of the Peace Corps of any proposed or
final resolution of a complaint or allegation of
reprisal or retaliation.
``(B) Rule of construction.--Nothing in this
paragraph may be construed to affect any other right of
recourse a volunteer may have under any other provision
of law.
``(5) Notification of rights and remedies.--The Director of
the Peace Corps shall ensure that volunteers are informed in
writing of the rights and remedies provided under this section.
``(6) Dispute mediation.--The Director of the Peace Corps
shall offer the opportunity for volunteers to resolve disputes
concerning a complaint or allegation of reprisal or retaliation
through mediation in accordance with procedures developed by
the Peace Corps.
``(7) Volunteer cooperation.--The Director of the Peace
Corps may take such disciplinary or other administrative
action, including termination of service, with respect to a
volunteer who unreasonably refuses to cooperate with an
investigation into a compliant or allegation of reprisal or
retaliation conducted by the Inspector General of the Peace
Corps.''.
SEC. 11. PEACE CORPS NATIONAL ADVISORY COUNCIL.
Section 12 of the Peace Corps Act (22 U.S.C. 2511) is amended--
(1) in subsection (b)(2)--
(A) in the matter preceding subparagraph (A), by
striking ``(subject to subsection (d)(1)) conduct on-
site inspections, and make examinations, of the
activities of the Peace Corps in the United States and
in other countries in order to'';
(B) in subparagraph (C), by striking ``and'' at the
end;
(C) by redesignating subparagraph (D) as
subparagraph (G); and
(D) by inserting after subparagraph (C) the
following:
``(D) make recommendations for utilizing the
expertise of returned Peace Corps volunteers in
fulfilling the goals of the Peace Corps;
``(E) make recommendations on strengthening
diversity, equity, inclusion, and accessibility
principles in the workforce and daily work of the Peace
Corps, including by--
``(i) increasing the recruitment of
volunteers from diverse backgrounds and better
supporting such volunteers during their
training and enrollment in the Peace Corps;
``(ii) increasing and sustaining a diverse
and inclusive workforce through data
collection, anti-harassment and anti-
discrimination measures, recruitment,
retention, professional development, and
promotion and leadership initiatives that also
consider the work and roles of contractors;
``(iii) ensuring that advisory committees
and boards represent the diversity of the
agency; and
``(iv) increasing opportunities in
operations, programming, and procurement
through work with partners and communities that
are underrepresented or traditionally
marginalized;
``(F) make recommendations to reduce any financial
barriers to application, training, or enrollment in the
Peace Corps, including medical expenses and other out-
of-pocket costs; and'';
(2) in subsection (c), by amending paragraph (2) to read as
follows:
``(2)(A) The Council shall be composed of 7 members who are United
States citizens and are not being paid as officers or employees of the
Peace Corps or of any other United States Government entity.
``(B) Of the 7 members of the Council--
``(i) 1 member shall be appointed by the President;
``(ii) 3 members shall be appointed by the President pro
tempore of the Senate, of which--
``(I) 2 members shall be appointed upon the
recommendation of the leader in the Senate of the
political party that is not the political party of the
President;
``(II) 1 member shall be appointed upon the
recommendation of the leader in the Senate of the
political party of the President; and
``(III) at least 2 members shall be former Peace
Corps volunteers; and
``(iii) 3 members shall be appointed by the Speaker of the
House of Representatives, of which--
``(I) 2 members shall be appointed upon the
recommendation of the leader in the House of
Representatives of the political party that is not the
political party of the President;
``(II) 1 member shall be appointed upon the
recommendation of the leader in the House of
Representatives of the political party of the
President; and
``(III) at least 2 members shall be former Peace
Corps volunteers.
``(C) Council members shall be appointed to 2-year terms. No member
of the Council may serve for more than 2 consecutive 2-year terms.
``(D) Not later than 30 days after any vacancy occurs on the
Council, the Director shall appoint an individual to fill such vacancy.
Any Council member appointed to fill a vacancy occurring before the
expiration of the term for which the member's predecessor was
appointed--
``(i) shall be appointed for the remainder of such term;
and
``(ii) may only serve on the Council for 1 additional 2-
year term.
``(E)(i) Except as provided in clause (ii), Council members shall
not be subject to laws relating to Federal employment, including laws
relating to hours of work, rates of compensation, leave, unemployment
compensation, and Federal employee benefits.
``(ii) Notwithstanding clause (i), Council members shall be deemed
to be Federal employees for purposes of--
``(I) chapter 81 of title 5, United States Code (relating
to compensation for work-related injuries);
``(II) chapter 11 of title 18, United States Code (relating
to conflicts of interest);
``(III) chapter 171 of title 28, United States Code
(relating to tort claims); and
``(IV) section 3721 of title 31 (relating to claims for
damage to, or loss of, personal property incident to service).
``(F) Council members shall serve at the pleasure of the Director.
The Council may remove a member from the Council by a vote of 5 members
if the Council determines that such member--
``(i) committed malfeasance in office;
``(ii) persistently neglected, or was unable to
successfully discharge, his or her duties on the Council; or
``(iii) committed an offense involving moral turpitude.'';
(3) in subsection (g)--
(A) by striking ``and at its first regular meeting
in each calendar year thereafter'' and inserting ``at
its first meeting each subsequent calendar year''; and
(B) by adding at the end the following: ``The Chair
and Vice Chair shall each serve in such capacity for a
period not to exceed 2 years. The Director may renew
the term of members appointed as Chair and Vice Chair
under this subsection.'';
(4) in subsection (h), by amending paragraph (1) to read as
follows:
``(1) The Council shall hold 1 regular meeting per quarter of each
calendar year at a date and time to be determined by the Chair of the
Council or at the call of the Director.''; and
(5) by adding at the end the following:
``(k) Independence of Inspector General.--None of the activities or
functions of the Council authorized under subsection (b)(2) may
undermine the independence or supersede the duties of the Inspector
General of the Peace Corps.''.
SEC. 12. MEMORANDUM OF AGREEMENT WITH BUREAU OF DIPLOMATIC SECURITY OF
THE DEPARTMENT OF STATE.
(a) Quinquennial Review and Update.--Not later than 180 days after
the date of the enactment of this Act, and at least once every 5 years,
the Director of the Peace Corps and the Assistant Secretary of State
for Diplomatic Security shall--
(1) review the Memorandum of Agreement between the Bureau
of Diplomatic Security of the Department of State and the Peace
Corps regarding security support and protection of Peace Corps
volunteers, and staff members abroad; and
(2) update such Memorandum of Agreement, as appropriate.
(b) Notification.--
(1) In general.--The Director of the Peace Corps and the
Assistant Secretary of State for Diplomatic Security shall
jointly submit any update to the Memorandum of Agreement under
subsection (a) to--
(A) the Committee on Foreign Relations of the
Senate; and
(B) the Committee on Foreign Affairs of the House
of Representatives.
(2) Timing of notification.--Each written notification
submitted pursuant to paragraph (1) shall be submitted not
later than 30 days before the update referred to in such
paragraph takes effect.
SEC. 13. CLARIFICATION REGARDING ELIGIBILITY OF UNITED STATES
NATIONALS.
The Peace Corps Act (22 U.S.C. 2501 et seq.), as amended by this
Act, is further amended--
(1) in section 7(a)(5) (22 U.S.C. 2506(a)(5)), by striking
``United States citizens'' each place such term appears and
inserting ``United States nationals of American Samoa and
citizens of the United States'';
(2) in section 8(b) (22 U.S.C. 2507(b)), by inserting
``United States nationals of American Samoa and'' after
``training for'';
(3) in section 10(b) (22 U.S.C. 2509(b)), striking ``any
person not a citizen or resident of the United States'' and
inserting ``any person who is not a United States national of
American Samoa nor a citizen or resident of the United
States''; and
(4) in section 12(g) (22 U.S.C. 2511(g), by inserting
``United States nationals of American Samoa or'' after ``who
are''.
SEC. 14. SEXUAL ASSAULT ADVISORY COUNCIL.
(a) Report and Extension of the Sexual Assault Advisory Council.--
Section 8D of the Peace Corps Act (22 U.S.C. 2507d) is amended--
(1) by amending subsection (d) to read as follows:
``(d) Reports.--On an annual basis through the date specified in
subsection (g), the Council shall submit a report to the Director of
the Peace Corps, the Committee on Foreign Relations of the Senate, the
Committee on Appropriations of the Senate, the Committee on Foreign
Affairs of the House of Representatives, and the Committee on
Appropriations of the House of Representatives that describes its
findings based on the reviews conducted pursuant to subsection (c) and
includes relevant recommendations. Each such report shall be made
publicly available.''; and
(2) in subsection (g), by striking ``October 1, 2023'' and
inserting ``October 1, 2028''.
SEC. 15. SUSPENSION WITHOUT PAY.
Section 7 of the Peace Corps Act (22 U.S.C. 2506) is amended by
inserting after subsection (a) the following:
``(b) Suspension Without Pay.--(1) The Peace Corps may suspend
(without pay) any employee appointed or assigned under this section if
the Director has determined that the employee engaged in serious
misconduct that could impact the efficiency of the service and could
lead to removal for cause.
``(2) Any employee for whom a suspension without pay is proposed
under this subsection shall be entitled to--
``(A) written notice stating the specific reasons for such
proposed suspension;
``(B)(i) up to 15 days to respond orally or in writing to
such proposed suspension if the employee is assigned in the
United States; or
``(ii) up to 30 days to respond orally or in writing to
such proposed suspension if the employee is assigned outside of
the United States;
``(C) representation by an attorney or other
representative, at the employee's own expense;
``(D) a written decision, including the specific reasons
for such decision, as soon as practicable;
``(E) a process through which the employee may submit an
appeal to the Director of the Peace Corps not later than 10
business days after the issuance of a written decision; and
``(F) a final decision personally rendered by the Director
of the Peace Corps not later than 30 days after the receipt of
such appeal.
``(3) Notwithstanding any other provision of law, a final decision
under paragraph (2)(F) shall be final and not subject to further
review.
``(4) If the Director fails to establish misconduct by an employee
under paragraph (1) and no disciplinary action is taken against such
employee based upon the alleged grounds for the suspension, the
employee shall be entitled to reinstatement, back pay, full benefits,
and reimbursement of attorney fees of up to $20,000.''.
SEC. 16. OCEANIA PEACE CORPS PARTNERSHIPS.
(a) In General.--Not later than one year after the date of the
enactment of this Act, the Director of the Peace Corps shall submit to
Congress a report on strategies to reasonably and safely expand the
number of Peace Corps volunteers in the Indo-Pacific countries of
Oceania, with the goals of--
(1) expanding the presence of the Peace Corps to all
currently feasible locations in the Indo-Pacific countries of
Oceania; and
(2) working with regional and international partners of the
United States to expand the presence of Peace Corps volunteers
in low-income communities in the Indo-Pacific countries of
Oceania in support of climate resilience initiatives.
(b) Elements.--The report required by subsection (a) shall--
(1) assess the factors contributing to the current absence
of the Peace Corps and its volunteers in the Indo-Pacific
countries of Oceania;
(2) examine potential remedies that include working with
United States Government agencies and regional governments,
including Governments of United States allies--
(A) to increase the health infrastructure and
medical evacuation capabilities of the Indo-Pacific
countries of Oceania to better support the safety of
Peace Corps volunteers while in those countries;
(B) to address physical safety concerns that have
decreased the ability of the Peace Corps to operate in
the Indo-Pacific countries of Oceania; and
(C) to increase transportation infrastructure in
the Indo-Pacific countries of Oceania to better support
the travel of Peace Corps volunteers and their access
to necessary facilities;
(3) evaluate the potential to expand the deployment of
Peace Corps Response volunteers to help the Indo-Pacific
countries of Oceania address social, economic, and development
needs of their communities that require specific professional
expertise; and
(4) explore potential new operational models to address
safety and security needs of Peace Corps volunteers in the
Indo-Pacific countries of Oceania, including--
(A) changes to volunteer deployment durations; and
(B) scheduled redeployment of volunteers to
regional or United States-based healthcare facilities
for routine physical and behavioral health evaluation.
(c) Volunteers in Low-Income Oceania Communities.--
(1) In general.--In examining the potential to expand the
presence of Peace Corps volunteers in low-income communities in
the Indo-Pacific countries of Oceania under subsection (a)(2),
the Director of the Peace Corps shall consider the development
of initiatives described in paragraph (2).
(2) Initiatives described.--Initiatives described in this
paragraph are volunteer initiatives that help the Indo-Pacific
countries of Oceania address social, economic, and development
needs of their communities, including by--
(A) addressing, through appropriate resilience-
based interventions, the vulnerability that communities
in the Indo-Pacific countries of Oceania face as result
of extreme weather, severe environmental change, and
other climate related trends; and
(B) improving, through smart infrastructure
principles, access to transportation and connectivity
infrastructure that will help address the economic and
social challenges that communities in the Indo-Pacific
countries of Oceania confront as a result of poor or
nonexistent infrastructure.
(d) Indo-Pacific Countries of Oceania Defined.--The term ``Indo-
Pacific countries of Oceania'' means Fiji, Kiribati, Republic of the
Marshall Islands, Micronesia, Nauru, Palau, Papua New Guinea, Samoa,
Solomon Islands, Tonga, Tuvalu, and Vanuatu.
SEC. 17. REPORTS.
(a) Report on Mental Health Evaluation Standards.--
(1) In general.--Not later than one year after the date of
the enactment of this Act, the Director of the Peace Corps
shall submit to the Committee on Foreign Affairs of the House
of Representatives and the Committee on Foreign Relations of
the Senate a report on the guidelines and standards used to
evaluate the mental health of Peace Corps applicants prior to
service.
(2) Elements.--The report required under paragraph (1)
shall include the following elements:
(A) A detailed description of mental health
screening guidelines and evaluation standards used by
the Peace Corps to determine medical eligibility of
applicants for service, including a description of the
most common mental health conditions of applicants.
(B) Specific standards in the mental health
screening process that could lead to an applicant's
disqualification from service, and a description of how
these determinations are made.
(C) A description of any expedited mental health
clearance process for severe or recent symptom
presentation.
(D) A description of periods of stability related
to certain mental health conditions and symptoms
recommended prior to an applicant's clearance to serve.
(E) An assessment of the impact of updated mental
health evaluation guidance, including a comparison of
mental health related volunteer medevacs in years
before and after updated guidelines were implemented.
(F) A review of these screening guidelines,
conducted by a panel of certified and qualified medical
professionals in the United States, that evaluates
these standards based on scientific evidence and mental
health research and proposes relevant updates or
additions to current guidance.
(b) Report on Volunteer Medical Evacuations.--
(1) In general.--Not later than the first May 1 occurring
after the date of the enactment of this Act, and annually
thereafter for five years, the Director of the Peace Corps
shall submit to the Committee on Foreign Affairs of the House
of Representatives and the Committee on Foreign Relations of
the Senate a report on volunteer medical and mental health
evacuations.
(2) Elements.--The report required under paragraph (1)
shall include the following elements:
(A) The number of Peace Corps volunteer medical and
mental health evacuations during the previous year.
(B) A breakdown of these evacuations into medical
and mental health evacuation categories.
(C) The estimated cost of these evacuations for
each year, including a breakdown of costs between
medical and mental health evacuation categories.
SEC. 18. TECHNICAL AND CONFORMING AMENDMENTS.
The Peace Corps Act (22 U.S.C. 2501 et seq.), as amended by this
Act, is further amended--
(1) by amending section 1 to read as follows:
``SECTION 1. SHORT TITLE; TABLE OF CONTENTS.
``(a) Short Title.--This Act may be cited as the `Peace Corps Act'.
``(b) Table of Contents.--The table of contents for this Act is as
follows:
``TITLE I--THE PEACE CORPS
``Sec. 1. Short title; table of contents.
``Sec. 2. Declaration of purpose.
``Sec. 2A. Peace Corps as an independent agency.
``Sec. 3. Authorization.
``Sec. 4. Director of the Peace Corps and delegation of functions.
``Sec. 5. Peace Corps volunteers.
``Sec. 5A. Health care for volunteers at Peace Corps posts.
``Sec. 5B. Codification of Executive orders relating to noncompetitive
eligibility Federal hiring status for
returning volunteers.
``Sec. 5C. Extension of period of existing noncompetitive eligibility
Federal hiring status for returning
volunteers.
``Sec. 6. Peace Corps volunteer leaders.
``Sec. 7. Peace Corps employees.
``Sec. 8. Volunteer training.
``Sec. 8A. Sexual assault risk-reduction and response training.
``Sec. 8B. Sexual assault policy.
``Sec. 8C. Office of Victim Advocacy.
``Sec. 8D. Establishment of Sexual Assault Advisory Council.
``Sec. 8E. Volunteer feedback and Peace Corps review.
``Sec. 8F. Establishment of a policy on stalking.
``Sec. 8G. Establishment of a confidentiality protection policy.
``Sec. 8H. Removal and assessment and evaluation.
``Sec. 8I. Reporting requirements.
``Sec. 8J. Comprehensive illegal drug use policy with respect to Peace
Corps volunteers.
``Sec. 9. Participation of foreign nationals.
``Sec. 10. General powers and authorities.
``Sec. 11. Reports.
``Sec. 12. Peace Corps National Advisory Council.
``Sec. 13. Experts and consultants.
``Sec. 14. Detail of personnel to foreign governments and international
organizations.
``Sec. 15. Utilization of funds.
``Sec. 16. Foreign Currency Fluctuations Account.
``Sec. 17. Use of foreign currencies.
``Sec. 18. Activities promoting Americans' understanding of other
peoples.
``Sec. 19. Exclusive right to seal and name.
``Sec. 22. Security investigations.
``Sec. 23. Universal Military Training and Service Act.
``Sec. 24. Foreign language proficiency.
``Sec. 25. Nonpartisan appointments.
``Sec. 26. Definitions.
``Sec. 27. Construction.
``Sec. 28. Effective date.
``TITLE II--AMENDMENT OF INTERNAL REVENUE CODE AND SOCIAL SECURITY ACT
``TITLE III--ENCOURAGEMENT OF VOLUNTARY SERVICE PROGRAMS
``Sec. 301. '';
(2) in section 2(a) (22 U.S.C. 2501(a))--
(A) by striking ``help the peoples'' and inserting
``partner with the peoples''; and
(B) by striking ``manpower'' and inserting
``individuals'';
(3) in section 3 (22 U.S.C. 2502), in subsection (e), as
redesignated, by striking ``disabled people'' each place such
term appears and inserting ``people with disabilities'';
(4) in section 4(b) (22 U.S.C. 2503(b))--
(A) by striking ``him'' and inserting ``the
President'';
(B) by striking ``he'' and inserting ``the
Director''; and
(C) by striking ``of his subordinates'' and all
that follows through ``functions.'' and inserting
``subordinate of the Director the authority to perform
any such function.'';
(5) in section 5 (22 U.S.C. 2504)--
(A) in subsection (c), by striking ``: Provided,
however,'' and all that follows through ``the amount''
and inserting ``. Under such circumstances as the
President may determine, the accrued readjustment
allowance, or any part thereof, may be paid to the
volunteer, members of the volunteer's family, or
others, during the period of the volunteer's service,
or prior to the volunteer's return to the United
States. In the event of the volunteer's death during
the period of his service, the amount''; and
(B) in subsection (o) by striking ``the date of his
departure'' and all that follows and inserting ``the
date of the volunteer's departure from the volunteer's
place of residence to enter training until not later
than 3 months after the termination of the volunteer's
service.'';
(6) in section 6(3) (22 U.S.C. 2505(3)), by striking by
striking ``he may determine'' and inserting ``the President may
determine'';
(7) in section 7 (22 U.S.C. 2506)--
(A) in subsection (a), by moving paragraphs (7) and
(8) 2 ems to the left; and
(B) in subsection (b), as redesignated, by striking
``in his discretion'' and inserting ``in the
President's discretion'';
(8) in section 8A (22 U.S.C. 2507a)--
(A) in subsection (c), by striking ``his or her''
and inserting ``the volunteer's'';
(B) in subsection (d)(2), by inserting ``the''
before ``information''; and
(C) in subsection (f)--
(i) in paragraph (2)(A), by striking ``his
or her'' each place such phrase appears and
inserting ``the volunteer's''; and
(ii) in paragraph (4)(A), by striking ``his
or her'' and inserting ``the person's'';
(9) in section 8C(a) (22 U.S.C. 2507c(a)), in the
subsection heading, by striking ``Victims'' and inserting
``Victim'';
(10) in section 8E (22 U.S.C. 2507e)--
(A) in subsection (b), by striking ``subsection
(c),,'' and inserting ``subsection (c),''; and
(B) in subsection (e)(1)(F), by striking ``Peace
Corp's mission'' and inserting ``Peace Corps'
mission'';
(11) in section 9 (22 U.S.C. 2508)--
(A) by striking ``under which he was admitted or
who fails to depart from the United States at the
expiration of the time for which he was admitted'' and
inserting ``under which such person was admitted or who
fails to depart from the United States at the
expiration of the period for which such person was
admitted''; and
(B) by striking ``Act proceedings'' and inserting
``Act. Removal proceedings'';
(12) in section 10 (22 U.S.C. 2509)--
(A) in subsection (b), by striking ``he may
prescribe'' and inserting ``the President may
prescribe'';
(B) in subsection (d), by striking ``section 3709
of the Revised Statutes of the United States, as
amended, section 302 of the Federal Property and
Administrative Services Act of 1949''; and by inserting
``sections 3101(a), 3101(c), 3104, 3106, 3301(b)(2),
and 6101 of title 41, United States Code''; and
(C) in subsection (j), by striking ``of this
section.'';
(13) in section 12(d)(1)(b) (22 U.S.C. 2511(d)(1)(b)), by
striking ``his or her'' and inserting ``the member's'';
(14) in section 14 (22 U.S.C. 2513)--
(A) in subsection (a), by striking ``his agency''
and inserting ``such agency''; and
(B) in subsection (b)--
(i) by striking ``his allowance'' and
inserting ``the''; and
(ii) by striking ``he'';
(15) in section 15 (22 U.S.C. 2514)--
(A) in subsection (c), by striking ``that Act'' and
inserting ``that subchapter''; and
(B) in subsection (d)(7), by striking ``his
designee'' and inserting ``the Director's designee'';
(16) in section 19(a) (22 U.S.C. 2518(a)), by striking ``he
shall determine'' and inserting ``the President shall
determine'';
(17) in section 23 (22 U.S.C. 2520)--
(A) in the section heading, by striking ``universal
military training and service'' and inserting
``military selective service''; and
(B) by striking ``Universal Military Training and
Service Act'' and inserting ``Military Selective
Service Act (50 U.S.C. 3801 et seq.)'';
(18) in section 24--
(A) by striking ``he'' each place such term appears
and inserting ``the volunteer''; and
(B) by striking ``his'' and inserting ``the
volunteer's'';
(19) in section 26--
(A) by redesignating paragraphs (2) through (9) as
paragraphs (3) through (10), respectively;
(B) by inserting after paragraph (1) the following:
``(2) The term `Director' means the Director of the Peace
Corps.'';
(C) in paragraph (5), as redesignated, by striking
``he or she'' and inserting ``the medical officer'';
(D) in paragraph (7), as redesignated, by striking
``5(m)'' and inserting ``5(n)''; and
(E) in paragraph (10), as redesignated--
(i) by redesignating clauses (i) and (ii)
as subparagraphs (A) and (B), respectively; and
(ii) in subparagraph (A), as redesignated,
by striking ``section 5(f)'' and inserting
``section 5(e)''; and
(20) in section 301(a), by striking ``manpower'' each place
such term appears and inserting ``individuals''.
<all>
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118HR1274 | Lake Tahoe Restoration Reauthorization Act | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1274 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1274
To reauthorize the Lake Tahoe Restoration Act, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Amodei (for himself, Mrs. Lee of Nevada, Ms. Titus, Mr. Horsford,
and Mr. Garamendi) introduced the following bill; which was referred to
the Committee on Natural Resources, and in addition to the Committees
on Transportation and Infrastructure, and Agriculture, for a period to
be subsequently determined by the Speaker, in each case for
consideration of such provisions as fall within the jurisdiction of the
committee concerned
_______________________________________________________________________
A BILL
To reauthorize the Lake Tahoe Restoration Act, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Lake Tahoe Restoration
Reauthorization Act''.
SEC. 2. REAUTHORIZATION OF THE LAKE TAHOE RESTORATION ACT.
(a) Cooperative Authorities.--Section 4(f) of the Lake Tahoe
Restoration Act (Public Law 106-506) is amended by striking ``4 fiscal
years following the date of enactment of the Water Resources
Development Act of 2016'' and inserting ``period beginning on the date
of enactment of this subsection and ending on the date described in
section 10(a)''.
(b) Authorization of Appropriations.--Section 10(a) of the Lake
Tahoe Restoration Act (Public Law 106-506) is amended by striking ``for
a period'' and all that follows through the period at the end and
inserting ``, to remain available until September 30, 2034.''.
<all>
</pre></body></html>
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118HR1275 | To prohibit the use of Federal funds to carry out Executive Order 14091. | [
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] | <p>This bill prohibits the use of federal funds to carry out Executive Order 14091 (relating to advancing racial equity and support for underserved communities through the federal government).</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1275 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1275
To prohibit the use of Federal funds to carry out Executive Order
14091.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Banks (for himself, Mrs. Miller of Illinois, Mr. Hern, Mr.
Rosendale, Mr. LaMalfa, and Mr. Gosar) introduced the following bill;
which was referred to the Committee on Oversight and Accountability
_______________________________________________________________________
A BILL
To prohibit the use of Federal funds to carry out Executive Order
14091.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. NO FEDERAL FUNDS FOR EXECUTIVE ORDER 14091.
No Federal funds may be used to carry out Executive Order 14091
(relating to further advancing racial equity and support for
underserved communities through the Federal Government), issued on
February 16, 2023.
<all>
</pre></body></html>
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118HR1276 | Protect Minors from Medical Malpractice Act of 2023 | [
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] | <p><strong>Protect Minors from Medical Malpractice Act of 2023</strong></p> <p>This bill makes a medical practitioner who performs a gender-transition procedure on an individual who is less than 18 years of age liable for any physical, psychological, emotional, or physiological harms from the procedure for 30 years after the individual turns 18.</p> <p>Additionally, if a state requires medical practitioners to perform gender-transition procedures, that state shall be ineligible for federal funding from the Department of Health and Human Services.</p> <p>Gender-transition procedures generally include certain surgeries or hormone therapies that change the body of an individual to correspond to a sex that is discordant with the individual's biological sex. They exclude, however, interventions to treat (1) individuals who either have ambiguous external biological sex characteristics or lack a normal sex chromosome structure, sex steroid hormone production, or sex steroid hormone action; (2) infections, injuries, diseases, or disorders caused by a gender-transition procedure; or (3) a physical disorder, injury, or illness that places an individual in imminent danger of death or impairment of a major bodily function.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1276 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1276
To protect children from medical malpractice in the form of gender
transition procedures.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Banks (for himself, Mr. Babin, Mr. Johnson of Louisiana, Mr.
Grothman, and Mr. Norman) introduced the following bill; which was
referred to the Committee on Energy and Commerce, and in addition to
the Committees on the Judiciary, Education and the Workforce, Natural
Resources, and Ways and Means, for a period to be subsequently
determined by the Speaker, in each case for consideration of such
provisions as fall within the jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To protect children from medical malpractice in the form of gender
transition procedures.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Protect Minors from Medical
Malpractice Act of 2023''.
SEC. 2. PRIVATE RIGHT OF ACTION FOR A GENDER-TRANSITION PROCEDURE
PERFORMED ON A MINOR.
(a) In General.--A medical practitioner, in any circumstance
described in subsection (c), who performs a gender-transition procedure
on an individual who is less than 18 years of age shall, as described
in subsection (b), be liable to the individual if injured (including
any physical, psychological, emotional, or physiological harms) by such
procedure, related treatment, or the after effects of the procedure or
treatment.
(b) Private Right of Action.--An individual covered by subsection
(a) who receives a gender-transition procedure from a medical
practitioner (or a representative, including a legal guardian, on
behalf of such individual) may, not later than the day that is 30 years
after the date on which the individual turns 18 years of age, bring a
civil action against such medical practitioner in a court of competent
jurisdiction for--
(1) declaratory or injunctive relief;
(2) compensatory damages;
(3) punitive damages; and
(4) attorney's fees and costs.
(c) Circumstances.--For the purposes of subsection (a), the
circumstances described in this subsection are that--
(1) the medical practitioner or the individual receiving
the gender-transition procedure traveled in interstate or
foreign commerce, or traveled using a means, channel, facility,
or instrumentality of interstate or foreign commerce, in
furtherance of or in connection with the conduct described in
subsection (a);
(2) the medical practitioner used a means, channel,
facility, or instrumentality of interstate or foreign commerce
in furtherance of or in connection with the conduct described
in subsection (a);
(3) any payment of any kind was made, directly or
indirectly, in furtherance of or in connection with the conduct
described in subsection (a) using any means, channel, facility,
or instrumentality of interstate or foreign commerce or in or
affecting interstate or foreign commerce;
(4) the medical practitioner transmitted in interstate or
foreign commerce any communication relating to or in
furtherance of the conduct described in subsection (a) using
any means, channel, facility, or instrumentality of interstate
or foreign commerce or in or affecting interstate or foreign
commerce by any means or in any manner, including by computer,
mail, wire, or electromagnetic transmission;
(5) any instrument, item, substance, or other object that
has traveled in interstate or foreign commerce was used to
perform the conduct described in subsection (a);
(6) the conduct described in subsection (a) occurred within
the special maritime and territorial jurisdiction of the United
States, or any territory or possession of the United States; or
(7) the conduct described in subsection (a) otherwise
occurred in or affected interstate or foreign commerce.
SEC. 3. PRESERVING FREEDOM OF CONSCIENCE AND MEDICAL JUDGEMENT FOR
MEDICAL PROVIDERS.
Notwithstanding any other provision of law, no provision of Federal
law shall require, or be construed to require, a medical practitioner
to perform a gender-transition procedure.
SEC. 4. PROHIBITION ON FUNDING FOR CERTAIN STATES.
Notwithstanding any other provision of law, any State that requires
medical practitioners to perform any gender-transition procedure on an
individual in the State shall be ineligible to receive any Federal
funding from the Department of Health and Human Services.
SEC. 5. DEFINITIONS.
In this Act:
(1) Biological sex.--The term ``biological sex'' means the
genetic classification of an individual as male or female, as
reflected in the organization of the body of such individual
for a reproductive role or capacity, such as through sex
chromosomes, naturally occurring sex hormones, and internal and
external genitalia present at birth, without regard to the
subjective sense of identity of the individual.
(2) Gender-transition procedure.--
(A) In general.--Except as provided in subparagraph
(B), the term ``gender-transition procedure'' means--
(i) the prescription or administration of
puberty-blocking drugs for the purpose of
changing the body of an individual so that it
conforms to the subjective sense of identity of
the individual, in the case such identity is at
odds with the individual's biological sex;
(ii) the prescription or administration of
cross-sex hormones for the purpose of changing
the body of an individual so that it conforms
to the subjective sense of identity of the
individual, in the case such identity is at
odds with the individual's biological sex; or
(iii) a surgery to change the body of an
individual so that it conforms to the
subjective sense of identity of the individual,
in the case such identity is at odds with the
individual's biological sex.
(B) Exception.--The term ``gender-transition
procedure'' does not include--
(i) an intervention described in
subparagraph (A) that is performed on--
(I) an individual with biological
sex characteristics that are inherently
ambiguous, such as those born with 46
XX chromosomes with virilization, 46 XY
chromosomes with undervirilization, or
having both ovarian and testicular
tissue; or
(II) an individual with respect to
whom a physician has determined through
genetic or biochemical testing that the
individual does not have normal sex
chromosome structure, sex steroid
hormone production, or sex steroid
hormone action, for a biological male
or biological female;
(ii) the treatment of any infection,
injury, disease, or disorder that has been
caused or exacerbated by the performance of an
intervention described in subparagraph (A)
without regard to whether the intervention was
performed in accordance with State or Federal
law or whether the intervention is covered by
the private right of action under section 2; or
(iii) any procedure undertaken because the
individual suffers from a physical disorder,
physical injury, or physical illness that
would, as certified by a physician, place the
individual in imminent danger of death or
impairment of major bodily function unless the
procedure is performed.
(3) Medical practitioner.--The term ``medical
practitioner'' means a person who is licensed, certified, or
otherwise authorized by the laws of a State to administer
health care in the ordinary course of the practice of the
person's profession.
SEC. 6. EFFECTIVE DATE.
This Act shall take effect on the date of enactment of this Act.
<all>
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] | <p><b>Military Spouse Hiring Act </b></p> <p>This bill expands the Work Opportunity Tax Credit (WOTC) to include the hiring of a qualified military spouse. (The WOTC permits employers who hire individuals who are members of a targeted group such as qualified veterans, ex-felons, or long-term unemployment recipients to claim a tax credit equal to a portion of the wages paid to those individuals.) </p> <p>A <em>qualified military spouse</em> is any individual who is certified by the designated local agency as being (as of the hiring date) a spouse of a member of the Armed Forces.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1277 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1277
To amend the Internal Revenue Code of 1986 to make employers of spouses
of military personnel eligible for the work opportunity credit.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Beyer (for himself, Mr. Kelly of Pennsylvania, Mr. Carter of Texas,
Mr. Panetta, Mr. Cline, Mr. Dunn of Florida, Mr. Bost, Mr. Jackson of
Texas, Mr. Fitzpatrick, Mr. Bacon, Ms. Mace, Mr. Rose, Mr. Wittman, Mr.
Gosar, Mrs. Hinson, Mr. LaTurner, Mr. Johnson of Ohio, Mr. Schweikert,
Mr. Gaetz, Mr. Obernolte, Mr. Turner, Ms. Wild, Mr. Phillips, Ms.
Titus, Mr. Connolly, Mr. Cohen, Mr. McGovern, Mr. Cuellar, Mr.
Gottheimer, Ms. Scanlon, Mr. Bishop of Georgia, Mr. Evans, Mr. Trone,
Ms. Schrier, Ms. Pingree, Mrs. Peltola, Ms. Wexton, Ms. Strickland, Ms.
Williams of Georgia, Ms. Dean of Pennsylvania, and Ms. Houlahan)
introduced the following bill; which was referred to the Committee on
Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to make employers of spouses
of military personnel eligible for the work opportunity credit.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Military Spouse Hiring Act''.
SEC. 2. ELIGIBILITY OF SPOUSES OF MILITARY PERSONNEL FOR THE WORK
OPPORTUNITY CREDIT.
(a) In General.--Paragraph (1) of section 51(d) of the Internal
Revenue Code of 1986 is amended by striking ``or'' at the end of
subparagraph (I), by striking the period at the end of subparagraph (J)
and inserting ``, or'', and by adding at the end the following new
subparagraph:
``(K) a qualified military spouse.''.
(b) Qualified Military Spouse.--Subsection (d) of section 51 of
such Code is amended by adding at the end the following new paragraph:
``(16) Qualified military spouse.--The term `qualified
military spouse' means any individual who is certified by the
designated local agency as being (as of the hiring date) a
spouse of a member of the Armed Forces of the United States.''.
(c) Effective Date.--The amendments made by this section shall
apply to amounts paid or incurred after the date of the enactment of
this Act to individuals who begin work for the employer after such
date.
<all>
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118HR1278 | DRIVE Act | [
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"B001285",
"Rep. Brownley, Julia [D-CA-26]",
"sponsor"
],
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"K000380",
"Rep. Kildee, Daniel T. [D-MI-8]",
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] | <p><b>Driver Reimbursement Increase for Veteran Equity Act or the DRIVE Act</b></p> <p>This bill increases the mileage reimbursement rate available to beneficiaries for travel to or from Department of Veterans Affairs facilities in connection with vocational rehabilitation, required counseling, or for the purpose of examination, treatment, or care. Specifically, the bill makes the reimbursement rate for such travel equal to or greater than the mileage reimbursement rate for government employees using private vehicles when no government vehicle is available.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1278 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1278
To amend title 38, United States Code, to improve the rate of payments
provided by the Secretary of Veterans Affairs for beneficiary travel.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Ms. Brownley introduced the following bill; which was referred to the
Committee on Veterans' Affairs
_______________________________________________________________________
A BILL
To amend title 38, United States Code, to improve the rate of payments
provided by the Secretary of Veterans Affairs for beneficiary travel.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Driver Reimbursement Increase for
Veteran Equity Act'' or the ``DRIVE Act''.
SEC. 2. PAYMENTS OR ALLOWANCES BY DEPARTMENT OF VETERANS AFFAIRS FOR
BENEFICIARY TRAVEL.
(a) Minimum Payment Amount.--Subsection (g) of section 111 of title
38, United States Code, is amended to read as follows:
``(g) The Secretary shall ensure that the mileage rate described in
subsection (a) is equal to or greater than the mileage reimbursement
rate for the use of privately owned vehicles by Government employees on
official business (when no Government vehicle is available), as
prescribed by the Administrator of General Services under section
5707(b) of title 5.''.
(b) Conforming Amendments.--Such section is further amended--
(1) in subsection (a), by striking ``(at a rate of 41.5
cents per mile)'' and inserting ``(at a rate determined in
accordance with subsection (g))''; and
(2) in subsection (b)(1), by striking ``and notwithstanding
subsection (g)(2) of this section''.
<all>
</pre></body></html>
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118HR1279 | Sunshine Protection Act of 2023 | [
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] | <p><b>Sunshine Protection Act of 2023</b></p> <p>This bill makes daylight saving time the new, permanent standard time.</p> <p>States with areas exempt from daylight saving time may choose the standard time for those areas.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1279 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1279
To make daylight savings time permanent, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Buchanan (for himself, Mr. Posey, Mr. Mills, Mr. Mast, Mrs. Luna,
Mr. Rutherford, Ms. Salazar, Mr. Waltz, Mr. Mooney, Mr. Comer, Mr.
Strong, Ms. Mace, Mr. Carl, and Mr. Burchett) introduced the following
bill; which was referred to the Committee on Energy and Commerce
_______________________________________________________________________
A BILL
To make daylight savings time permanent, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Sunshine Protection Act of 2023''.
SEC. 2. MAKING DAYLIGHT SAVINGS TIME PERMANENT.
(a) Repeal of Temporary Period for Daylight Savings Time.--Section
3 of the Uniform Time Act of 1966 (15 U.S.C. 260a) is hereby repealed.
(b) Advancement of Standard Time.--
(1) In general.--The second sentence of subsection (a) of
section 1 of the Act of March 19, 1918 (commonly known as the
``Calder Act'') (15 U.S.C. 261), is amended--
(A) by striking ``4 hours'' and inserting ``3
hours'';
(B) by striking ``5 hours'' and inserting ``4
hours'';
(C) by striking ``6 hours'' and inserting ``5
hours'';
(D) by striking ``7 hours'' and inserting ``6
hours'';
(E) by striking ``8 hours'' and inserting ``by 7
hours'';
(F) by striking ``9 hours'' and inserting ``8
hours'';
(G) by striking ``10 hours;'' and inserting ``9
hours;'';
(H) by striking ``11 hours'' and inserting ``10
hours''; and
(I) by striking ``10 hours.'' and inserting ``11
hours.''.
(2) State exemption.--Such section is further amended by--
(A) redesignating subsection (b) as subsection (c);
and
(B) inserting after subsection (a) the following:
``(b) Standard Time for Certain States and Areas.--The standard
time for a State that has exempted itself from the provisions of
section 3(a) of the Uniform Time Act of 1966 (15 U.S.C. 260a(a)), as in
effect on the day before the date of the enactment of the Sunshine
Protection Act of 2023, pursuant to such section, or an area of a State
that has exempted such area from such provisions pursuant to such
section, shall be, as such State considers appropriate--
``(1) the standard time for such State or area, as the case
may be, pursuant to subsection (a) of this section; or
``(2) the standard time for such State or area, as the case
may be, pursuant to subsection (a) of this section as it was in
effect on the day before the date of the enactment of the
Sunshine Protection Act of 2023.''.
(3) Conforming amendment.--Such section is further amended,
in the second sentence of subsection (a), by striking ``Except
as provided in section 3(a) of the Uniform Time Act of 1966 (15
U.S.C. 260a),'' and inserting ``Except as provided in
subsection (b),''.
<all>
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118HR128 | Defund Planned Parenthood Act of 2023 | [
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] | <p><b>Defund Planned Parenthood Act of </b><b>2023</b></p> <p>This bill restricts federal funding for Planned Parenthood Federation of America Inc. or any of its affiliates or clinics for one year.</p> <p>Specifically, it prohibits funding those entities unless they certify that the affiliates and clinics will not perform, and will not provide funds to entities that perform, abortions during that year. If the certification requirement is not met, the Department of Health and Human Services and the Department of Agriculture must recoup any federal assistance received by those entities.</p> <p>However, the bill's funding restriction does not apply to abortions performed in cases of rape or incest or when necessary to resolve a physical condition that endangers a woman's life.</p> <p>The bill also provides additional funding for community health centers for the one-year period. These funds are subject to the same abortion-related restrictions and exceptions.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 128 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 128
To provide for a moratorium on Federal funding to Planned Parenthood
Federation of America, Inc.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 9, 2023
Mrs. Boebert introduced the following bill; which was referred to the
Committee on Energy and Commerce
_______________________________________________________________________
A BILL
To provide for a moratorium on Federal funding to Planned Parenthood
Federation of America, Inc.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Defund Planned Parenthood Act of
2023''.
SEC. 2. FINDINGS.
Congress finds the following:
(1) State and county health departments, community health
centers, hospitals, physicians offices, and other entities
currently provide, and will continue to provide, health
services to women. Such health services include relevant
diagnostic laboratory and radiology services, well-child care,
prenatal and postpartum care, immunization, family planning
services (including contraception), cervical and breast cancer
screenings and referrals, and sexually transmitted disease
testing.
(2) Many such entities provide services to all persons,
regardless of the person's ability to pay, and provide services
in medically underserved areas and to medically underserved
populations.
(3) All funds that are no longer available to Planned
Parenthood Federation of America, Inc. and its affiliates and
clinics pursuant to this Act will continue to be made available
to other eligible entities to provide women's health care
services.
(4) Funds authorized to be appropriated, and appropriated,
by section 4 are offset by the funding limitation under section
3(a).
SEC. 3. MORATORIUM ON FEDERAL FUNDING TO PLANNED PARENTHOOD FEDERATION
OF AMERICA, INC.
(a) In General.--For the one-year period beginning on the date of
the enactment of this Act, subject to subsection (b), no funds
authorized or appropriated by Federal law may be made available for any
purpose to Planned Parenthood Federation of America, Inc., or any
affiliate or clinic of Planned Parenthood Federation of America, Inc.,
unless such entities certify that Planned Parenthood Federation of
America affiliates and clinics will not perform, and will not provide
any funds to any other entity that performs, an abortion during such
period.
(b) Exception.--Subsection (a) shall not apply to an abortion--
(1) if the pregnancy is the result of an act of rape or
incest; or
(2) in the case where a woman suffers from a physical
disorder, physical injury, or physical illness that would, as
certified by a physician, place the woman in danger of death
unless an abortion is performed, including a life-endangering
physical condition caused by or arising from the pregnancy
itself.
(c) Repayment.--The Secretary of Health and Human Services and the
Secretary of Agriculture shall seek repayment of any Federal assistance
received by Planned Parenthood Federation of America, Inc., or any
affiliate or clinic of Planned Parenthood Federation of America, Inc.,
if it violates the terms of the certification required by subsection
(a) during the period specified in subsection (a).
SEC. 4. FUNDING FOR COMMUNITY HEALTH CENTER PROGRAM.
(a) In General.--There is authorized to be appropriated, and
appropriated, $235,000,000 for the community health center program
under section 330 of the Public Health Service Act (42 U.S.C. 254b), in
addition to any other funds made available to such program, for the
period for which the funding limitation under section 3(a) applies.
(b) Limitation.--None of the funds authorized or appropriated
pursuant to subsection (a) may be expended for an abortion other than
as described in section 3(b).
SEC. 5. RULE OF CONSTRUCTION.
Nothing in this Act shall be construed to reduce overall Federal
funding available in support of women's health.
<all>
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118HR1280 | Cerebral Palsy Research Program Authorization Act of 2023 | [
[
"C001068",
"Rep. Cohen, Steve [D-TN-9]",
"sponsor"
],
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"F000466",
"Rep. Fitzpatrick, Brian K. [R-PA-1]",
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[
"T000469",
"Rep. Tonko, Paul [D-NY-20]",
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] | <p><strong>Cerebral Palsy Research Program Authorization Act of 2023</strong></p> <p>This bill requires the Centers for Disease Control and Prevention to carry out a research program that addresses diagnosis and treatment, public health surveillance, and other aspects of cerebral palsy (a group of disorders caused by abnormal brain development or brain damage that affects an individual's ability to move and maintain balance and posture).</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1280 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1280
To amend the Public Health Service Act to authorize the Secretary of
Health and Human Services to carry out a program of research related to
cerebral palsy, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Cohen (for himself, Mr. Fitzpatrick, and Mr. Cleaver) introduced
the following bill; which was referred to the Committee on Energy and
Commerce
_______________________________________________________________________
A BILL
To amend the Public Health Service Act to authorize the Secretary of
Health and Human Services to carry out a program of research related to
cerebral palsy, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Cerebral Palsy Research Program
Authorization Act of 2023''.
SEC. 2. FINDINGS.
Congress finds the following:
(1) Cerebral palsy is the most common motor disability in
children, affecting more than 1,000,000 Americans, 1 in 345
children, and over 17,000,000 people worldwide.
(2) In the United States, more than 10,000 babies are
diagnosed with cerebral palsy each year.
(3) Cerebral palsy is a broad group of disorders disrupting
a person's ability to move, sit, stand, walk, talk, and use
their hands.
(4) In more than 80 percent of cases, the cause of cerebral
palsy is unknown.
(5) Seventy-five percent of individuals with cerebral palsy
also have 1 or more additional developmental disabilities
including epilepsy, intellectual disabilities, communication
problems, learning and attention disorders, chronic pain,
autism, hearing disorders, and visual impairments or blindness.
(6) Children with cerebral palsy are more likely to die
from the flu and related viruses, including COVID-19, than
children without neurologic disorders.
(7) There is no consensus of best practices for a person
with cerebral palsy at the time of diagnosis or through the
lifespan.
(8) It is estimated that the lifetime care and medical
costs for all people with cerebral palsy who were born in 2000
alone will total more than $13,500,000,000. The loss of
productivity and lost wages of the individual with cerebral
palsy and their family members is more than $35,000,000,000.
(9) There is no known cure for cerebral palsy, and in most
cases, it is not preventable.
SEC. 3. CEREBRAL PALSY RESEARCH.
Title III of the Public Health Service Act is amended by inserting
after section 317C of such Act (42 U.S.C. 247b-4) the following new
section:
``SEC. 317C-1. CEREBRAL PALSY RESEARCH.
``(a) In General.--The Secretary, acting through the Director of
the Centers for Disease Control and Prevention, and in consultation
with other Federal agencies and partners, shall carry out (directly or
through grants or contracts) a program of research related to cerebral
palsy, including--
``(1) research on--
``(A) the most promising avenues of cerebral palsy
diagnosis and treatment;
``(B) factors that may mitigate the prevalence of
cerebral palsy; and
``(C) the health care and societal costs of
cerebral palsy;
``(2) public health surveillance; and
``(3) other research that the Director of the Centers for
Disease Control and Prevention determines to be appropriate to
provide education and training for health professionals and the
general public for purposes of diagnosing, treating, and
explaining the causes, prevalence, and lifelong effects of
cerebral palsy.
``(b) Technical Assistance.--The Secretary may (directly or through
grants or contracts) provide technical assistance to public and
nonprofit private entities in furtherance of research under this
section.
``(c) Evaluations.--The Secretary shall (directly or through grants
or contracts) provide for the evaluation of activities under subsection
(a) in order to determine the extent to which such activities have been
effective, including evaluation of the effects of such activities on
various demographic populations.
``(d) Authorization of Appropriations.--To carry out this section,
there is authorized to be appropriated $5,000,000 for each of fiscal
years 2024 through 2029.''.
<all>
</pre></body></html>
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118HR1281 | Housing Accountability Act of 2023 | [
[
"C001068",
"Rep. Cohen, Steve [D-TN-9]",
"sponsor"
],
[
"T000193",
"Rep. Thompson, Bennie G. [D-MS-2]",
"cosponsor"
]
] | <p><strong>Housing Accountability Act of </strong><b>2023</b></p> <p>This bill provides statutory authority for the requirement that a property owner receiving low-income housing assistance payments for an existing public housing unit must maintain decent, safe, and sanitary conditions for the housing structure.</p> <p>The Department of Housing and Urban Development (HUD) must survey tenants of these structures semiannually to identify problems with the structures or with management. A structure must be referred to HUD for remediation if consistent or persistent problems are identified. HUD may impose penalties on an owner of a structure that violates this bill.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1281 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1281
To provide standards for physical condition and management of housing
receiving assistance payments under section 8 of the United States
Housing Act of 1937.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Cohen introduced the following bill; which was referred to the
Committee on Financial Services
_______________________________________________________________________
A BILL
To provide standards for physical condition and management of housing
receiving assistance payments under section 8 of the United States
Housing Act of 1937.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Housing Accountability Act of
2023''.
SEC. 2. STANDARDS FOR PHYSICAL CONDITION AND MANAGEMENT OF HOUSING
RECEIVING ASSISTANCE PAYMENTS.
Section 8 of the United States Housing Act of 1937 (42 U.S.C.
1437f) is amended by inserting after subsection (v) the following:
``(w) Standards for Physical Condition and Management of Housing
Receiving Assistance Payments.--
``(1) Standards for physical condition and management of
housing.--Any entity receiving assistance payments under this
section shall maintain decent, safe, and sanitary conditions,
as determined by the Secretary, for any structure covered under
a housing assistance payment contract.
``(2) Survey of tenants.--The Secretary shall develop a
process by which a Performance-Based Contract Administrator
shall, on a semiannual basis, conduct a survey of the tenants
of each structure covered under a housing assistance payment
contract for the purpose of identifying consistent or
persistent problems with the physical condition of the
structure or performance of the manager of the structure.
``(3) Remediation.--A structure covered under a housing
assistance payment contract shall be referred to the Secretary
for remediation if a Performance-Based Contract Administrator
identifies a consistent or persistent problem with the
structure or the management of the structure based on--
``(A) a survey conducted under paragraph (2); or
``(B) any other observation made by the
Performance-Based Contract Administrator during the
normal course of business.
``(4) Penalty for failure to uphold standards.--
``(A) In general.--The Secretary may impose a
penalty on any owner of a structure covered under a
housing assistance payment contract if the Secretary
finds that the structure or manager of the structure--
``(i) did not satisfactorily meet the
requirements under paragraph (1); or
``(ii) is repeatedly referred to the
Secretary for remediation by a Performance-
Based Contract Administrator through the
process established under paragraph (3).
``(B) Amount.--A penalty imposed under subparagraph
(A) shall be in an amount equal to not less than 1
percent of the annual budget authority the owner is
allocated under a housing assistance payment contract.
``(C) Use of amounts.--Any amounts collected under
this paragraph shall be used solely for the purpose of
supporting safe and sanitary conditions at applicable
structures or for tenant relocation, as designated by
the Secretary, with priority given to the tenants of
the structure that led to the penalty.
``(5) Applicability.--This subsection shall not apply to
any property assisted under subsection (o).''.
SEC. 3. ISSUANCE OF REPORT.
Not later than 1 year after the date of enactment of this Act, the
Secretary of Housing and Urban Development shall submit to Congress a
report that--
(1) examines the adequacy of capital reserves for each
structure covered under a housing assistance payment contract
under section 8 of the United States Housing Act of 1937 (42
U.S.C. 1437f);
(2) examines the use of funds derived from a housing
assistance payment contract for purposes unrelated to the
maintenance and capitalization of the structure covered under
the contract; and
(3) includes any administrative or legislative
recommendations to further improve the living conditions at
those structures.
<all>
</pre></body></html>
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118HR1282 | Major Richard Star Act | [
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] | <p><strong>Major Richard Star Act</strong></p> <p>This bill provides that combat-disabled uniformed services retirees with fewer than 20 years of creditable service may concurrently receive, without reduction, veterans' disability compensation and retired pay or combat-related special compensation.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1282 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1282
To amend title 10, United States Code, to expand eligibility to certain
military retirees for concurrent receipt of veterans' disability
compensation and retired pay or combat-related special compensation,
and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Bilirakis (for himself, Mr. Ruiz, Ms. Blunt Rochester, Mr. Keating,
Ms. Houlahan, Mr. Grijalva, Mr. Massie, Mr. Connolly, Ms. Norton, Mr.
Cartwright, Mr. Posey, Mr. Fitzpatrick, Mr. Swalwell, Mr. Gaetz, Mrs.
Beatty, Ms. Titus, Mr. Veasey, Mr. Hudson, Mr. Levin, Mr. Neguse, Mr.
Finstad, Mr. Waltz, Mr. Graves of Louisiana, Mr. Feenstra, Mr.
McClintock, Ms. Lee of California, Mr. Bergman, Mr. Castro of Texas,
Mrs. Harshbarger, Mr. Quigley, Mr. Evans, Mr. Cohen, Ms. Pingree, Mr.
Kilmer, Mr. Costa, Ms. Salazar, Ms. Dean of Pennsylvania, Mr. Newhouse,
Mr. LaHood, Mr. Valadao, Mr. Boyle of Pennsylvania, Mr. Fallon, Mrs.
Torres of California, Ms. Davids of Kansas, Mr. Mooney, Mr. Carbajal,
Mr. Bishop of Georgia, Ms. Omar, Mr. Kelly of Mississippi, Mr.
Moolenaar, Mr. Carter of Georgia, Mrs. Trahan, Ms. Underwood, Mr.
Luetkemeyer, Mr. Webster of Florida, Mr. Peters, Mr. Bishop of North
Carolina, Ms. Craig, Mr. Rutherford, Mrs. Dingell, Mr. Espaillat, Ms.
Ross, Mr. Bera, Mr. Schiff, Mr. Morelle, Mr. Tonko, Mr. Golden of
Maine, Mrs. Hayes, Mr. Higgins of Louisiana, Mr. Guest, Mr. Ellzey, Mr.
Cline, Ms. DeGette, Ms. Williams of Georgia, Mr. Davis of North
Carolina, Mr. Crawford, Mr. Johnson of Georgia, Mr. McGovern, Mr.
Cicilline, Mr. Phillips, Ms. Tlaib, Mr. Kim of New Jersey, Mr.
Norcross, Mr. Carey, Mr. Lynch, Mr. Ryan, Mr. Carson, Mr. Pfluger, Ms.
De La Cruz, Mr. David Scott of Georgia, Mr. McCaul, Ms. Kelly of
Illinois, Mr. Carter of Louisiana, Ms. Kaptur, Ms. Sewell, Mr. Thompson
of California, Mrs. Miller-Meeks, Mr. Simpson, Mr. Garcia of Illinois,
Mr. Johnson of Ohio, Ms. Hageman, Ms. Scanlon, Mr. Trone, Mr. Casten,
Ms. Escobar, Mr. Courtney, Ms. Wexton, Mr. Kildee, Mr. Dunn of Florida,
Ms. Brownley, Ms. Scholten, Mr. Sessions, Ms. Kamlager-Dove, Mr.
Nickel, Mr. Torres of New York, Ms. Chu, Ms. Strickland, Mr. Wittman,
Mr. Obernolte, Mr. D'Esposito, Mrs. Fischbach, Mrs. Radewagen, Mr.
Cardenas, Mr. Gottheimer, Mr. DesJarlais, Mrs. Lesko, Mr. Crow, Ms. Van
Duyne, Mr. Thompson of Pennsylvania, Ms. Crockett, Mr. Barr, Ms. Clarke
of New York, Mr. Garbarino, Mr. Pappas, Mr. Foster, Mr. Bacon, Mr. Nunn
of Iowa, Mr. C. Scott Franklin of Florida, Ms. Manning, Ms. Perez, Ms.
Slotkin, Mr. Moylan, Mr. Harder of California, Mr. Pocan, Mr. Luttrell,
Ms. Meng, Ms. Kuster, Mr. Correa, Mrs. Foushee, Mrs. Fletcher, Mr.
Allred, Ms. Stevens, Ms. Barragan, Ms. Pelosi, Mr. Scott of Virginia,
Ms. Tokuda, Mr. Meuser, Mr. Owens, Mr. Lawler, Mr. Tiffany, Ms.
DelBene, Mr. Moulton, Mr. Ruppersberger, Mrs. Watson Coleman, Mr. Smith
of New Jersey, Mr. Krishnamoorthi, Mr. Santos, Mr. Blumenauer, Mr.
Goldman of New York, Ms. Wild, Ms. Lofgren, Mr. Mike Garcia of
California, Mr. Zinke, Ms. Malliotakis, Mr. Jackson of North Carolina,
Mr. Cole, Mr. Timmons, Ms. Porter, Mr. Pallone, Mr. Moskowitz, Mr.
DeSaulnier, Mr. Vargas, Mr. Soto, Mr. Gooden of Texas, Mr. Kean of New
Jersey, Ms. Salinas, Ms. Sanchez, Mr. Schneider, Mrs. Gonzalez-Colon,
Mr. Gallego, Mr. Higgins of New York, Mr. Stauber, Mr. Davis of
Illinois, Mr. Mills, Mr. Meeks, Ms. Greene of Georgia, Mr. Thompson of
Mississippi, Ms. Granger, Ms. McCollum, Mr. Khanna, Mr. LaLota, Mr.
Kelly of Pennsylvania, Mr. Vicente Gonzalez of Texas, Ms. Castor of
Florida, Mrs. Rodgers of Washington, Ms. Schakowsky, and Mrs. Cammack)
introduced the following bill; which was referred to the Committee on
Armed Services, and in addition to the Committee on Veterans' Affairs,
for a period to be subsequently determined by the Speaker, in each case
for consideration of such provisions as fall within the jurisdiction of
the committee concerned
_______________________________________________________________________
A BILL
To amend title 10, United States Code, to expand eligibility to certain
military retirees for concurrent receipt of veterans' disability
compensation and retired pay or combat-related special compensation,
and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Major Richard Star Act''.
SEC. 2. EXPANSIONS OF ELIGIBILITY TO CERTAIN MILITARY RETIREES FOR
CONCURRENT RECEIPT OF VETERANS' DISABILITY COMPENSATION
AND RETIRED PAY OR COMBAT-RELATED SPECIAL COMPENSATION.
(a) Inclusion of Chapter 61 Disability Retirees With Fewer Than 20
Years of Service Who Are Eligible for Combat-Related Special
Compensation.--Section 1413a(b)(3) of title 10, United States Code, is
amended--
(1) in subparagraph (A), by striking ``In'' and inserting
``Subject to subparagraph (B), in''; and
(2) in subparagraph (B), by striking ``In the case of'' and
all that follows and inserting ``The retired pay of an eligible
combat-related disabled uniformed services retiree, who is
retired under chapter 61 of this title with fewer than 20 years
of creditable service, is not subject to reduction under
sections 5304 and 5305 of title 38.''.
(b) Technical and Conforming Amendments.--
(1) Section heading.--The heading of section 1414 of such
title is amended to read as follows:
``Sec. 1414. Members eligible for retired pay who are also eligible for
veterans' disability compensation: concurrent receipt''.
(2) Table of sections.--The item relating to such section
1414 in the table of sections at the beginning of chapter 71 of
such title is amended to read as follows:
``1414. Members eligible for retired pay who are also eligible for
veterans' disability compensation:
concurrent receipt.''.
(3) Conforming amendments reflecting end of concurrent
receipt phase-in period.--Such section 1414 is further
amended--
(A) in subsection (a)(1)--
(i) by striking the second sentence; and
(ii) by striking subparagraphs (A) and (B);
(B) by striking subsection (c) and redesignating
subsections (d) and (e) as subsections (c) and (d),
respectively; and
(C) in subsection (d), as redesignated, by striking
paragraphs (3) and (4).
(c) Effective Date.--The amendments made by this section shall take
effect on the first day of the first month beginning after the date of
the enactment of this Act and shall apply to payments for months
beginning on or after that date.
<all>
</pre></body></html>
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118HR1283 | CLEAN Checks Act | [
[
"C001068",
"Rep. Cohen, Steve [D-TN-9]",
"sponsor"
]
] | <p><strong>Curb Leaders from Electioneering with Autographs on National Checks Act or as the CLEAN Checks Act</strong></p> <p>This bill prohibits certain names and likenesses on federal government checks.</p> <p>Specifically, any check issued by the federal government may not be signed by, or otherwise bear the name, signature, image, or likeness of, the President, the Vice President, any elected official or cabinet level officer of the United States, or any person who is a relative of such individual.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1283 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1283
To prohibit the use of certain names and likenesses on Government
checks where such use has the potential to constitute self-promotion.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Cohen introduced the following bill; which was referred to the
Committee on Oversight and Accountability
_______________________________________________________________________
A BILL
To prohibit the use of certain names and likenesses on Government
checks where such use has the potential to constitute self-promotion.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Curb Leaders from Electioneering
with Autographs on National Checks Act'' or as the ``CLEAN Checks
Act''.
SEC. 2. PROHIBITION OF CERTAIN NAMES AND LIKENESSES ON GOVERNMENT
CHECKS.
Any check issued by the Federal Government may not be signed by, or
otherwise bear the name, signature, image, or likeness of, the
President, the Vice President, any elected official or cabinet level
officer of the United States, or any individual who, with respect to
any of the aforementioned individuals, bears any relationship described
in subparagraphs (A) through (G) of section 152(d)(2) of the Internal
Revenue Code of 1986. The preceding sentence shall not apply with
respect to the use of the name of an individual on a particular check
if such name is used solely because such particular check is payable to
such individual in such individual's personal capacity.
<all>
</pre></body></html>
| [
"Government Operations and Politics"
] | {
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118HR1284 | CEO Accountability and Responsibility Act | [
[
"D000623",
"Rep. DeSaulnier, Mark [D-CA-10]",
"sponsor"
]
] | <p><b>CEO Accountability and Responsibility Act</b></p> <p> This bill increases the corporate income tax rate for publicly traded corporations that pay their chief executive officers or highest paid employees more than 100 times the median compensation of all their U.S. employees or that increase the number of contracted or foreign employees.</p> <p>The bill also requires an executive agency, in the evaluation of bids or proposals for federal contracts, to give preference to a bidder that has a compensation ratio of highly paid to all employees of less than 50 to 1 in the previous calendar year.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1284 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1284
To amend the Internal Revenue Code of 1986 to adjust the rate of income
tax of a publicly traded corporation based on the ratio of compensation
of the corporation's highest paid employee to the median compensation
of all the corporation's employees, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. DeSaulnier introduced the following bill; which was referred to the
Committee on Ways and Means, and in addition to the Committee on
Oversight and Accountability, for a period to be subsequently
determined by the Speaker, in each case for consideration of such
provisions as fall within the jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to adjust the rate of income
tax of a publicly traded corporation based on the ratio of compensation
of the corporation's highest paid employee to the median compensation
of all the corporation's employees, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``CEO Accountability and
Responsibility Act''.
SEC. 2. INCOME TAX RATE OF PUBLICLY TRADED CORPORATIONS BASED ON
COMPENSATION RATIO.
(a) In General.--Section 11 of the Internal Revenue Code of 1986 is
amended by adding at the end the following:
``(e) Tax Rate of Publicly Traded Corporations Based on
Compensation Ratio.--
``(1) In general.--In the case of a publicly traded
corporation (as defined in section 162(m)(2)), in the amount of
tax under subsection (b) shall be determined--
``(A) by adjusting the highest rate of tax
applicable to the taxpayer by the percentage point
adjustment specified in paragraph (2), and
``(B) by making proper adjustments to--
``(i) the dollar amount in clause (ii) of
the second sentence of paragraph (1), and
``(ii) the dollar amount in clause (ii) of
the third sentence of paragraph (1).
``(2) Adjustment of tax rate.--For purposes of paragraph
(1), the percentage points specified in this paragraph shall be
determined as follows:
------------------------------------------------------------------------
The percentage point
``If the compensation ratio is: adjustment is:
------------------------------------------------------------------------
More than 100 but not more than 150..... +0.5 percentage points
More than 150 but not more than 200..... +1 percentage points
More than 200 but not more than 250..... +1.5 percentage points
More than 250 but not more than 300..... +2 percentage points
More than 300 but not more than 400..... +2.5 percentage points
More than 400........................... +3 percentage points.
------------------------------------------------------------------------
``(3) Definitions.--For purposes of this subsection--
``(A) Compensation ratio.--The term `compensation
ratio' means, with respect to any taxable year, a
ratio--
``(i) the numerator of which is the amount
equal to the greater of the compensation of the
chief executive officer or the highest paid
employee of the taxpayer for the calendar year
preceding the beginning of the taxable year,
and
``(ii) the denominator of which is the
amount equal to the median compensation of all
employees employed by the taxpayer in the
United States for the calendar year preceding
the beginning of the taxable year.
``(B) Compensation.--
``(i) Employees.--In the case of employees
of the taxpayer other than the chief executive
officer or the highest paid employee, the term
`compensation' means wages (as defined in
section 3121(a)) paid by the taxpayer during a
calendar year.
``(ii) CEO and highest paid employee.--In
the case of the chief executive officer and the
highest paid employee of the taxpayer, the term
`compensation' means total compensation for the
calendar year, as reported in the Summary
Compensation Table reported to the Securities
and Exchange Commission pursuant to Item 402 of
Regulation S-K of the Securities and Exchange
Commission.
``(4) Special rule if contracted or foreign employee ratio
increases.--
``(A) In general.--If--
``(i) the total number of full-time
employees, determined on an annual full-time
equivalent basis, employed by the taxpayer in
the United States for a taxable year is reduced
by more than 10 percent, as compared to the
total number of full-time employees, determined
on an annual full-time equivalent basis,
employed by the taxpayer in the United States
for the preceding taxable year, and
``(ii) the total number of contracted
employees or foreign full-time employees,
determined on an annual full-time equivalent
basis, of the taxpayer for that taxable year
has increased, as compared with the total
number of contracted employees or foreign full-
time employees, determined on an annual full-
time equivalent basis, of the taxpayer for the
preceding taxable year,
then the applicable tax rate determined under paragraph
(2) shall be increased by 50 percent. For taxpayers who
first commence doing business during the taxable year,
the number of full-time employees, contracted
employees, and foreign full-time employees for the
immediately preceding prior taxable year shall be zero.
``(B) Definitions.--For purposes of this
paragraph--
``(i) Annual full-time equivalent.--The
term `annual full-time equivalent' means--
``(I) in the case of a full-time
employee paid hourly qualified wages,
the total number of hours worked for
the taxpayer by the employee, not to
exceed 2,000 hours per employee,
divided by 2,000, and
``(II) in the case of a salaried
full-time employee, the total number of
weeks worked for the taxpayer by the
employee divided by 52.
``(ii) Contracted full-time employee.--The
term `contracted full-time employee' means an
individual engaged by the taxpayer to provide a
specific set of services established pursuant
to the terms and conditions of a written
employment contract that delineates the length
of employment, the salary and bonuses (if any)
to be paid, and the benefits that accrue to
that individual.
``(iii) Foreign full-time employee.--The
term `foreign full-time employee' means a full-
time employee of the taxpayer that is employed
at a location other than the United States.
``(iv) Full-time employee.--The term `full-
time employee' means an employee of the
taxpayer that either--
``(I) is paid compensation by the
taxpayer for services of not less than
an average of 35 hours per week, or
``(II) is a salaried employee of
the taxpayer and is paid compensation
during the taxable year for full-time
employment.
``(5) Controlled groups.--For purposes of this subsection,
all persons treated as a single employer under subsection (b),
(c), (m) or (o) of section 414 shall be treated as one person.
``(6) Reports.--The taxpayer shall furnish such reports to
the Secretary with respect to compensation and such other
matters as the Secretary may require. The reports required by
this subsection shall be filed at such time and in such manner
as may be required by the Secretary.
``(7) Regulations.--The Secretary shall prescribe such
regulations and other guidance as may be necessary or
appropriate to carry out this subsection, including any
guidelines regarding the determination of wages, average
compensation, and compensation ratio.''.
(b) Effective Date.--The amendment made by subsection (a) shall
apply to taxable years beginning after the date of the enactment of
this Act.
SEC. 3. CONTRACTING PREFERENCE FOR ENTITIES WITH CERTAIN PAY RATIOS.
(a) Amendment.--Chapter 47 of title 41, United States Code, is
amended by inserting after section 4714 the following new section:
``Sec. 4715. Preference for entities with certain pay ratios
``(a) Preference.--In the evaluation of bids or proposals for a
contract for the procurement of goods or services, the head of an
executive agency shall provide a preference to an entity that for the
previous calendar year has a compensation ratio of less than 50-to-1.
``(b) Compensation Ratio Defined.--In this section, the term
`compensation ratio' has the meaning given that term in section
11(e)(3)(A) of the Internal Revenue Code of 1986, except the ratio
determined for the calendar year preceding the calendar year of the
contract to which this section applies.''.
(b) Clerical Amendment.--The table of sections at the beginning of
such chapter is amended by inserting after the item relating to section
4714 the following new item:
``4715. Preference for entities with certain pay ratios.''.
<all>
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118HR1285 | Immigration Authorization Act of 2023 | [
[
"D000032",
"Rep. Donalds, Byron [R-FL-19]",
"sponsor"
],
[
"C001051",
"Rep. Carter, John R. [R-TX-31]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1285 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1285
To require a report from the Secretary of Homeland Security on the
existence of programs and components of the Department of Homeland
Security that are not explicitly authorized in statute.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Donalds introduced the following bill; which was referred to the
Committee on the Judiciary
_______________________________________________________________________
A BILL
To require a report from the Secretary of Homeland Security on the
existence of programs and components of the Department of Homeland
Security that are not explicitly authorized in statute.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Immigration Authorization Act of
2023''.
SEC. 2. REPORT ON UNAUTHORIZED PROGRAMS AND COMPONENTS.
(a) In General.--Not later than 90 days, the Secretary of Homeland
Security shall submit a report, to the relevant committees, that
identifies each program carried out by the Secretary under the
immigration laws (as such term is defined in section 101 of the
Immigration and Nationality Act) and each component of the Department
of Homeland Security that carries out any duty under the immigration
laws if that program or component is not explicitly authorized to be
carried out for fiscal year 2024 by a statutory provision.
(b) Relevant Committees.--For purposes of this section, the term
``relevant commmittees'' means--
(1) the Committee on Homeland Security of the House of
Representatives;
(2) the Committee on the Judiciary of the House of
Representatives;
(3) the Subcommittee on Homeland Security of the Committee
on Appropriations of the House of Representatives;
(4) the Committee on Homeland Security and Governmental
Affairs of the Senate;
(5) the Committee on the Judiciary of the Senate; and
(6) the Subcommittee on Homeland Security of the Committee
on Appropriations of the Senate.
<all>
</pre></body></html>
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118HR1286 | Lone Star Reimbursement Act | [
[
"F000246",
"Rep. Fallon, Pat [R-TX-4]",
"sponsor"
],
[
"S001224",
"Rep. Self, Keith [R-TX-3]",
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"cosponsor"
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[
"P000048",
"Rep. Pfluger, August [R-TX-11]",
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]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1286 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1286
To reimburse the State of Texas for the costs of Operation Lone Star,
and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Fallon (for himself, Mr. Self, Mr. Jackson of Texas, Mr. Hunt, Mr.
Weber of Texas, Mr. Ellzey, and Mr. Gooden of Texas) introduced the
following bill; which was referred to the Committee on Armed Services,
and in addition to the Committees on Homeland Security, and the
Judiciary, for a period to be subsequently determined by the Speaker,
in each case for consideration of such provisions as fall within the
jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To reimburse the State of Texas for the costs of Operation Lone Star,
and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Lone Star Reimbursement Act''.
SEC. 2. FINDINGS; SENSE OF CONGRESS.
(a) Findings.--Congress finds the following:
(1) The House of Representatives first recognized the
security of our Nation's borders as a matter of national
security in the National Defense Authorization Act for Fiscal
Year 2022.
(2) Operation Lone Star has led to over 348,000 illegal
immigrant apprehensions and more than 24,000 criminal arrests,
with more than 22,000 felony charges reported.
(3) Operation Lone Star is responsible for the seizure of
over 361 million lethal doses of fentanyl.
(b) Sense of Congress.--It is the sense of Congress that Operation
Lone Star has been a tremendous help to stem the tide of illegal
immigration and its members should be recognized for their efforts.
SEC. 3. REIMBURSEMENT.
Of amounts appropriated or otherwise made available to the
Department of Defense and the Department of Homeland Security for
fiscal year 2024, $2,200,000,000 from each such Department shall be
expended in the form of reimbursements to the State of Texas for the
costs of Operation Lone Star incurred in fiscal years 2022 and 2023.
<all>
</pre></body></html>
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118HR1287 | Cattle Price Discovery and Transparency Act of 2023 | [
[
"F000446",
"Rep. Feenstra, Randy [R-IA-4]",
"sponsor"
],
[
"L000593",
"Rep. Levin, Mike [D-CA-49]",
"cosponsor"
],
[
"M001215",
"Rep. Miller-Meeks, Mariannette [R-IA-1]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1287 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1287
To amend the Agricultural Marketing Act of 1946 to establish a cattle
contract library, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Feenstra (for himself, Mr. Levin, and Mrs. Miller-Meeks) introduced
the following bill; which was referred to the Committee on Agriculture
_______________________________________________________________________
A BILL
To amend the Agricultural Marketing Act of 1946 to establish a cattle
contract library, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Cattle Price Discovery and
Transparency Act of 2023''.
SEC. 2. DEFINITIONS.
(a) In General.--Section 212 of the Agricultural Marketing Act of
1946 (7 U.S.C. 1635a) is amended--
(1) in paragraph (5), by striking ``cattle,'' and inserting
``cattle (including fed cattle),'';
(2) by redesignating paragraphs (1) through (14) as
paragraphs (2), (3), (4), (6) through (8), (10), and (12)
through (18), respectively;
(3) by inserting before paragraph (2) (as so redesignated)
the following:
``(1) Approved pricing mechanism.--The term `approved
pricing mechanism' means a purchase of fed cattle made--
``(A) through a negotiated purchase;
``(B) through a negotiated grid purchase;
``(C) at a stockyard (as defined in section 302 of
the Packers and Stockyards Act, 1921 (7 U.S.C. 202));
or
``(D) through a trading system or platform for the
purchase or sale of cattle, or for an arrangement to
purchase or sell cattle, through any means in which
multiple buyer and seller participants have the ability
to, and regularly and consistently, make and accept
bids and offers on or at the trading system or
platform.'';
(4) by inserting after paragraph (4) (as so redesignated)
the following:
``(5) Fed cattle.--The term `fed cattle' means a steer or
heifer that has been finished on a ration of roughage and feed
concentrates, such as grains, protein meal, grass (forage), and
other nutrient-rich feeds, prior to slaughter.'';
(5) by inserting after paragraph (8) (as so redesignated)
the following:
``(9) Mandatory minimum.--The term `mandatory minimum'
means, of the quantity of fed cattle purchased for slaughter by
a covered packer (as defined in section 221) for each
processing plant, the minimum percentage of such cattle that
are required to be purchased through approved pricing
mechanisms from producers that are not packers.''; and
(6) by inserting after paragraph (10) (as so redesignated)
the following:
``(11) Negotiated grid purchase.--The term `negotiated grid
purchase', with respect to cattle, means a purchase--
``(A) involving the negotiation of a base price
from which premiums are added and discounts are
subtracted, determined by seller-buyer interaction and
agreement on a delivery day; and
``(B) under which the cattle are scheduled for
delivery to the packer not later than 14 days after the
date on which the cattle are committed to the
packer.''.
(b) Cattle Reporting Definitions.--Section 221 of the Agricultural
Marketing Act of 1946 (7 U.S.C. 1635d) is amended--
(1) in paragraph (1), by striking ``7-day'' and inserting
``14-day'';
(2) in paragraph (8)(B), by striking ``market'' and
inserting ``marketing'';
(3) by redesignating paragraphs (3), (4), (5), (6), (7),
and (8) as paragraphs (5), (6), (8), (9), (11), and (12),
respectively;
(4) by inserting after paragraph (2) the following:
``(3) Covered contract.--
``(A) In general.--The term `covered contract'
means any agreement, written or oral, between a packer
and a producer for the purchase of fed cattle for
slaughter.
``(B) Exclusion.--The term `covered contract' does
not include a contract for a negotiated purchase.
``(4) Covered packer.--The term `covered packer' means a
packer that has slaughtered during the immediately preceding 5
calendar years an average of not less than 5 percent of the
number of fed cattle slaughtered nationally during the
immediately preceding 5 calendar years.'';
(5) by inserting after paragraph (6) (as so redesignated)
the following:
``(7) Heifer.--The term `heifer' means a bovine female that
has not given birth to a calf.''; and
(6) by inserting after paragraph (9) (as so redesignated)
the following:
``(10) Steer.--The term `steer' means a bovine male
castrated before reaching sexual maturity.''.
SEC. 3. 14-DAY CATTLE SLAUGHTER REPORT.
Section 222(c) of the Agricultural Marketing Act of 1946 (7 U.S.C.
1635e(c)) is amended--
(1) in paragraph (1)--
(A) by striking subparagraphs (B) and (C); and
(B) by redesignating subparagraph (D) as
subparagraph (B);
(2) in paragraph (2), by striking ``the information'' and
inserting ``information reported under this subsection'';
(3) by redesignating paragraph (2) as paragraph (3); and
(4) by inserting after paragraph (1) the following:
``(2) Prior day reporting.--
``(A) In general.--The corporate officers or
officially designated representatives of each packer
processing plant shall report to the Secretary, for
each business day of the packer processing plant, not
later than 10:00 a.m. Central Time on each reporting
day, the information from the prior business day
described in subparagraph (B).
``(B) Information required.--The information
required under subparagraph (A) shall be, with respect
to the prior business day, the number of cattle
scheduled for delivery to a packer processing plant for
slaughter for each of the next 14 calendar days.''.
SEC. 4. EXPEDITED CARCASS WEIGHTS REPORTING.
Section 222 of the Agricultural Marketing Act of 1946 (7 U.S.C.
1635e) is amended by adding at the end the following:
``(f) Expedited Carcass Weights.--
``(1) Determination.--Not later than 180 days after the
date of enactment of the Cattle Price Discovery and
Transparency Act of 2023, the Secretary shall determine the
minimum amount of time needed by the Secretary to publicly
report the daily average carcass weight of cattle slaughtered
by packer processing plants.
``(2) Reporting.--Not later than 180 days after the
Secretary has made a determination under paragraph (1), the
Secretary shall begin publicly reporting the information
described in that paragraph within the time determined under
that paragraph.''.
SEC. 5. MANDATORY REPORTING OF CUTOUT YIELD.
Section 223 of the Agricultural Marketing Act of 1946 (7 U.S.C.
1635f) is amended--
(1) in subsection (a)--
(A) in the subsection heading, by striking ``Daily
Reporting'' and inserting ``In General'';
(B) in paragraph (3)--
(i) in subparagraph (C), by striking the
period at the end and inserting ``; and''; and
(ii) by redesignating subparagraphs (A)
through (C) as clauses (i) through (iii),
respectively, and indenting appropriately;
(C) by redesignating paragraphs (1) through (3) as
subparagraphs (A) through (C), respectively, and
indenting appropriately;
(D) in the matter preceding subparagraph (A) (as so
redesignated), by striking ``Secretary at least'' and
inserting the following: ``Secretary--
``(1) at least''; and
(E) by adding at the end the following:
``(2) at least once each year, at a time determined by the
Secretary, cutout yield data.''; and
(2) in subsection (b)--
(A) by striking ``the information required to be
reported under subsection (a)''; and
(B) by striking ``day.'' and inserting the
following: ``day--
``(1) the information required to be reported under
subsection (a)(1); and
``(2) a composite price using the information required to
be reported under paragraphs (1) and (2) of subsection (a).''.
SEC. 6. CATTLE CONTRACT LIBRARY.
The Agricultural Marketing Act of 1946 is amended--
(1) by redesignating section 223 (7 U.S.C. 1635f) as
section 224; and
(2) by inserting after section 222 (7 U.S.C. 1635e) the
following:
``SEC. 223. CATTLE CONTRACT LIBRARY.
``(a) In General.--Not later than 120 days after the date of
enactment of the Cattle Price Discovery and Transparency Act of 2023,
the Secretary shall establish and maintain, through the Livestock
Mandatory Price Reporting program, a library or catalog (referred to in
this section as the `library'), of each type of covered contract
entered into between packers and producers for the purchase of fed
cattle (including cattle that are purchased or committed for delivery),
including any schedules of premiums or discounts associated with the
covered contract.
``(b) Information Collection.--
``(1) In general.--To maintain the library, the Secretary
shall obtain information from each packer on each type of
existing covered contract of the packer by requiring a filing
or other form of information submission from each packer.
``(2) Contract information.--Information submitted to the
Secretary by a packer under paragraph (1) shall include, with
respect to each existing covered contract of a packer--
``(A) the type of contract;
``(B) the duration of the contract;
``(C) a summary of the contract terms;
``(D) provisions in the contract that may affect
the price of cattle covered by the contract, including
schedules, premiums and discounts, financing and risk-
sharing arrangements, and transportation arrangements;
``(E) the total number of cattle covered by the
contract solely committed to the packer each week
within the 6-month and 12-month periods following the
date of the contract and the percentage of cattle each
week that may vary for delivery or nondelivery at the
discretion of the packer, organized by reporting region
or in such other manner as the Secretary may determine;
``(F) in the case of a contract in which a specific
number of cattle are not solely committed to the
packer--
``(i) an indication that the contract is an
open commitment; and
``(ii) any weekly, monthly, annual, or
other limitations or requirements on the number
of cattle that may be delivered to the packer
under the contract, including the percentage of
cattle that may vary for delivery or
nondelivery in a given time period at the
discretion of the packer; and
``(G) a description of the provisions in the
contract that provide for expansion in the numbers of
fed cattle to be delivered under the contract for the
6-month and 12-month periods following the date of the
contract.
``(c) Availability of Information.--
``(1) In general.--The Secretary shall make publicly
available to producers and other interested persons information
(including the information described in subsection (b)(2)), in
a user-friendly format, on the types of covered contracts in
the library, including notice (on a real-time basis, if
practicable) of the types of covered contracts that are entered
into between packers and producers for the purchase of fed
cattle.
``(2) Monthly report.--
``(A) In general.--Beginning 30 days after the
library is established, the Secretary shall make the
information obtained each month in the library
available in a monthly report to producers and other
interested persons.
``(B) Contents.--The monthly report described in
subparagraph (A) shall include--
``(i) based on the information collected
under subsection (b)(2)(E), an estimate by the
Secretary of the total number of fed cattle
committed under covered contracts for delivery
to packers within the 6-month and 12-month
periods following the date of the report,
organized by reporting region and type of
contract;
``(ii) based on the information collected
under subsection (b)(2)(F), the number of
covered contracts with an open commitment and
any weekly, monthly, annual, or other
limitations or requirements on the number of
cattle that may be delivered under such
contracts, including the percentage of cattle
that may vary for delivery or nondelivery in a
given time period at the discretion of the
packer; and
``(iii) based on the information collected
under subsection (b)(2)(G), an estimate by the
Secretary of the total maximum number of fed
cattle that may be delivered within the 6-month
and 12-month periods following the date of the
report, organized by reporting region and type
of contract.
``(d) Maintenance of Library.--Information in the library about
types of contracts that are no longer offered or in use shall be
removed from the library.
``(e) Confidentiality.--The reporting requirements for packers
under this section shall be subject to the confidentiality protections
provided under section 251.
``(f) Violations.--It shall be unlawful and a violation of this Act
for any packer to willfully fail or refuse--
``(1) to provide to the Secretary accurate information
required under this section; or
``(2) to comply with any other requirement of this section.
``(g) Authorization of Appropriations.--There are authorized to be
appropriated to the Secretary such sums as are necessary to carry out
this section.''.
SEC. 7. MARKET ACQUISITION OF FED CATTLE.
(a) Sense of the Congress.--It is the sense of the Congress that--
(1) all participants in the fed cattle market have a
responsibility to contribute to sufficient levels of negotiated
trade of fed cattle in all cattle feeding regions in order to
achieve competitive bidding and maximum transparency in all
relevant markets and robust price discovery for the benefit of
all market participants;
(2) covered packers that use negotiated market prices or
internal formulations thereof as the basis for formula
marketing arrangements may have incentives to not participate
in price discovery in fed cattle markets, including in order to
influence the price, especially if the majority of the cattle
purchases are under fed cattle formula marketing arrangements
under which it is particularly important to have minimum
participation; and
(3) the Department of Agriculture should examine academic
literature regarding minimum levels of negotiated transactions
necessary to achieve robust price discovery, eliminate the
potential for price manipulation, and enhance cattle producer
leverage in the marketplace in each of the cattle marketing
regions.
(b) Penalties.--Section 253(a) of the Agricultural Marketing Act of
1946 (7 U.S.C. 1636b(a)) is amended--
(1) in paragraph (1)--
(A) by striking the paragraph designation and
heading and all that follows through ``Any packer'' and
inserting the following:
``(1) Penalty amount.--
``(A) In general.--Except as provided in
subparagraph (B), any packer''; and
(B) by adding at the end the following:
``(B) Mandatory minimum violation.--Any packer or
other person that violates section 259 may be assessed
a civil penalty by the Secretary of not more than
$90,000 for each violation (as adjusted for
inflation).''; and
(2) in paragraph (2)--
(A) by striking ``Each day'' and inserting the
following:
``(A) In general.--Except as provided in
subparagraph (B), each day''; and
(B) by adding at the end the following:
``(B) Mandatory minimum violation.--Each week
during which a violation of section 259 continues shall
be considered to be a separate violation.''.
(c) Mandatory Minimums.--The Agricultural Marketing Act of 1946 is
amended--
(1) by redesignating sections 259 and 260 (7 U.S.C. 1636h,
1636i) as sections 260 and 261, respectively; and
(2) by inserting after section 258 (7 U.S.C. 1636g) the
following:
``SEC. 259. MANDATORY MINIMUMS.
``(a) Purpose.--The purpose of this section is to establish
mandatory minimums--
``(1) to enhance price discovery, transparency, and cattle
producer leverage for cattle market participants; and
``(2) to minimize and mitigate conflicts of interest and
other incentives for a covered packer to influence the base
price of formula marketing arrangements for the benefit of the
covered packer through action or inaction in the market in
which the base price is determined.
``(b) Establishment.--
``(1) In general.--Not later than 2 years after the date of
enactment of the Cattle Price Discovery and Transparency Act of
2023, the Secretary shall establish--
``(A) 5 to 7 contiguous regions (referred to in
this section as `covered regions') that--
``(i) together encompass the entire
continental United States; and
``(ii) to the extent practicable,
reasonably reflect similar fed cattle purchase
practices;
``(B) a mandatory minimum--
``(i) for each covered region established
under subparagraph (A); and
``(ii) that shall be applicable with
respect to each processing plant of a covered
packer located in that covered region; and
``(C) a time period within which a covered packer
shall be required to meet the applicable mandatory
minimum, which shall be not less than 1 week but not
more than 30 days.
``(2) Modifications.--The Secretary--
``(A) shall review the mandatory minimums
established under paragraph (1) not later than 2 years
after the date of establishment and periodically
thereafter, but not less frequently than once every 5
years; and
``(B) modify any such mandatory minimum, as
necessary, after consulting with representatives of the
United States cattle and beef industry and in
accordance with paragraph (4).
``(3) Public input.--In carrying out this subsection, the
Secretary shall make all proposed mandatory minimums subject to
notice and comment rulemaking and a cost-benefit analysis.
``(4) Considerations.--In establishing or modifying
mandatory minimums under this subsection for any covered
region, the Secretary shall consider the following factors:
``(A) The number of covered packers in the covered
region.
``(B) The availability of fed cattle in the covered
region.
``(C) Pre-existing contractual arrangements of
packers in the covered region.
``(D) The number of pricing transactions (pens of
cattle sold) in the covered region.
``(E) The proportion of fed cattle purchased in the
covered region through negotiated purchases or
negotiated grid purchases relative to the number of
formula marketing arrangements that use the negotiated
prices or negotiated grid prices as base prices.
``(5) Initial mandatory minimum requirement.--The initial
mandatory minimum established under paragraph (1)(B) for each
covered region shall be--
``(A) not less than the average percentage of
negotiated purchases and negotiated grid purchases made
in that covered region between January 1, 2020, and
January 1, 2022; and
``(B) not more than 50 percent.
``(c) Purchases.--A covered packer shall, with respect to each
processing plant of the covered packer, purchase through an approved
pricing mechanism not less than the percentage of fed cattle required
under the mandatory minimum established under subsection (b) for the
covered region in which the processing plant is located.
``(d) Enforcement.--
``(1) In general.--On establishing mandatory minimums under
subsection (b), the Secretary--
``(A) shall regularly monitor compliance by covered
packers with those mandatory minimums; and
``(B) in the case of noncompliance by a covered
packer in a given period, may allow the covered packer
to remedy the noncompliance by purchasing the
applicable shortfall in the approved pricing mechanism
in 1 or more subsequent periods, subject to paragraph
(2).
``(2) Nonremedy.--The Secretary shall not allow a covered
packer to remedy noncompliance under paragraph (1)(B) if the
covered packer has a pattern or practice of noncompliance, as
determined by the Secretary.
``(e) Effect on Premiums.--Nothing in this section prohibits a
formula marketing arrangement from including a premium in addition to
the base price, including a premium for meat quality, consistency,
breed, production method, branding, or any other value-added effort.''.
SEC. 8. ALTERNATIVE MARKETING ARRANGEMENTS FEASIBILITY REPORT.
Not later than 180 days after the date of enactment of this Act,
the Secretary of Agriculture, acting through the Administrator of the
Agricultural Marketing Service, shall publish a report analyzing the
feasibility of alternative marketing arrangements with a base price
tied to the price of boxed beef, which shall include information on--
(1) the benefits and limitations of such alternative
marketing arrangements;
(2) barriers limiting adoption of such alternative
marketing arrangements;
(3) potential educational needs relating to the use of such
alternative marketing arrangements for industry participants;
and
(4) risk management needs to increase the adoption and
facilitate the ongoing delivery of benefits of such alternative
marketing arrangements to industry participants.
SEC. 9. MODIFICATIONS TO LIVESTOCK MANDATORY REPORTING REGIONS.
Not later than 1 year after the date of enactment of this Act, the
Secretary of Agriculture, acting through the Administrator of the
Agricultural Marketing Service, shall realign the livestock mandatory
reporting regions established pursuant to subtitle B of the
Agricultural Marketing Act of 1946 (7 U.S.C. 1635 et seq.) by--
(1) modifying the existing Colorado cattle reporting region
to include the State of Wyoming; and
(2) modifying the existing Iowa-Minnesota cattle reporting
region to include the States of Illinois and South Dakota.
<all>
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118HR1288 | Holding Countries Accountable for Negligent Chemical and Biological Programs Act | [
[
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"Rep. Feenstra, Randy [R-IA-4]",
"sponsor"
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[
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[
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]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1288 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1288
To amend the Chemical and Biological Weapons Control and Warfare
Elimination Act of 1991 to impose sanctions against governments of
foreign states that engage in an act or acts of gross negligence with
respect to state owned, operated, or directed chemical or biological
programs.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Feenstra introduced the following bill; which was referred to the
Committee on Foreign Affairs, and in addition to the Committees on
Financial Services, and Oversight and Accountability, for a period to
be subsequently determined by the Speaker, in each case for
consideration of such provisions as fall within the jurisdiction of the
committee concerned
_______________________________________________________________________
A BILL
To amend the Chemical and Biological Weapons Control and Warfare
Elimination Act of 1991 to impose sanctions against governments of
foreign states that engage in an act or acts of gross negligence with
respect to state owned, operated, or directed chemical or biological
programs.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Holding Countries Accountable for
Negligent Chemical and Biological Programs Act''.
SEC. 2. STATEMENT OF POLICY.
It shall be the policy of the United States to impose sanctions
against governments of foreign states, and take other measures if the
governments of such foreign states that engage in an act or acts of
gross negligence with respect to State-owned, operated, or directed
chemical or biological programs.
SEC. 3. AMENDMENTS TO THE CHEMICAL AND BIOLOGICAL WEAPONS CONTROL AND
WARFARE ELIMINATION ACT OF 1991.
(a) Purposes and Definitions.--Section 502 of the Chemical and
Biological Weapons Control and Warfare Elimination Act of 1991 (22
U.S.C. 5601) is amended--
(1) in the section heading, by adding at the end before the
period the following: ``and definitions'';
(2) by striking ``The purposes'' and inserting ``(a)
Purposes.--The purposes'';
(3) in paragraph (1)--
(A) by striking ``or use'' and insert ``use''; and
(B) by inserting ``, or engage in an act or acts of
gross negligence with respect to a chemical or
biological program owned, controlled, or directed by,
or subject to the jurisdiction of the government of a
foreign state'' after ``nationals''; and
(4) by adding at the end the following:
``(b) Definitions.--In this Act:
``(1) Gross negligence.--The term `gross negligence', with
respect to an act or acts of a government of a foreign state,
includes the government knew, or should have known, the act or
acts would result in injury or damages to another foreign state
or other such foreign states.
``(2) Foreign state.--The term `foreign state'--
``(A)(i) has the meaning given that term in
subsection (a) of section 1603 of title 28, United
States Code; and
``(ii) includes an `agency or instrumentality of a
foreign state' as that term is defined in subsection
(b) of such section; and
``(B) includes an entity that is--
``(i)(I) directly or indirectly owned,
controlled, or beneficially owned by, or in an
official or unofficial capacity acting as an
agent of or on behalf of, the government of a
foreign state; or
``(II) received significant material
support from the government of a foreign state;
and
``(ii) engaged in providing commercial
services, shipping, manufacturing, producing,
or exporting.''.
(b) Determinations Regarding Use of Chemical or Biological
Weapons.--Section 506 of the Chemical and Biological Weapons Control
and Warfare Elimination Act of 1991 (22 U.S.C. 5604) is amended--
(1) in subsection (a)--
(A) by redesignating paragraph (3) as paragraph
(4);
(B) by inserting after paragraph (2) the following:
``(3) Additional determination by the president.--
``(A) When determination required; nature of
determination.--Whenever credible information becomes
available to the executive branch indicating a
substantial possibility that, on or after January 1,
2020, the government of a foreign country has engaged
in an act or acts of gross negligence with respect to a
chemical or biological program owned, controlled, or
directed by, or subject to the jurisdiction of the
government of a foreign state, the President shall,
within 60 days after the receipt of such information by
the executive branch, determine whether that
government, on or after such date, has engaged in an
act or acts of gross negligence with respect to a
chemical or biological program owned, controlled, or
directed by, or subject to the jurisdiction of the
government of a foreign state. Section 507 applies if
the President determines that that government has so
engaged in such act or acts of gross negligence.
``(B) Matters to be considered.--In making the
determination under subparagraph (A), the President
shall consider the following:
``(i) All physical and circumstantial
evidence available bearing on the possibility
that the government in question engaged in an
act or acts of gross negligence with respect to
a chemical or biological program owned,
controlled, or directed by, or subject to the
jurisdiction of the government of a foreign
state.
``(ii) Whether evidence exists that such
program or programs have civilian and military
purposes or applications.
``(iii) Whether the government in question
attempted to conceal or otherwise withhold
information from other governments or
international organizations regarding an act or
acts of gross negligence.
``(iv) Whether, and to what extent, the
government in question is compliant with its
obligations under the Biological and Toxin
Weapons Convention or Convention on the
Prohibition of the Development, Production,
Stockpiling and Use of Chemical Weapons and on
their Destruction, as applicable.
``(v) Whether, and to what extent, the
government in question is providing or
otherwise voluntarily disclosing substantive
information to relevant international
organizations.''; and
(C) in paragraph (4) (as redesignated)--
(i) in the first sentence, by inserting
``or (3)'' after ``paragraph (1)'';
(ii) in the second sentence, by inserting
``under paragraph (1)'' after
``determination''; and
(iii) by adding at the end the following:
``If the determination under paragraph (3) is
that a foreign government had engaged in an act
or acts of gross negligence with respect to a
chemical or biological program owned,
controlled, or directed by, or subject to the
jurisdiction of the government of a foreign
state, the report shall specify the sanctions
to be imposed pursuant to section 507A.''; and
(2) in subsection (b)--
(A) in paragraph (1)--
(i) by striking ``whether a particular
foreign government'' and inserting the
following: ``whether--
``(A) a particular foreign government'';
(ii) by striking the period at the end and
inserting ``; or''; and
(iii) by adding at the end the following:
``(B) a particular foreign government, on or after
January 1, 2020, has engaged in an act of acts of gross
negligence with respect to a chemical or biological
program owned, controlled, or directed by, or subject
to the jurisdiction of the government of a foreign
state.''; and
(B) in paragraph (2)--
(i) in the first sentence--
(I) by striking ``whether the
specified government'' and inserting
the following: ``whether--
``(A) the specified government'';
(II) by striking the period at the
end and inserting ``; or''; and
(III) by adding at the end the
following:
``(B) the specified government, on or after January
1, 2020, has engaged in an act or acts of gross
negligence with respect to a chemical or biological
program owned, controlled, or directed by, or subject
to the jurisdiction of the government of a foreign
state.''; and
(ii) in the second sentence--
(I) by inserting ``or (3)(B), as
applicable'' after ``subsection
(a)(2)''; and
(II) by moving the margin of the
second sentence so it has the same
level of indentation as margin of the
matter preceding subparagraph (A) of
the first sentence.
(c) Sanctions Against Foreign States With Respect to Chemical or
Biological Programs.--The Chemical and Biological Weapons Control and
Warfare Elimination Act of 1991 (22 U.S.C. 5601 et seq.) is amended by
inserting after section 507 the following:
``SEC. 507A. SANCTIONS AGAINST FOREIGN STATES WITH RESPECT TO CHEMICAL
OR BIOLOGICAL PROGRAMS.
``(a) Initial Sanctions.--
``(1) In general.--If the President makes a determination
pursuant to section 506(a)(3) with respect to the government of
a foreign state, the President shall, within 30 days of making
such determination, impose the sanctions described in paragraph
(2) with respect to the foreign state.
``(2) Sanctions described.--The sanctions described in this
paragraph are the following:
``(A) The United States Government shall suspend
all scientific cooperative programs and efforts with
the government of the foreign state.
``(B) The President shall prohibit the export to
the foreign state of any goods, services or technology
under Category 1 and Category 2 of the Commerce Control
List.
``(C) The United States Government may not procure,
or enter into any contract for the procurement of, any
goods or services from any person operating in the
chemical or biological sectors of the foreign state.
``(b) Intermediate Application of Sanctions.--
``(1) Determination.--Not later than 120 days after making
a determination pursuant to section 506(a)(3) with respect to a
government of a foreign state, the President shall submit to
the appropriate congressional committees a determination as to
whether--
``(A) such government has adequately addressed an
act or acts of gross negligence with respect to a
chemical or biological program owned, controlled, or
directed by, or subject to the jurisdiction of the
government of a foreign state;
``(B) such government has developed or is
developing necessary measures to prevent any future act
or acts of gross negligence;
``(C) such government is providing or otherwise
voluntarily disclosing substantive information to the
United States and relevant international organizations;
and
``(D) such government is compliant with its
obligations under the Biological and Toxin Weapons
Convention or the Convention on the Prohibition of the
Development, Production, Stockpiling and Use of
Chemical Weapons and on their Destruction, as
applicable.
``(2) Effect of determination.--If the President is unable
to certify that a government of a foreign state has taken the
actions described in subparagraphs (A), (B), (C), and (D) of
paragraph (1), the President shall impose 2 or more of the
sanctions described in paragraph (3) with respect to the
government of the foreign state.
``(3) Sanctions described.--The sanctions described in this
paragraph are the following:
``(A) The United States Government shall terminate
assistance to the government of the foreign state under
the Foreign Assistance Act of 1961 (22 U.S.C. 2151 et
seq.), except for urgent humanitarian assistance and
food or other agricultural commodities or products.
``(B) No sales of any defense articles, defense
services, or design and construction services under the
Arms Export Control Act (22 U.S.C. 2751 et seq.) may be
made to the government of the foreign state.
``(C) No licenses for export of any item on the
United States Munitions List that include the
government of the foreign state as a party to the
license may be granted.
``(D) No exports of any goods or technologies
controlled for national security reasons under the
Export Administration Regulations may be made to the
government of the foreign state, except that such
prohibition shall not apply to any transaction subject
to the reporting requirements of title V of the
National Security Act of 1947 (50 U.S.C. 413 et seq.;
relating to congressional oversight of intelligence
activities).
``(E) The President may order the United States
Government not to issue any specific license and not to
grant any other specific permission or authority to
export any goods or technology to the government of the
foreign state under--
``(i) the Export Control Reform Act of 2018
(50 U.S.C. 4801 et seq.);
``(ii) the Arms Export Control Act (22
U.S.C. 2751 et seq.);
``(iii) the Atomic Energy Act of 1954 (42
U.S.C. 2011 et seq.); or
``(iv) any other statute that requires the
prior review and approval of the United States
Government as a condition for the export or
reexport of goods or services.
``(c) Final Application of Sanctions.--
``(1) Determination.--Not later than 210 days after making
a determination pursuant to section 506(a)(3) with respect to a
government of a foreign state, the President shall submit to
the appropriate congressional committees a determination as to
whether the government of the foreign state has taken the
actions described in subparagraphs (A), (B), (C), and (D) of
subsection (b)(1).
``(2) Effect of determination.--If the President is unable
to certify that a government of a foreign state has taken the
actions described in subparagraphs (A), (B), (C), and (D) of
subsection (b)(1), the President shall impose the sanctions
described in paragraph (3) with respect to the government of
the foreign state.
``(3) Sanctions.--The sanctions described in this paragraph
are the following:
``(A) The President shall, pursuant to such
regulations as the President may prescribe, prohibit
any transactions in foreign exchange that are subject
to the jurisdiction of the United States and in which
the government of the foreign state has any interest.
``(B) The President shall, pursuant to such
regulations as the President may prescribe, prohibit
any transfers of credit or payments between one or more
financial institutions or by, through, or to any
financial institution, to the extent that such
transfers or payments are subject to the jurisdiction
of the United States and involve any interest of the
government of the foreign state.
``(d) Removal of Sanctions.--The President shall remove the
sanctions imposed with respect to the government of a foreign state
pursuant to this section if the President determines and so certifies
to the Congress, after the end of the 12-month period beginning on the
date on which sanctions were initially imposed on that government of a
foreign state pursuant to subsection (a), that--
``(1) such government has adequately addressed an act or
acts of gross negligence with respect to a chemical or
biological program owned, controlled, or directed by, or
subject to the jurisdiction of the government of a foreign
state;
``(2) such government has developed or is developing
necessary measures to prevent any future act or acts of gross
negligence;
``(3) such government is providing or otherwise voluntarily
disclosing substantive information to the United States and
relevant international organizations;
``(4) such government is compliant with its obligations
under the Biological and Toxin Weapons Convention or Convention
on the Prohibition of the Development, Production, Stockpiling
and Use of Chemical Weapons and on their Destruction, as
applicable; and
``(5) such government is making restitution to those
affected by an act or acts of gross negligence with respect to
a chemical or biological program owned, controlled, or directed
by, or subject to the jurisdiction of the government of a
foreign state, including United States persons.
``(e) Waiver.--
``(1) In general.--The President may, for periods not to
exceed 180 days, waive the imposition of sanctions under this
section if the President certifies to the appropriate
congressional committees that such waiver is vital to the
national security interests of the United States.
``(2) Sunset.--The President may not exercise the authority
described in paragraph (1) beginning on the date that is 4
years after the date of enactment of this section.
``(f) Appropriate Congressional Committees Defined.--In this
section, the term `appropriate congressional committees' means--
``(1) the Committee on Foreign Affairs and the Committee on
Financial Services of the House of Representatives; and
``(2) the Committee on Foreign Relations and the Committee
on Banking, Housing, and Urban Affairs of the Senate.''.
SEC. 4. DETERMINATION REGARDING THE PEOPLE'S REPUBLIC OF CHINA.
(a) In General.--Not later than 180 days after the date of the
enactment of this Act, the President shall determine whether reasonable
grounds exist for concluding that the Government of the People's
Republic of China meets the criteria for engaging in an act or acts of
gross negligence with respect to a chemical or biological program
owned, controlled, or directed by, or subject to the jurisdiction of
that government under section 506(a)(3) of the Chemical and Biological
Weapons Control and Warfare Elimination Act of 1991, as amended by
section 3 of this Act.
(b) Report Required.--
(1) In general.--Not later than 30 days after making a
determination under subsection (a), the President shall submit
to the appropriate congressional committees a report that
includes the reasons for the determination.
(2) Form.--A report required by paragraph (1) shall be
submitted in unclassified form but may include a classified
annex.
SEC. 5. REGULATORY AUTHORITY.
(a) In General.--The President shall, not later than 180 days after
the date of the enactment of this Act, prescribe regulations as
necessary for the implementation of this Act and the amendments made by
this Act.
(b) Notification to Congress.--Not later than 10 days before the
prescription of regulations under subsection (a), the President shall
notify the appropriate congressional committees regarding the proposed
regulations and the provisions of this Act and the amendments made by
this Act that the regulations are implementing.
SEC. 6. APPROPRIATE CONGRESSIONAL COMMITTEES DEFINED.
In this Act, the term ``appropriate congressional committees''
means--
(1) the Committee on Foreign Affairs and the Committee on
Financial Services of the House of Representatives; and
(2) the Committee on Foreign Relations and the Committee on
Banking, Housing, and Urban Affairs of the Senate.
<all>
</pre></body></html>
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118HR1289 | Dollar-for-Dollar Deficit Reduction Act | [
[
"F000446",
"Rep. Feenstra, Randy [R-IA-4]",
"sponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1289 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1289
To require that any debt limit increase or suspension be balanced by
equal spending cuts over the next decade.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Feenstra introduced the following bill; which was referred to the
Committee on Ways and Means, and in addition to the Committees on
Rules, and the Budget, for a period to be subsequently determined by
the Speaker, in each case for consideration of such provisions as fall
within the jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To require that any debt limit increase or suspension be balanced by
equal spending cuts over the next decade.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Dollar-for-Dollar Deficit Reduction
Act''.
SEC. 2. AMENDMENT TO TITLE 31.
(a) In General.--Subchapter I of chapter 31 of title 31, United
States Code, is amended by inserting after section 3101A the following:
``Sec. 3101B. Debt limit control
``(a) Declaration of a Debt Limit Warning.--
``(1) In general.--In the event of a near breach of the
public debt limit established by section 3101, the Secretary of
the Treasury shall issue a debt limit warning to the Committee
on Finance of the Senate and the Committee on Ways and Means of
the House of Representatives that shall include a determination
as to when extraordinary measures may be necessary in order to
prolong the funding of the United States Government.
``(2) Definitions.--In this subsection:
``(A) Extraordinary measures.--The term
`extraordinary measures' means measures that may be
taken by the Secretary of the Treasury in the event of
a breach of the debt limit by the United States to
prolong the function of the United States Government in
the absence of a debt limit increase.
``(B) Near breach.--The term `near breach' means
the point at which the Secretary of the Treasury
determines that the United States Government will reach
the statutorily prescribed debt limit within 60
calendar days notwithstanding the implementation of
extraordinary measures.
``(b) Presidential Submission of Debt Limit Legislation.--
``(1) Savings recommendations from the president.--Any
formal Presidential request to increase the debt limit under
this section shall include the amount of the proposed debt
limit increase and be accompanied by proposed legislation to
reduce spending over the sum of the current and following 10
years by an amount equal to or greater than the amount of the
requested debt limit increase. Net interest savings may not be
counted towards spending reductions required by this paragraph.
``(2) Calculation.--The spending savings under paragraph
(1) shall be calculated against a budget baseline consistent
with section 257 of the Balanced Budget and Emergency Deficit
Control Act of 1985. This baseline shall exclude the
extrapolation of any spending that had been enacted under an
emergency designation.''.
(b) Subchapter Analysis.--The table of sections for chapter 31 of
title 31, United States Code, is amended by inserting after the item
for section 3101A the following:
``3101B. Debt limit control.''.
SEC. 3. CONGRESSIONAL REQUIREMENT TO RESTRAIN SPENDING WHILE RAISING OR
SUSPENDING THE DEBT LIMIT.
(a) In General.--Title III of the Congress and Budget Act of 1974
(2 U.S.C. 631 et seq.) is amended by inserting at the end the
following:
``SEC. 316. DEBT LIMIT INCREASE POINT OF ORDER.
``(a) In General.--
``(1) Point of order.--Except as provided in subsection
(b), it shall not be in order in the Senate or the House of
Representatives to consider any bill, joint resolution,
amendment, motion, or conference report that increases the
statutory debt limit unless the bill contains net spending
reductions of an equal or greater amount over the period of the
current and next 10 fiscal years. Net interest savings may not
be counted towards spending reductions required by this
paragraph.
``(2) Components of net spending reduction.--
``(A) Calculation.--The savings resulting from the
proposed spending reductions under paragraph (1) shall
be calculated by the Congressional Budget Office
against a budget baseline consistent with section 257
of the Balanced Budget and Emergency Deficit Control
Act of 1985. This baseline shall exclude the
extrapolation of any spending that had been enacted
under an emergency designation.
``(B) Availability.--The Senate and the House of
Representatives may not vote on any bill, joint
resolution, amendment, motion, or conference report
that increases the public debt limit unless the cost
estimate of that measure prepared by the Congressional
Budget Office has been publicly available on the
website of the Congressional Budget Office for at least
24 hours.
``(C) Prohibit timing shifts.--Any provision that
shifts outlays or revenues from within the 10-year
window to outside the window shall not count towards
the budget savings target for purposes of this
subsection.
``(b) Senate Supermajority Waiver and Appeal.--
``(1) Waiver.--In the Senate, subsection (a)(1) may be
waived or suspended only by an affirmative vote of three-fifths
of the Members, duly chosen and sworn.
``(2) Appeal.--An affirmative vote of three-fifths of the
Members of the Senate, duly chosen and sworn, shall be required
to sustain an appeal of the ruling of the Chair on a point of
order raised under subsection (a)(1).
``SEC. 317. DEBT LIMIT SUSPENSION POINT OF ORDER.
``(a) In General.--
``(1) Point of order.--Except as provided in subsection
(b), it shall not be in order in the Senate or the House of
Representatives to consider any bill, joint resolution,
amendment, motion, or conference report that suspends the
statutory debt limit unless the bill contains net spending
reductions over the period of the current and next 10 fiscal
years in an amount that is equal to or greater than the
projected debt amount for the period of the suspension of the
statutory debt limit as determined by the Congressional Budget
Office in accordance with paragraph (3). Net interest savings
may not be counted towards spending reductions required by this
paragraph.
``(2) Components of net spending reduction.--
``(A) Calculation.--The savings resulting from the
proposed spending reductions under paragraph (1) shall
be calculated by the Congressional Budget Office
against a budget baseline consistent with section 257
of the Balanced Budget and Emergency Deficit Control
Act of 1985. This baseline shall exclude the
extrapolation of any spending that had been enacted
under an emergency designation.
``(B) Availability.--The Senate and the House of
Representatives may not vote on any bill, joint
resolution, amendment, motion, or conference report
that increases the public debt limit unless the cost
estimate of that measure prepared by the Congressional
Budget Office has been publicly available on the
website of the Congressional Budget Office for at least
24 hours.
``(C) Prohibit timing shifts.--Any provision that
shifts outlays or revenues from within the 10-year
window to outside the window shall not count towards
the budget savings target for purposes of this
subsection.
``(3) Calculation of projected debt amount.--For purposes
of paragraph (1), the Congressional Budget Office shall
determine the amount of projected debt for the period for which
the bill, joint resolution, amendment, motion, or conference
report suspends the statutory debt limit by calculating the
difference between--
``(A) the amount the statutory debt is projected to
be on the date on which the suspension of the statutory
debt limit is to end, as determined by the debt
projection of the Congressional Budget Office, and
``(B) the amount of statutory debt as of the date
on which the suspension of the statutory debt limit is
to begin.
``(b) Senate Supermajority Waiver and Appeal.--
``(1) Waiver.--In the Senate, subsection (a)(1) may be
waived or suspended only by an affirmative vote of three-fifths
of the Members, duly chosen and sworn.
``(2) Appeal.--An affirmative vote of three-fifths of the
Members of the Senate, duly chosen and sworn, shall be required
to sustain an appeal of the ruling of the Chair on a point of
order raised under subsection (a)(1).''.
(b) Conforming Amendment.--The table of contents set forth in
section 1(b) of the Congressional Budget and Impoundment Control Act of
1974 is amended by inserting after section 315 the following:
``Sec. 316. Debt limit increase point of order.
``Sec. 317. Debt limit suspension point of order.''.
<all>
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118HR129 | To require the Secretary of Defense to ensure drop boxes are maintained on military installations for the deposit of unused prescription drugs, and for other purposes. | [
[
"B001260",
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"sponsor"
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[
"G000593",
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"cosponsor"
]
] | <p>This bill requires the Department of Defense to ensure there is an accessible drop box on each military installation for members of the Armed Forces (and family members) to deposit unused prescription drugs.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 129 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 129
To require the Secretary of Defense to ensure drop boxes are maintained
on military installations for the deposit of unused prescription drugs,
and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 9, 2023
Mr. Buchanan (for himself and Ms. Kuster) introduced the following
bill; which was referred to the Committee on Armed Services
_______________________________________________________________________
A BILL
To require the Secretary of Defense to ensure drop boxes are maintained
on military installations for the deposit of unused prescription drugs,
and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. DROP BOXES ON MILITARY INSTALLATIONS FOR DEPOSIT OF UNUSED
PRESCRIPTION DRUGS.
(a) Drop Boxes.--The Secretary of Defense shall ensure there is
maintained on each military installation a drop box that is accessible
to members of the Armed Forces and the family members thereof, into
which such members and family members may deposit unused prescription
drugs.
(b) Prescription Drug Defined.--In this section, the term
``prescription drug'' has the meaning given that term in section
1074g(i) of title 10, United States Code.
<all>
</pre></body></html>
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118HR1290 | To amend the Food, Conservation, and Energy Act of 2008 to clarify propane storage as an eligible use for funds provided under the storage facility loan program, and for other purposes. | [
[
"F000475",
"Rep. Finstad, Brad [R-MN-1]",
"sponsor"
],
[
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"cosponsor"
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[
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"cosponsor"
],
[
"S001212",
"Rep. Stauber, Pete [R-MN-8]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1290 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1290
To amend the Food, Conservation, and Energy Act of 2008 to clarify
propane storage as an eligible use for funds provided under the storage
facility loan program, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Finstad (for himself and Mr. Costa) introduced the following bill;
which was referred to the Committee on Agriculture
_______________________________________________________________________
A BILL
To amend the Food, Conservation, and Energy Act of 2008 to clarify
propane storage as an eligible use for funds provided under the storage
facility loan program, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. STORAGE FACILITY LOANS.
Section 1614(a) of the Food, Conservation, and Energy Act of 2008
(7 U.S.C. 8789(a)) is amended--
(1) by striking ``funds for producers'' and inserting the
following: ``funds for--
``(1) producers''; and
(2) in paragraph (1) (as so designated), by striking the
period at the end and inserting the following: ``; or
``(2) agricultural producers to construct or upgrade
storage facilities for propane that is primarily used for
agricultural production (as such term is defined in section
4279.2 of title 7, Code of Federal Regulations (as in effect on
the date of the enactment of this paragraph)).''.
<all>
</pre></body></html>
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118HR1291 | Stopping Overdoses of Fentanyl Analogues Act | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1291 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1291
To amend the Controlled Substances Act to list fentanyl-related
substances as schedule I controlled substances.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Fitzgerald (for himself, Mrs. Chavez-DeRemer, Mr. Tiffany, Ms.
Malliotakis, Mr. Mills, and Mrs. Hinson) introduced the following bill;
which was referred to the Committee on Energy and Commerce, and in
addition to the Committee on the Judiciary, for a period to be
subsequently determined by the Speaker, in each case for consideration
of such provisions as fall within the jurisdiction of the committee
concerned
_______________________________________________________________________
A BILL
To amend the Controlled Substances Act to list fentanyl-related
substances as schedule I controlled substances.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Stopping Overdoses of Fentanyl
Analogues Act''.
SEC. 2. ARCHIE BADURA MEMORIAL FENTANYL RELATED SUBSTANCE SCHEDULING.
Section 202(c) of the Controlled Substances Act (21 U.S.C. 812(c))
is amended by inserting after subsection (d) the following:
``(e)(1) Unless specifically exempted or unless listed in another
schedule, any material, compound, mixture, or preparation which
contains any quantity of fentanyl-related substances, or which contains
their salts, isomers, and salts of isomers whenever the existence of
such salts, isomers, and salts of isomers is possible within the
specific chemical designation.
``(2) In paragraph (1), the term `fentanyl-related substances'
includes any substance that is structurally related to fentanyl by one
or more of the following modifications:
``(A) By replacement of the phenyl portion of the phenethyl
group by any monocycle, whether or not further substituted in
or on the monocycle.
``(B) By substitution in or on the phenethyl group with
alkyl, alkenyl, alkoxy, hydroxy, halo, haloalkyl, amino or
nitro groups.
``(C) By substitution in or on the piperidine ring with
alkyl, alkenyl, alkoxy, ester, ether, hydroxy, halo, haloalkyl,
amino or nitro groups.
``(D) By replacement of the aniline ring with any aromatic
monocycle whether or not further substituted in or on the
aromatic monocycle.
``(E) By replacement of the N-propionyl group by another
acyl group.''.
SEC. 3. PENALTIES.
A fentanyl-related substance shall be treated as an analogue of N-
phenyl-N-[1-(2-phenylethyl)-4-piperidinyl] propanamide under section
401(b)(1) of the Controlled Substances Act (21 U.S.C. 841(b)(1)) and
section 1010(b) of the Controlled Substances Import and Export Act (21
U.S.C. 960(b)) without requiring proof that a fentanyl-related
substance meets the definition of a controlled substance analogue under
section 102 of the Controlled Substances Act (21 U.S.C. 802).
SEC. 4. EFFECTIVE DATE.
This Act shall take effect one day after the date of enactment of
this Act.
<all>
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118HR1292 | BADGES for Native Communities Act | [
[
"G000574",
"Rep. Gallego, Ruben [D-AZ-3]",
"sponsor"
],
[
"D000629",
"Rep. Davids, Sharice [D-KS-3]",
"cosponsor"
],
[
"N000189",
"Rep. Newhouse, Dan [R-WA-4]",
"cosponsor"
],
[
"C001053",
"Rep. Cole, Tom [R-OK-4]",
"cosponsor"
]
] | <p><b>Bridging Agency Data Gaps and Ensuring Safety for Native Communities Act or the BADGES for Native Communities Act</b></p> <p>This bill revises federal policies and procedures related to information sharing, reporting, and investigating cases of missing, unidentified, or murdered Indians. </p> <p>Among other elements, the bill requires the Department of Justice to (1) establish a grant program for specified entities (e.g., tribes) to implement changes to enhance their responses to missing person cases and death investigations of interest to tribes, and (2) work with the Department of Health and Human Services to ensure that federal training resources and culturally appropriate mental health and wellness programs are available to tribal and Bureau of Indian Affairs (BIA) law enforcement officers experiencing occupational stress. </p> <p>The Department of the Interior must establish a five-year demonstration program for the purpose of conducting or adjudicating personnel background investigations for applicants for law enforcement positions in the BIA.</p> <p>The bill also requires the Government Accountability Office to conduct specified studies, including a study on the evidence collection, handling, and processing procedures and practices of federal law enforcement agencies.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1292 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1292
To require Federal law enforcement agencies to report on cases of
missing or murdered Indians, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Gallego (for himself, Ms. Davids of Kansas, and Mr. Newhouse)
introduced the following bill; which was referred to the Committee on
the Judiciary, and in addition to the Committees on Energy and
Commerce, Natural Resources, and Oversight and Accountability, for a
period to be subsequently determined by the Speaker, in each case for
consideration of such provisions as fall within the jurisdiction of the
committee concerned
_______________________________________________________________________
A BILL
To require Federal law enforcement agencies to report on cases of
missing or murdered Indians, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE; TABLE OF CONTENTS.
(a) Short Title.--This Act may be cited as the ``Bridging Agency
Data Gaps and Ensuring Safety for Native Communities Act'' or the
``BADGES for Native Communities Act''.
(b) Table of Contents.--The table of contents for this Act is as
follows:
Sec. 1. Short title; table of contents.
Sec. 2. Definitions.
TITLE I--BRIDGING AGENCY DATA GAPS
Sec. 101. National Missing and Unidentified Persons System Tribal
facilitator.
Sec. 102. Report on Indian country law enforcement personnel resources
and need.
TITLE II--ENSURING SAFETY FOR NATIVE COMMUNITIES
Sec. 201. Demonstration program on Bureau of Indian Affairs law
enforcement employment background checks.
Sec. 202. Missing and murdered response coordination grant program.
Sec. 203. GAO study on Federal law enforcement agency evidence
collection, handling, and processing.
Sec. 204. Bureau of Indian Affairs and Tribal law enforcement officer
counseling resources interdepartmental
coordination.
SEC. 2. DEFINITIONS.
In this Act:
(1) Death investigation.--The term ``death investigation''
has the meaning determined by the Attorney General.
(2) Death investigation of interest to indian tribes.--The
term ``death investigation of interest to Indian Tribes'' means
a case involving--
(A) a death investigation into the death of an
Indian; or
(B) a death investigation of a person found on, in,
or adjacent to Indian land or a Village.
(3) Director.--The term ``Director'' means the Director of
the Office of Justice Services.
(4) Federal law enforcement agency.--The term ``Federal law
enforcement agency'' means the Bureau of Indian Affairs direct-
service police, the Federal Bureau of Investigation, and any
other Federal law enforcement agency that--
(A) has jurisdiction over crimes in Indian country;
or
(B) investigates missing persons cases of interest
to Indian Tribes, death investigations of interest to
Indian Tribes, unclaimed remains cases of interest to
Indian Tribes, or unidentified remains cases of
interest to Indian Tribes.
(5) Indian.--The term ``Indian'' has the meaning given the
term in section 4 of the Indian Self-Determination and
Education Assistance Act (25 U.S.C. 5304).
(6) Indian country.--The term ``Indian country'' has the
meaning given the term in section 1151 of title 18, United
States Code.
(7) Indian land.--The term ``Indian land'' has the meaning
given the term ``Indian lands'' in section 3 of the Native
American Business Development, Trade Promotion, and Tourism Act
of 2000 (25 U.S.C. 4302).
(8) Indian tribe.--The term ``Indian Tribe'' has the
meaning given the term in section 4 of the Indian Self-
Determination and Education Assistance Act (25 U.S.C. 5304).
(9) Missing.--The term ``missing'' has the meaning
determined by the Attorney General.
(10) Missing persons case of interest to indian tribes.--
The term ``missing persons case of interest to Indian Tribes''
means a case involving--
(A) a missing Indian; or
(B) a missing person whose last known location is
believed to be on, in, or adjacent to Indian land or a
Village.
(11) National crime information databases.--The term
``national crime information databases'' has the meaning given
the term in section 534(f)(3) of title 28, United States Code.
(12) Relevant tribal organization.--The term ``relevant
Tribal organization'' means, as applicable--
(A) a tribal organization or an urban Indian
organization; and
(B) a national or regional organization that--
(i) represents a substantial Indian
constituency; and
(ii) has expertise in the fields of--
(I) human trafficking of Indians;
(II) human trafficking on Indian
land or in a Village;
(III) violence against Indian women
and children; or
(IV) tribal justice systems.
(13) Secretary.--The term ``Secretary'' means the Secretary
of the Interior.
(14) Sexual assault case of interest to indian tribes.--The
term ``sexual assault case of interest to Indian Tribes'' means
a case involving an allegation of a felony under chapter 109A
or 110 of title 18, United States Code, committed against an
Indian by another Indian or a non-Indian.
(15) Tribal justice official.--The term ``tribal justice
official'' has the meaning given the term in section 2 of the
Indian Law Enforcement Reform Act (25 U.S.C. 2801).
(16) Tribal organization.--The term ``tribal organization''
has the meaning given the term in section 4 of the Indian Self-
Determination and Education Assistance Act (25 U.S.C. 5304).
(17) Unclaimed remains case of interest to indian tribes.--
The term ``unclaimed remains case of interest to Indian
Tribes'' means a case involving--
(A) unclaimed Indian remains; or
(B) unclaimed remains found on, in, or adjacent to
Indian land or a Village.
(18) Unidentified remains case of interest to indian
tribes.--The term ``unidentified remains case of interest to
Indian Tribes'' means a case involving--
(A) unidentified Indian remains; or
(B) unidentified remains found on, in, or adjacent
to Indian land or a Village.
(19) Urban indian organization.--The term ``urban Indian
organization'' has the meaning given the term in section 4 of
the Indian Health Care Improvement Act (25 U.S.C. 1603).
(20) Village.--The term ``Village'' means the Alaska Native
Village Statistical Area covering all or any portion of a
Native village (as defined in section 3 of the Alaska Native
Claims Settlement Act (43 U.S.C. 1602)), as depicted on the
applicable Tribal Statistical Area Program Verification Map of
the Bureau of the Census.
TITLE I--BRIDGING AGENCY DATA GAPS
SEC. 101. NATIONAL MISSING AND UNIDENTIFIED PERSONS SYSTEM TRIBAL
FACILITATOR.
(a) Appointment.--The Attorney General, acting through the Director
of the National Institute of Justice, shall appoint 1 or more Tribal
facilitators for the National Missing and Unidentified Persons System.
(b) Duties.--The duties of a Tribal facilitator appointed under
subsection (a) shall include--
(1) coordinating the reporting of information relating to
missing persons cases of interest to Indian Tribes, unclaimed
remains cases of interest to Indian Tribes, and unidentified
remains cases of interest to Indian Tribes;
(2) consulting and coordinating with Indian Tribes and
relevant Tribal organizations to address the reporting,
documentation, and tracking of missing persons cases of
interest to Indian Tribes, unclaimed remains cases of Interest
to Indian Tribes, and unidentified remains cases of interest to
Indian Tribes;
(3) developing working relationships, and maintaining
communication, with Indian Tribes and relevant Tribal
organizations;
(4) providing technical assistance and training to Indian
Tribes and relevant Tribal organizations, victim service
advocates, medical examiners, coroners, and tribal justice
officials regarding--
(A) the gathering and reporting of information to
the National Missing and Unidentified Persons System;
and
(B) working with non-Tribal law enforcement
agencies to ensure missing persons cases of interest to
Indian Tribes, unclaimed remains cases of interest to
Indian Tribes, and unidentified remains cases of
interest to Indian Tribes are reported to the National
Missing and Unidentified Persons System;
(5) coordinating with the Office of Tribal Justice, the
Office of Justice Services, the Executive Office for United
States Attorneys, and the National Indian Country Training
Initiative, as necessary; and
(6) conducting other training, information gathering, and
outreach activities to improve resolution of missing persons
cases of interest to Indian Tribes, unclaimed remains cases of
interest to Indian Tribes, and unidentified remains cases of
interest to Indian Tribes.
(c) Reporting and Transparency.--
(1) Annual reports to congress.--During the 3-year-period
beginning on the date of enactment of this Act, the Attorney
General, acting through the Director of the National Institute
of Justice, shall submit to the Committees on Indian Affairs,
the Judiciary, and Appropriations of the Senate and the
Committees on Natural Resources, the Judiciary, and
Appropriations of the House of Representatives an annual
report--
(A) describing the activities and accomplishments
of the 1 or more Tribal facilitators appointed under
subsection (a) during the 1-year period preceding the
date of the report; and
(B) summarizing--
(i) the number of missing persons cases of
interest to Indian Tribes, unclaimed remains
cases of interest to Indian Tribes, and
unidentified remains cases of interest to
Indian Tribes that the Tribal facilitator can
identify in the National Missing and
Unidentified Persons System; and
(ii) the percentage of missing persons
cases of interest to Indian Tribes, unclaimed
remains cases of interest to Indian Tribes, and
unidentified remains cases of interest to
Indian Tribes closed during the 1-year period
preceding the date of the report that the
Tribal facilitator can identify in the National
Missing and Unidentified Persons System.
(2) Public transparency.--Annually, the Attorney General,
acting through the Director of the National Institute of
Justice, shall publish on a website publicly accessible
information--
(A) describing the activities and accomplishments
of the 1 or more Tribal facilitators appointed under
subsection (a) during the 1-year period preceding the
date of the publication; and
(B) summarizing--
(i) the number of missing persons cases of
interest to Indian Tribes, unclaimed remains
cases of interest to Indian Tribes, and
unidentified remains cases of interest to
Indian Tribes that the Tribal facilitator can
identify in the National Missing and
Unidentified Persons System; and
(ii) the percentage of missing persons
cases of interest to Indian Tribes, unclaimed
remains cases of interest to Indian Tribes, and
unidentified remains cases of interest to
Indian Tribes closed during the 1-year period
preceding the date of the report that the
Tribal facilitator can identify in the National
Missing and Unidentified Persons System.
SEC. 102. REPORT ON INDIAN COUNTRY LAW ENFORCEMENT PERSONNEL RESOURCES
AND NEED.
(a) Department of the Interior Office of Justice Services.--Section
3(c)(16) of the Indian Law Enforcement Reform Act (25 U.S.C.
2802(c)(16)) is amended by striking subparagraph (C) and inserting the
following:
``(C) a list of the unmet--
``(i) staffing needs of law enforcement,
corrections, and court personnel, including
criminal investigators, medical examiners,
coroners, forensic technicians, indigent
defense staff, and prosecution staff, at tribal
and Bureau of Indian Affairs justice agencies;
``(ii) replacement and repair needs of
tribal and Bureau of Indian Affairs corrections
facilities;
``(iii) infrastructure and capital needs
for tribal police and court facilities,
including evidence storage and processing; and
``(iv) public safety and emergency
communications and technology needs; and''.
(b) Department of Justice.--
(1) Definition of department of justice law enforcement
agency.--In this subsection, the term ``Department of Justice
law enforcement agency'' means each of--
(A) the Federal Bureau of Investigation;
(B) the Drug Enforcement Administration;
(C) the United States Marshals Service;
(D) the Bureau of Alcohol, Tobacco, Firearms and
Explosives; and
(E) the Offices of the United States Attorneys.
(2) Annual report.--Each fiscal year, the Attorney General
shall submit to the Committees on Indian Affairs, the
Judiciary, and Appropriations of the Senate and the Committees
on Natural Resources, the Judiciary, and Appropriations of the
House of Representatives a report describing for that fiscal
year--
(A) the number of full-time employees of each
Department of Justice law enforcement agency that are
assigned to work on criminal investigations and
prosecutions in Indian country; and
(B) the percentage of time the full-employees spend
specifically working in Indian country.
(3) GAO study and report.--
(A) Study.--
(i) In general.--Not later than 18 months
after the date on which the first annual report
is submitted under paragraph (2), the
Comptroller General of the United States shall
conduct a study that examines any identified
unmet staffing needs for Department of Justice
law enforcement agencies tasked with work on
criminal investigations and prosecutions in
Indian country.
(ii) Requirement.--In conducting the study
required under clause (i), the Comptroller
General of the United States shall take into
account the results of the most recent report,
as of the date of enactment of this Act,
relating to Indian country investigations and
prosecutions prepared by the Attorney General
pursuant to section 10(b) of the Indian Law
Enforcement Reform Act (25 U.S.C. 2809(b)).
(B) Report.--On completion of the study under
subparagraph (A), the Comptroller General of the United
States shall submit to the Committees on Indian
Affairs, the Judiciary, and Appropriations of the
Senate and the Committees on Natural Resources, the
Judiciary, and Appropriations of the House of
Representatives a report that describes the results of
the study, including, as appropriate, proposals for
methods by which the Department of Justice can better
measure the unmet staffing needs for Department of
Justice law enforcement agencies tasked with work on
criminal investigations and prosecutions in Indian
country.
TITLE II--ENSURING SAFETY FOR NATIVE COMMUNITIES
SEC. 201. DEMONSTRATION PROGRAM ON BUREAU OF INDIAN AFFAIRS LAW
ENFORCEMENT EMPLOYMENT BACKGROUND CHECKS.
(a) Establishment of Program.--
(1) In general.--The Secretary shall establish a
demonstration program for the purpose of conducting or
adjudicating, in coordination with the Director of the Bureau
of Indian Affairs, personnel background investigations for
applicants for law enforcement positions in the Bureau of
Indian Affairs.
(2) Background investigations and security clearance
determinations.--
(A) BIA investigations.--As part of the
demonstration program established under paragraph (1),
the Secretary may carry out a background investigation,
security clearance determination, or both a background
investigation and a security clearance determination
for an applicant for a law enforcement position in the
Bureau of Indian Affairs.
(B) Use of previous investigations and
determinations.--
(i) In general.--Subject to clause (ii), as
part of the demonstration program established
under paragraph (1), the Secretary, in
adjudicating background investigations for
applicants for law enforcement positions in the
Bureau of Indian Affairs, shall consider
previous background investigations for an
applicant, security clearance determinations
for an applicant, or both background
investigations and security clearance
determinations for an applicant, as the case
may be, that have been conducted by a State or
local government, Indian Tribe, tribal
organization, or the Bureau of Indian Affairs,
within the 5-year period preceding the
application for employment with the Bureau of
Indian Affairs.
(ii) Quality.--The Secretary shall only
consider previous background investigations and
security clearance determinations for an
applicant that have been conducted by a State
or local government, Indian Tribe, or tribal
organization if the Secretary can verify that
those previous investigations and
determinations, as the case may be, are of a
comparable quality and thoroughness to
investigations and determinations carried out
by the Bureau of Indian Affairs, the Office of
Personnel Management, or another Federal
agency.
(iii) Additional investigation.--If, as
described in clause (i), the Secretary
considers an existing background investigation,
security clearance determination, or both, as
the case may be, for an applicant that has been
carried out by a State or local government,
Indian Tribe, tribal organization, or the
Bureau of Indian Affairs, the Secretary--
(I) may carry out additional
investigation and examination of the
applicant if the Secretary determines
that such additional information is
needed in order to make an appropriate
determination as to the character and
trustworthiness of the applicant before
final adjudication can be made and a
security clearance can be issued; and
(II) shall not initiate a new
background investigation process with
the National Background Investigations
Bureau or other Federal agency unless
that new background investigation
process covers a period of time that
was not covered by a previous
background investigation process.
(iv) Agreements.--The Secretary may enter
into a Memorandum of Agreement with a State or
local government, Indian Tribe, or tribal
organization to develop steps to expedite the
process of receiving and obtaining access to
background investigation and security clearance
determinations for use in the demonstration
program.
(3) Sunset.--The demonstration program established under
this section shall terminate 5 years after the date of the
commencement of the program.
(b) Sufficiency.--Notwithstanding any other provision of law, a
background investigation conducted or adjudicated by the Secretary
pursuant to the demonstration program authorized in subsection (a) that
results in the granting of a security clearance to an applicant for a
law enforcement position in the Bureau of Indian Affairs shall be
sufficient to meet the applicable requirements of the Office of
Personnel Management or other Federal agency for such investigations.
(c) Annual Report.--The Secretary shall submit to the Committees on
Indian Affairs, the Judiciary, and Appropriations of the Senate and the
Committees on Natural Resources, the Judiciary, and Appropriations of
the House of Representatives an annual report on the demonstration
program established under subsection (a), which shall include a
description of--
(1) the demonstration program and any relevant annual
changes or updates to the program;
(2) the number of background investigations carried out
under the program;
(3) the costs, including any cost savings, associated with
the investigation and adjudication process under the program;
(4) the processing times for the investigation and
adjudication processes under the program;
(5) any Memoranda of Agreement entered into with State or
local government, Indian Tribe, or tribal organization; and
(6) any other information that the Secretary determines to
be relevant.
(d) GAO Study and Report.--
(1) Initial report.--Not later than 18 months after the
date on which the demonstration program commences under this
section, the Comptroller General of the United States shall
prepare and submit to Congress an initial report on such
demonstration program.
(2) Final report.--Not later than 18 months after the date
on which the demonstration program terminates under subsection
(a)(3), the Comptroller General of the United States shall
prepare and submit to Congress a final report on such
demonstration program.
(3) Tribal input.--In preparing the reports under this
subsection, the Comptroller General of the United States shall
obtain input from Indian Tribes regarding the demonstration
program under this section.
SEC. 202. MISSING AND MURDERED RESPONSE COORDINATION GRANT PROGRAM.
(a) Establishment of Program.--The Attorney General shall establish
within the Office of Justice Programs a grant program under which the
Attorney General shall make grants to eligible entities described in
subsection (b) to carry out eligible activities described in subsection
(c).
(b) Eligible Entities.--
(1) In general.--To be eligible to receive a grant under
the grant program established under subsection (a) an entity
shall be--
(A) an Indian Tribe;
(B) a relevant Tribal organization;
(C) subject to paragraph (2), a State, in
consortium with--
(i) 1 or more Indian Tribes; and
(ii) relevant Tribal organizations, if any;
(D) a consortium of 2 or more Indian Tribes or
relevant Tribal organizations; or
(E) subject to paragraph (2), a consortium of 2 or
more States in consortium with--
(i) 1 or more Indian Tribes; and
(ii) relevant Tribal organizations, if any.
(2) State eligibility.--To be eligible under subparagraph
(C) or (E) of paragraph (1), a State shall demonstrate to the
satisfaction of the Attorney General that the State--
(A)(i) reports missing persons cases in the State
to the national crime information databases; or
(ii) if not, has a plan to do so using a grant
received under the grant program established under
subsection (a); and
(B) if data sharing between the State and the
Indian Tribes and relevant Tribal organizations with
which the State is in consortium is part of the
intended use of the grant received under the grant
program established under subsection (a), has entered
into a memorandum of understanding with each applicable
Indian Tribe and relevant Tribal organization.
(c) Eligible Activities.--An eligible entity receiving a grant
under the grant program established under subsection (a) may use the
grant--
(1) to establish a statewide or regional center--
(A) to document and track--
(i) missing persons cases of interest to
Indian Tribes;
(ii) sexual assault cases of interest to
Indian Tribes; and
(iii) death investigations of interest to
Indian Tribes; and
(B) to input information regarding missing persons
cases of interest to Indian Tribes, unclaimed remains
cases of interest to Indian Tribes, and unidentified
remains cases of interest to Indian Tribes into the
National Missing and Unidentified Persons System;
(2) to establish a State or regional commission to respond
to, and to improve coordination between Federal law enforcement
agencies, and Tribal, State, and local law enforcement agencies
of the investigation of, missing persons cases of interest to
Indian Tribes, sexual assault cases of interest to Indian
Tribes, and death investigations of interest to Indian Tribes;
and
(3) to document, develop, and disseminate resources for the
coordination and improvement of the investigation of missing
persons cases of interest to Indian Tribes, sexual assault
cases of interest to Indian Tribes, and death investigations of
interest to Indian Tribes, including to develop local or
statewide rapid notification or communication systems for
alerts and other information relating to those cases.
(d) Authorization of Appropriations.--There is authorized to be
appropriated to carry out the program $1,000,000 for each of fiscal
years 2024 through 2028.
SEC. 203. GAO STUDY ON FEDERAL LAW ENFORCEMENT AGENCY EVIDENCE
COLLECTION, HANDLING, AND PROCESSING.
(a) In General.--The Comptroller General of the United States shall
conduct a study--
(1) on the evidence collection, handling, and processing
procedures and practices of the Office of Justice Services and
the Federal Bureau of Investigation in exercising jurisdiction
over crimes involving Indians or committed in Indian country;
(2) on any barriers to evidence collection, handling, and
processing by the agencies referred to in paragraph (1);
(3) on the views of law enforcement officials at the
agencies referred to in paragraph (1) and their counterparts
within the Offices of the United States Attorneys concerning
any relationship between--
(A) the barriers identified under paragraph (2);
and
(B) United States Attorneys declination rates due
to insufficient evidence; and
(4) that includes a survey of barriers to evidence
collection, handling, and processing faced by--
(A) Tribal law enforcement agencies; and
(B) State and local law enforcement agencies that
exercise jurisdiction over Indian country.
(b) Report.--Not later than 18 months after the date of enactment
of this Act, the Comptroller General of the United States shall submit
to Congress a report describing the results of the study conducted
under subsection (a).
SEC. 204. BUREAU OF INDIAN AFFAIRS AND TRIBAL LAW ENFORCEMENT OFFICER
COUNSELING RESOURCES INTERDEPARTMENTAL COORDINATION.
The Secretary of Health and Human Services and the Attorney General
shall coordinate with the Director--
(1) to ensure that Federal training materials and
culturally appropriate mental health and wellness programs are
locally or regionally available to law enforcement officers
working for the Bureau of Indian Affairs or an Indian Tribe who
are experiencing occupational stress; and
(2) to determine whether law enforcement agencies operated
by the Bureau of Indian Affairs and Indian Tribes are eligible
to receive services under--
(A) the Law Enforcement Assistance Program of
Federal Occupational Health of the Department of Health
and Human Services; or
(B) any other law enforcement assistance program
targeted to meet the needs of law enforcement officers
working for law enforcement agencies operated by the
Federal Government or an Indian Tribe.
<all>
</pre></body></html>
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118HR1293 | Cabin Air Safety Act of 2023 | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1293 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1293
To improve the safety of the air supply on aircraft, and for other
purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Garamendi (for himself and Mr. Fitzpatrick) introduced the
following bill; which was referred to the Committee on Transportation
and Infrastructure
_______________________________________________________________________
A BILL
To improve the safety of the air supply on aircraft, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Cabin Air Safety Act of 2023''.
SEC. 2. IMPROVEMENTS TO THE SAFETY OF THE AIR SUPPLY ON AIRCRAFT.
(a) In General.--Subpart III of part A of subtitle VII of title 49,
United States Code, is amended by adding at the end the following new
chapter:
``CHAPTER 454--CABIN AIR QUALITY AND SAFETY
``Sec. 45401. Definition of Administrator
``In this chapter the term `Administrator' means the Administrator
of the Federal Aviation Administration.
``Sec. 45402. Training to respond to smoke or fume incidents on
aircraft
``(a) In General.--Not later than 180 days after the date of the
enactment of this section, the Administrator shall promulgate
regulations requiring flight attendants, pilots, aircraft maintenance
technicians, and airport first responders and emergency response teams
to receive training, not less frequently than annually, on how to
respond to incidents on board aircraft involving smoke or fumes.
``(b) Requirements.--The training required by subsection (a) shall
include the dissemination of educational materials with respect to the
following:
``(1) Sources and types of smoke and fumes on board
aircraft.
``(2) Odor and visual descriptors to allow an individual to
recognize the presence of engine oil and hydraulic fluid fumes
and other potentially hazardous fumes, such as fumes relating
to engine exhaust, ground service vehicle exhaust, fuel, de-
icing fluid, electrical failures, and ozone.
``(3) The potential for acute or chronic impairment to an
individual relating to such fumes.
``(4) Procedures for recognizing and responding to smoke
and fumes on board aircraft.
``(5) An overview of the system for reporting incidents of
smoke or fumes on board aircraft established under section
45403(a)(2).
``(6) Requirements relating to reporting incidents of smoke
and fumes on board aircraft to the Administrator under sections
45403 and 45405(b).
``Sec. 45403. Reporting of incidents of smoke or fumes on board
aircraft
``(a) In General.--Not later than 180 days after the date of the
enactment of this section, the Administrator shall--
``(1) develop a standardized form for flight attendants,
pilots, and aircraft maintenance technicians to report
incidents of smoke or fumes on board an aircraft operated by an
air carrier; and
``(2) establish a system for reporting incidents of smoke
or fumes on board aircraft that allows--
``(A) pilots, flight attendants, and aircraft
maintenance technicians to--
``(i) submit the form developed under
paragraph (1) to the Administrator and the
relevant air carrier; and
``(ii) receive a copy of such submission
for their records; and
``(B) pilots, flight attendants, aircraft
maintenance technicians, the collective bargaining
representative of employees of the air carrier, and air
carriers to search the reported incidents database
compiled by the Administrator for the purposes of
reviewing and monitoring incidents contained in the
database and assisting with investigations conducted
under section 45404.
``(b) Content of Forms.--The form developed under subsection (a)(1)
for reporting an incident of smoke or fumes on board an aircraft shall
include sections for the following information, if available at the
time of the report:
``(1) Identification of the flight number, the city pair,
the type of aircraft, the registration number of the aircraft,
and the individual reporting the incident.
``(2) Information about the presence of smoke, including a
description of the nature, intensity, and visual consistency
(if any).
``(3) Information about the presence of fumes, including a
description of the nature and intensity of the odor.
``(4) Information about the location of the smoke or fumes
in the aircraft.
``(5) Information about the source of the smoke or fumes,
including in relation to the air supply vents and electrical
system.
``(6) Information about the type of smoke or fumes.
``(7) Information about the engine manufacturer, engine
type, the engine serial number, and the age of the engine.
``(8) Information about--
``(A) the phase of flight during which smoke or
fumes were present;
``(B) the estimated duration of the smoke or fumes;
and
``(C) if the incident happened while the aircraft
was on the ground, information about the air supply
source at the time of the incident.
``(9) Other observations about the smoke or fumes.
``(10) A description of symptoms reported by crew members
and passengers and any required onboard medical attention.
``(11) Information with respect to whether crew members or
passengers used, needed, or were administered supplemental or
emergency oxygen.
``(12) Information regarding any disruption to the
operation of the flight or subsequent flights.
``(13) Information about relevant maintenance work
conducted on the aircraft prior to and following the incident.
``(14) Relevant air monitoring data collected during the
flight.
``(c) Public Availability of Smoke and Fume Event Information.--
``(1) In general.--Not less frequently than quarterly and
subject to paragraph (2), the Administrator shall compile, and
make available to the public, statistics regarding the
information obtained from the forms developed under subsection
(a)(1) and submitted to the Administrator.
``(2) Website.--The Administrator shall develop a publicly
available internet website that includes the aggregate data
required under paragraph (1) and a searchable database for the
events reported to the Administrator under subsection (a)(2)
that includes the following variables for each event:
``(A) Date.
``(B) Tail number.
``(C) Aircraft type.
``(D) Air carrier.
``(E) Phase of flight.
``(F) Location of smoke or fumes in the aircraft.
``(G) Description of smoke or fumes, including
relation to air supply vents and the nature and
intensity of the odor.
``(H) Engine or auxiliary power unit type.
``(I) Engine oil or hydraulic fluid type, including
product name.
``(J) Deidentified narrative.
``(K) Relevant maintenance information.
``(L) Such other criteria as the Administrator
considers appropriate.
``(3) Redaction.--Before making either individual event
information or aggregate data available to the public under
paragraph (1) or (2), the Administrator shall redact any
personally identifiable information.
``Sec. 45404. Investigations
``(a) In General.--Not later than 180 days after the date of the
enactment of this section, the Administrator shall promulgate
regulations--
``(1) authorizing the Federal Aviation Administration to,
at their discretion, conduct an investigation described in
subsection (b) not less than 7 days after a report is submitted
to the Administrator through the system for reporting incidents
of smoke or fumes on board aircraft established under section
45403(a)(2); and
``(2) requiring the Federal Aviation Administration to
conduct an investigation described in subsection (b) when the
report indicates that 1 or more crew members or passengers had
symptoms that required medical attention.
``(b) Requirements for Investigations.--An investigation described
in this subsection shall include the following:
``(1) Gathering factual and standardized information from
all flight attendants, pilots, aircraft maintenance
technicians, airport first responders, emergency response
teams, and medical doctors involved in the incident.
``(2) Gathering any reports submitted under section 45403
with respect to the incident.
``(3) Gathering technical findings on any replaced, worn,
missing, failed, or improperly serviced components that may
have resulted in the incident.
``(4) Identifying the cause of the incident, if possible.
``(c) Participation of Air Carriers and Collective Bargaining
Representatives.--In conducting an investigation under this section,
the Federal Aviation Administration shall--
``(1) consult with the air carrier involved;
``(2) work in conjunction with the technical
representatives of the air carrier; and
``(3) invite the participation of the collective bargaining
representative of employees of the air carrier.
``Sec. 45405. Air quality monitoring equipment
``(a) Requirement To Include on Aircraft.--Not later than 180 days
after the date of the enactment of this section, the Administrator
shall promulgate regulations requiring an air carrier, after 90 days
for public comment and not later than 1 year after the regulations are
finalized in the Federal Register--
``(1) to install and operate onboard detectors and other
air quality monitoring equipment that--
``(A) are situated in the air supply system to
enable pilots and maintenance technicians to identify
the location of the source or sources of air supply
contamination in real time, including any concentration
of carbon monoxide that is dangerous to human health;
``(B) continuously monitor any relevant marker
compound consistent with engine oil and hydraulic fluid
fume concentration in the aircraft cabin and air supply
system; and
``(C) alert the pilot and flight attendants to poor
air quality that is dangerous to human health; and
``(2) to have in place procedures to train the pilots to
initiate standardized communication and source isolation
protocols, as soon as appropriate, with the flight attendants
and air traffic controllers (as needed), and to apply their
professional judgement based on onboard conditions, all in
response to poor air quality that is dangerous to human health.
``(b) Authority of the Administrator.--The Administrator may
establish standards for aircraft cabin air quality, as the
Administrator determines is necessary to protect the health and safety
of air carrier crew members and passengers, in consultation with--
``(1) the Director of the National Institute for
Occupational Safety and Health of the Centers for Disease
Control and Prevention;
``(2) the Assistant Secretary of Labor for Occupational
Safety and Health; and
``(3) the Administrator of the Environmental Protection
Agency.
``(c) Inclusion of Information Relating to Air Quality Monitoring
Equipment in Aircraft Manuals.--Not later than 1 year after the date of
the enactment of this section, the Administrator shall promulgate
regulations requiring an aircraft manufacturer that manufactures
aircraft for air carriers to include procedures for responding to
alarms from air quality monitoring equipment required under subsection
(a) during normal and nonstandard operations in the flight operator's
manual for each such aircraft produced by the manufacturer.
``(d) Continuing Research To Develop Sensors and Techniques To
Monitor Cabin Air Quality.--The Administrator shall continue to
research, study, and identify emerging technologies suitable to provide
reliable warning of cabin air contamination from an aircraft bleed air
system, including through investigation and research into specific
sensors, methods, and operational techniques to prevent poor air
quality that is dangerous to human health.
``(e) Rule of Construction.--Nothing in this section may be
construed to imply that an investigation under section 45404 is not
necessary or that crew members and passengers have not been exposed to
smoke or fumes if the alarm from any air quality monitoring equipment
installed on an aircraft is not activated.
``Sec. 45406. Minimum equipment list for bleed air system
``Not later than 180 days after the date of the enactment of this
section, the Administrator shall promulgate regulations requiring any
manufacturer of aircraft that transports passengers or cargo to include
the air quality monitoring equipment required under section 45405 in
the master minimum equipment list for aircraft with a bleed air system
certified under section 44704 or for which certification was delegated
under section 44702(d).
``Sec. 45407. Authorization of appropriations
``There are authorized to be appropriated to the Administrator such
sums as may be necessary to carry out this chapter.
``Sec. 45408. Exclusion of helicopters
``The provisions of this chapter do not apply to helicopters.''.
(b) Conforming Amendments.--
(1) Table of contents.--The table of contents of subpart
III of part A of subtitle VII of title 49, United States Code,
is amended by inserting after the item relating to chapter 453
the following:
``Chapter 454--Cabin Air Quality and Safety
``45401. Definition of Administrator.
``45402. Training to respond to smoke or fume incidents on aircraft.
``45403. Reporting of incidents of smoke or fumes on board aircraft.
``45404. Investigations.
``45405. Air quality monitoring equipment.
``45406. Minimum equipment list for bleed air system.
``45407. Authorization of appropriations.
``45408. Exclusion of helicopters.''.
(2) Conforming repeal.--Section 326 of the FAA
Reauthorization Act of 2018 (49 U.S.C. 40101 note) and the item
relating to that section in the table of contents under section
1(b) of that Act are repealed.
<all>
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] | <p><b>9/11 Responder and Survivor Health Funding Correction Act of 2023</b></p> <p>This bill modifies the funding of, expands eligibility for, and makes other changes to the World Trade Center Health Program. This program provides medical monitoring and treatment to responders and survivors who suffer from health conditions related to the terrorist attacks on September 11, 2001.</p> <p>Specifically, the bill provides additional funding for the program through FY2033 to cover program costs. It also sets out a new formula to determine funding amounts for the program from FY2034 through FY2090.</p> <p>Additionally, the bill expands eligibility for the program to include members of the Armed Forces and federal employees and contractors who provided rescue, recovery, demolition, debris clean-up, or related services in response to the attacks at the Pentagon and in Shanksville, PA on September 11, 2001. The bill limits the enrollment of newly eligible individuals in the program to 500 at any given time.</p> <p>Other changes in the bill include (1) allowing certain health care providers other than physicians to determine whether an individual's health condition is related to an attack, and (2) making the program administrator (rather than the centers that collect and analyze health data generated from the program) responsible for establishing criteria for credentialing health care providers that participate in the program.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1294 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1294
To amend title XXXIII of the Public Health Service Act with respect to
flexibility and funding for the World Trade Center Health Program.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Garbarino (for himself, Mr. Nadler, Mr. D'Esposito, Mr. Goldman of
New York, Mr. LaLota, Mr. Meeks, Ms. Meng, Ms. Velazquez, Ms. Clarke of
New York, Ms. Malliotakis, Mr. Espaillat, Mr. Torres of New York, Mr.
Lawler, Mr. Ryan, Mr. Molinaro, Mr. Tonko, Ms. Stefanik, Mr. Williams
of New York, Mr. Langworthy, Ms. Tenney, Mr. Morelle, Mr. Higgins of
New York, Mr. Payne, Mr. Larson of Connecticut, Ms. Norton, Mrs. Watson
Coleman, Mr. Gottheimer, Ms. Schakowsky, Mr. Pascrell, Mr. Casten, and
Ms. Barragan) introduced the following bill; which was referred to the
Committee on Energy and Commerce
_______________________________________________________________________
A BILL
To amend title XXXIII of the Public Health Service Act with respect to
flexibility and funding for the World Trade Center Health Program.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``9/11 Responder and Survivor Health
Funding Correction Act of 2023''.
SEC. 2. DEPARTMENT OF DEFENSE, ARMED FORCES, OR OTHER FEDERAL WORKER
RESPONDERS TO THE SEPTEMBER 11 ATTACKS AT THE PENTAGON
AND SHANKSVILLE, PENNSYLVANIA.
Title XXXIII of the Public Health Service Act (42 U.S.C. 300mm et
seq.) is amended--
(1) in section 3306 (42 U.S.C. 300mm-5)--
(A) by redesignating paragraphs (5) through (11)
and paragraphs (12) through (17) as paragraphs (6)
through (12) and paragraphs (14) through (19),
respectively;
(B) by inserting after paragraph (4) the following:
``(5) The term `Federal agency' means an agency, office, or
other establishment in the executive, legislative, or judicial
branch of the Federal Government.''; and
(C) by inserting after paragraph (12), as so
redesignated, the following:
``(13) The term `uniformed services' has the meaning given
the term in section 101(a) of title 10, United States Code.'';
and
(2) in section 3311(a) (42 U.S.C. 300mm-21(a))--
(A) in paragraph (2)(C)(i)--
(i) in subclause (I), by striking ``; or''
and inserting a semicolon;
(ii) in subclause (II), by striking ``;
and'' and inserting a semicolon; and
(iii) by adding at the end the following:
``(III) was an employee of the Department
of Defense or any other Federal agency, worked
during the period beginning on September 11,
2001, and ending on September 18, 2001, for a
contractor of the Department of Defense or any
other Federal agency, or was a member of a
regular or reserve component of the uniformed
services; and performed rescue, recovery,
demolition, debris cleanup, or other related
services at the Pentagon site of the terrorist-
related aircraft crash of September 11, 2001,
during the period beginning on September 11,
2001, and ending on the date on which the
cleanup of the site was concluded, as
determined by the WTC Program Administrator; or
``(IV) was an employee of the Department of
Defense or any other Federal agency, worked
during the period beginning on September 11,
2001, and ending on September 18, 2001, for a
contractor of the Department of Defense or any
other Federal agency, or was a member of a
regular or reserve component of the uniformed
services; and performed rescue, recovery,
demolition, debris cleanup, or other related
services at the Shanksville, Pennsylvania, site
of the terrorist-related aircraft crash of
September 11, 2001, during the period beginning
on September 11, 2001, and ending on the date
on which the cleanup of the site was concluded,
as determined by the WTC Program Administrator;
and''; and
(B) in paragraph (4)(A)--
(i) by striking ``(A) In general.--The''
and inserting the following:
``(A) Limit.--
``(i) In general.--The'';
(ii) by inserting ``or subclause (III) or
(IV) of paragraph (2)(C)(i)'' after ``or
(2)(A)(ii)''; and
(iii) by adding at the end the following:
``(ii) Certain responders to the september
11 attacks at the pentagon and shanksville,
pennsylvania.--The total number of individuals
who may be enrolled under paragraph (3)(A)(ii)
based on eligibility criteria described in
subclause (III) or (IV) of paragraph (2)(C)(i)
shall not exceed 500 at any time.''.
SEC. 3. FLEXIBILITY FOR CERTIFICATIONS UNDER THE WORLD TRADE CENTER
HEALTH PROGRAM.
(a) In General.--Section 3305(a) of the Public Health Service Act
(42 U.S.C. 300mm-4(a)) is amended--
(1) in paragraph (1)(A), by inserting ``subject to
paragraph (6),'' before ``for''; and
(2) by adding at the end the following:
``(6) Licensed health care provider flexibility.--
``(A) In general.--For purposes of an initial
health evaluation described in paragraph (1)(A)
(including any such evaluation provided under section
3321(b) or through the nationwide network under section
3313), such evaluation may be conducted by a physician
or any other licensed health care provider in a
category of health care providers determined by the WTC
Program Administrator under subparagraph (B).
``(B) Categories of licensed health care
providers.--Not later than 180 days after the date of
enactment of the 9/11 Responder and Survivor Health
Funding Correction Act of 2023, the WTC Program
Administrator shall issue regulations for the
categories of licensed health care providers who, in
addition to licensed physicians, may conduct
evaluations under subparagraph (A) and make
determinations under section 3312(b).''.
(b) Flexibility for WTC Responders.--Section 3312(b) of such Act
(42 U.S.C. 300mm-22(b)) is amended--
(1) in paragraph (1), by striking ``physician'' each place
it appears and inserting ``physician or other licensed health
care provider in a category determined by the WTC Program
Administrator under section 3305(a)(6)(B)'';
(2) in paragraph (2)--
(A) in subparagraph (A)--
(i) in the matter preceding clause (i), by
striking ``physician'' and inserting
``physician or other licensed health care
provider in a category determined by the WTC
Program Administrator under section
3305(a)(6)(B)'';
(ii) in clause (i), by striking
``physician'' and inserting ``physician or
other licensed health care provider''; and
(iii) in clause (ii), by striking ``such
physician's determination'' and inserting ``the
determination of such physician or other
licensed health care provider''; and
(B) in subparagraph (B)--
(i) in the matter preceding clause (i), by
striking ``physician determinations'' and
inserting ``determinations by physicians or
other licensed health care providers in
categories determined by the WTC Program
Administrator under section 3305(a)(6)(B)'';
and
(ii) in clause (i), by striking ``physician
panel'' and inserting ``panel of physicians or
other licensed health care providers in
categories determined by the WTC Program
Administrator under section 3305(a)(6)(B)'';
and
(3) in paragraph (5), by striking ``examining physician''
and inserting ``examining physician or other licensed health
care provider in a category determined by the WTC Program
Administrator under section 3305(a)(6)(B)''.
SEC. 4. CRITERIA FOR CREDENTIALING HEALTH CARE PROVIDERS PARTICIPATING
IN THE NATIONWIDE NETWORK.
Title XXXIII of the Public Health Service Act (42 U.S.C. 300mm et
seq.) is amended--
(1) in section 3305(a)(2) (42 U.S.C. 300mm-4(a)(2))--
(A) in subparagraph (A)--
(i) by striking clause (iv); and
(ii) by redesignating clauses (v) and (vi)
as clauses (iv) and (v), respectively;
(B) by striking subparagraph (B); and
(C) by redesignating subparagraphs (C) and (D) as
subparagraphs (B) and (C), respectively; and
(2) in section 3313(b)(1) (42 U.S.C. 300mm-23(b)(1)), by
striking ``Data Centers'' and inserting ``WTC Program
Administrator''.
SEC. 5. CLARIFYING CALCULATION OF ENROLLMENT.
(a) Responders.--Section 3311(a) of such Act (42 U.S.C. 300mm-
21(a)) is amended by adding at the end the following:
``(6) Deceased wtc responders.--An individual known to the
WTC Program Administrator to be deceased shall not be included
in any count of enrollees under this subsection or section
3351.''.
(b) Survivors.--Section 3321(a) of such Act (42 U.S.C. 300mm-31(a))
is amended by adding at the end the following:
``(5) Deceased wtc survivors.--An individual known to the
WTC Program Administrator to be deceased shall not be included
in any count of certified-eligible survivors under this section
or in any count of enrollees under section 3351.''.
SEC. 6. TIME PERIOD FOR ADDING HEALTH CONDITIONS TO LIST FOR WTC
RESPONDERS.
Section 3312(a)(6) of the Public Health Service Act (42 U.S.C.
300mm-22(a)(6)) is amended--
(1) in subparagraph (B), by striking ``90'' and inserting
``180''; and
(2) in subparagraph (C), in the second sentence, by
striking ``90'' and inserting ``180''.
SEC. 7. FUNDING FOR THE WORLD TRADE CENTER HEALTH PROGRAM.
(a) Federal Funding.--Section 3351 of the Public Health Service Act
(42 U.S.C. 300mm-61) is amended--
(1) in subsection (a)--
(A) in paragraph (2)(A)--
(i) in clause (x), by striking ``and'';
(ii) in clause (xi)--
(I) by striking ``subsequent fiscal
year through fiscal year 2090'' and
inserting ``of fiscal years 2026
through 2033''; and
(II) by striking ``plus'' and
inserting ``and''; and
(iii) by adding at the end the following:
``(xii) for each of fiscal years 2034
through 2090--
``(I) the amount determined under
this subparagraph for the previous
fiscal year (plus the sum of any amount
expended in the previous fiscal year
from the World Trade Center Health
Program Special Fund established under
section 3353 or the World Trade Center
Health Program Fund for Certain WTC
Responders at the Pentagon and
Shanksville, Pennsylvania established
under section 3354 and any amount
expended from the World Trade Center
Health Program Fund established under
this section in the previous fiscal
year that was carried over from any
fiscal year prior to the previous
fiscal year including as carried over
pursuant to a deposit into such Fund
under paragraph (6)) multiplied by
1.05; multiplied by
``(II) the ratio of--
``(aa) the total number of
individuals enrolled in the WTC
Program on July 1 of such
previous fiscal year; to
``(bb) the total number of
individuals so enrolled on July
1 of the fiscal year prior to
such previous fiscal year;
plus''; and
(B) by adding at the end the following:
``(6) Remaining amounts from special fund and pentagon/
shanksville fund.--Any amounts that remain available, on
September 30, 2033, in the World Trade Center Health Program
Special Fund under section 3353 or the World Trade Center
Health Program Fund for Certain WTC Responders at the Pentagon
and Shanksville, Pennsylvania under section 3354 shall be
deposited into the Fund.''; and
(2) in subsection (c)--
(A) in paragraph (4)--
(i) by amending subparagraph (A) to read as
follows:
``(A) for fiscal year 2023, the amount determined
for such fiscal year under this paragraph as in effect
on the day before the date of enactment of the 9/11
Responder and Survivor Health Funding Correction Act of
2023;''; and
(ii) in subparagraph (B), by striking
``2017, $15,000,000'' and inserting ``2024,
$20,000,000''; and
(B) in paragraph (5)--
(i) by amending subparagraph (A) to read as
follows:
``(A) for fiscal year 2023, the amount determined
for such fiscal year under this paragraph as in effect
on the day before the date of enactment of the 9/11
Responder and Survivor Health Funding Correction Act of
2023;'';
(ii) by redesignating subparagraph (B) as
subparagraph (C); and
(iii) by inserting after subparagraph (A)
the following:
``(B) for fiscal year 2024, the greater of--
``(i) the amount determined for such fiscal
year under this paragraph as in effect on the
day before the date of enactment of the 9/11
Responder and Survivor Health Funding
Correction Act of 2023; or
``(ii) $20,000,000; and''.
(b) Additional Funding for the World Trade Center Health Program.--
(1) In general.--Title XXXIII of the Public Health Service
Act (42 U.S.C. 300mm et seq.) is amended by adding at the end
the following:
``SEC. 3353. SPECIAL FUND.
``(a) In General.--There is established a fund to be known as the
World Trade Center Health Program Special Fund (referred to in this
section as the `Special Fund'), consisting of amounts deposited into
the Special Fund under subsection (b).
``(b) Amount.--Out of any money in the Treasury not otherwise
appropriated, there is appropriated for fiscal year 2024 $1,784,358,336
for deposit into the Special Fund, which amounts shall remain available
in such Fund through fiscal year 2033.
``(c) Uses of Funds.--Amounts deposited into the Special Fund under
subsection (b) shall be available, without further appropriation and
without regard to any spending limitation under section 3351(c), to the
WTC Program Administrator as needed at the discretion of such
Administrator, for carrying out any provision in this title (including
sections 3303 and 3341(c)).
``(d) Remaining Amounts.--Any amounts that remain in the Special
Fund on September 30, 2033, shall be deposited into the World Trade
Center Health Program Fund in accordance with section 3351(a)(6) and
remain available in accordance with section 3351(a)(5).
``SEC. 3354. PENTAGON/SHANKSVILLE FUND.
``(a) In General.--There is established a fund to be known as the
World Trade Center Health Program Fund for Certain WTC Responders at
the Pentagon and Shanksville, Pennsylvania (referred to in this section
as the `Pentagon/Shanksville Fund'), consisting of amounts deposited
into the Pentagon/Shanksville Fund under subsection (b).
``(b) Amount.--Out of any money in the Treasury not otherwise
appropriated, there is appropriated for fiscal year 2024 $257,000,000
for deposit into the Pentagon/Shanksville Fund, which amounts shall
remain available in such Fund through fiscal year 2033.
``(c) Uses of Funds.--
``(1) In general.--Amounts deposited into the Pentagon/
Shanksville Fund under subsection (b) shall be available,
without further appropriation and without regard to any
spending limitation under section 3351(c), to the WTC Program
Administrator for the purpose of carrying out section 3312 with
regard to WTC responders enrolled in the WTC Program based on
eligibility criteria described in subclause (III) or (IV) of
section 3311(a)(2)(C)(i).
``(2) Limitation on other funding.--Notwithstanding
sections 3331(a), 3351(b)(1), 3352(c), and 3353(c), and any
other provision in this title, for the period of fiscal years
2024 through 2033, no amounts made available under this title
other than those amounts appropriated under subsection (b) may
be available for the purpose described in paragraph (1).
``(d) Remaining Amounts.--Any amounts that remain in the Pentagon/
Shanksville Fund on September 30, 2033, shall be deposited into the
World Trade Center Health Program Fund in accordance with section
3351(a)(6) and remain available in accordance with section
3351(a)(5).''.
(c) Conforming Amendments.--Title XXXIII of the Public Health
Service Act (42 U.S.C. 300mm et seq.) is amended--
(1) in section 3311(a)(4)(B)(i)(II) (42 U.S.C. 300mm-
21(a)(4)(B)(i)(II)), by striking ``sections 3351 and 3352'' and
inserting ``this title'';
(2) in section 3321(a)(3)(B)(i)(II) (42 U.S.C. 300mm-
31(a)(3)(B)(i)(II)), by striking ``sections 3351 and 3352'' and
inserting ``this title'';
(3) in section 3331 (42 U.S.C. 300mm-41)--
(A) in subsection (a), by striking ``the World
Trade Center Health Program Fund and the World Trade
Center Health Program Supplemental Fund'' and inserting
``(as applicable) the Funds established under sections
3351, 3352, 3353, and 3354''; and
(B) in subsection (d)--
(i) in paragraph (1)(A), by inserting ``or
the World Trade Center Health Program Special
Fund under section 3353'' after ``section
3351'';
(ii) in paragraph (1)(B), by inserting ``or
the World Trade Center Health Program Fund for
Certain WTC Responders at the Pentagon and
Shanksville, Pennsylvania under section 3354''
after ``section 3352''; and
(iii) in paragraph (2), in the flush text
following subparagraph (C), by inserting ``or
the World Trade Center Health Program Fund for
Certain WTC Responders at the Pentagon and
Shanksville, Pennsylvania under section 3354''
after ``section 3352''; and
(4) in section 3351(b) (42 U.S.C. 300mm-61(b))--
(A) in paragraph (1), by striking ``subsection
(a)(2)'' and inserting ``paragraph (2) or (6) of
subsection (a)'';
(B) in paragraph (2), by inserting ``, the World
Trade Center Health Program Special Fund under section
3353, or the World Trade Center Health Program Fund for
Certain WTC Responders at the Pentagon and Shanksville,
Pennsylvania under section 3354'' before the period at
the end; and
(C) in paragraph (3), by inserting ``, the World
Trade Center Health Program Special Fund under section
3353, or the World Trade Center Health Program Fund for
Certain WTC Responders at the Pentagon and Shanksville,
Pennsylvania under section 3354'' before the period at
the end.
<all>
</pre></body></html>
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118HR1295 | Early Voting Act | [
[
"G000599",
"Rep. Goldman, Daniel S. [D-NY-10]",
"sponsor"
]
] | <p><b>Early Voting Act</b></p> <p>This bill expands early in-person voting.</p> <p>The bill generally requires each state to allow individuals to vote in federal elections during an early voting period of at least 15 days. This requirement does not apply to jurisdictions that send a mail-in ballot to every registered voter.</p> <p>Further, states and jurisdictions must ensure that polling places are accessible by public transportation, located in rural areas, and located on each branch campus of an institution of higher education.</p> <p>The Election Assistance Commission must issue certain voluntary standards for early voting, including the nondiscriminatory geographic placement of polling places.</p> <p>Finally, states and jurisdictions must begin processing and scanning ballots cast during the early voting period at least 14 days prior to election day. However, states and jurisdictions cannot tabulate ballots before the polls close on election day unless the tabulation is necessary and performed in accordance with existing state law.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1295 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1295
To amend the Help America Vote Act of 2002 to allow individuals to vote
in an election for Federal office during an early voting period which
occurs prior to the date of the election, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Goldman of New York introduced the following bill; which was
referred to the Committee on House Administration
_______________________________________________________________________
A BILL
To amend the Help America Vote Act of 2002 to allow individuals to vote
in an election for Federal office during an early voting period which
occurs prior to the date of the election, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Early Voting Act''.
SEC. 2. EARLY VOTING.
(a) Requirements.--Subtitle A of title III of the Help America Vote
Act of 2002 (52 U.S.C. 21081 et seq.) is amended--
(1) by redesignating sections 304 and 305 as sections 305
and 306; and
(2) by inserting after section 303 the following new
section:
``SEC. 304. EARLY VOTING.
``(a) Requiring Voting Prior to Date of Election.--Each State shall
allow individuals to vote in an election for Federal office during an
early voting period which occurs prior to the date of the election, in
a manner that allows the individual to receive, complete, and cast
their ballot in-person.
``(b) Minimum Early Voting Requirements.--
``(1) In general.--
``(A) Length of period.--The early voting period
required under this subsection with respect to an
election shall consist of a period of consecutive days
(including weekends) which begins on the 15th day
before the date of the election (or, at the option of
the State, on a day prior to the 15th day before the
date of the election) and ends no earlier than the
second day before the date of the election.
``(B) Hours for early voting.--Each polling place
which allows voting during an early voting period under
subparagraph (A) shall--
``(i) allow such voting for no less than 10
hours on each day during the period;
``(ii) have uniform hours each day for
which such voting occurs; and
``(iii) allow such voting to be held for
some period of time prior to 9:00 a.m (local
time) and some period of time after 5:00 p.m.
(local time).
``(2) Requirements for vote-by-mail jurisdictions.--In the
case of a jurisdiction that sends every registered voter a
ballot by mail--
``(A) paragraph (1) shall not apply;
``(B) such jurisdiction shall allow eligible
individuals to vote during an early voting period that
ensures voters are provided the greatest opportunity to
cast ballots ahead of election day and which includes
at least one consecutive Saturday and Sunday; and
``(C) each polling place which allows voting during
an early voting period under subparagraph (B) shall
allow such voting--
``(i) during the election office's regular
business hours; and
``(ii) for a period of not less than 8
hours on Saturdays and Sundays included in the
early voting period.
``(3) Requirements for small jurisdictions.--
``(A) In general.--In the case of a jurisdiction
described in subparagraph (B), paragraph (1)(B) shall
not apply so long as all eligible individuals in the
jurisdiction have the opportunity to vote--
``(i) at each polling place which allows
voting during the early voting period described
in paragraph (1)(A)--
``(I) during the election office's
regular business hours; and
``(II) for a period of not less
than 8 hours on at least one Saturday
and at least one Sunday included in the
early voting period; or
``(ii) at one or more polling places in the
county in which such jurisdiction is located
that allows voting during the early voting
period described in paragraph (1)(A) in
accordance with the requirements under
paragraph (1)(B).
``(B) Jurisdiction described.--A jurisdiction is
described in this subparagraph if such jurisdiction--
``(i) had less than 3,000 registered voters
at the time of the most recent prior election
for Federal office; and
``(ii) consists of a geographic area that
is smaller than the jurisdiction of the county
in which such jurisdiction is located.
``(4) Rule of construction.--Nothing in this subsection
shall be construed--
``(A) to limit the availability of additional
temporary voting sites which provide voters more
opportunities to cast their ballots but which do not
meet the requirements of this subsection;
``(B) to limit a polling place from being open for
additional hours outside of the uniform hours set for
the polling location on any day of the early voting
period; or
``(C) to limit a State or jurisdiction from
offering early voting on the Monday before election
day.
``(c) Location of Polling Places.--
``(1) Proximity to public transportation.--To the greatest
extent practicable, each State and jurisdiction shall ensure
that each polling place which allows voting during an early
voting period under subsection (b) is located within walking
distance of a stop on a public transportation route.
``(2) Availability in rural areas.--In the case of a
jurisdiction that includes a rural area, the State or
jurisdiction shall--
``(A) ensure that polling places which allow voting
during an early voting period under subsection (b) will
be located in such rural areas; and
``(B) ensure that such polling places are located
in communities which will provide the greatest
opportunity for residents of rural areas to vote during
the early voting period.
``(3) College campuses.--In the case of a jurisdiction that
includes an institution of higher education, the State or
jurisdiction shall--
``(A) ensure that an appropriate number (not less
than one) of polling places which allow voting during
the early voting period under subsection (b) will be
located on each branch campus of the institution of
higher education; and
``(B) ensure that such polling places provide the
greatest opportunity for residents of the jurisdiction
to vote.
``(d) Standards.--Not later than June 30, 2024, the Commission
shall issue voluntary standards for the administration of voting during
voting periods which occur prior to the date of a Federal election.
Subject to subsection (c), such voluntary standards shall include the
nondiscriminatory geographic placement of polling places at which such
voting occurs.
``(e) Ballot Processing and Scanning Requirements.--
``(1) In general.--Each State or jurisdiction shall begin
processing and scanning ballots cast during in-person early
voting for tabulation not later than the date that is 14 days
prior to the date of the election involved, except that a State
or jurisdiction may begin processing and scanning ballots cast
during in-person early voting for tabulation after such date if
the date on which the State or jurisdiction begins such
processing and scanning ensures, to the greatest extent
practical, that ballots cast before the date of the election
are processed and scanned before the date of the election.
``(2) Limitation.--Nothing in this subsection shall be
construed--
``(A) to permit a State or jurisdiction to tabulate
ballots in an election before the closing of the polls
on the date of the election unless such tabulation is a
necessary component of preprocessing in the State or
jurisdiction and is performed in accordance with
existing State law; or
``(B) to permit an official to make public any
results of tabulation and processing before the closing
of the polls on the date of the election.
``(f) Effective Date.--This section shall apply with respect to the
regularly scheduled general election for Federal office held in
November 2024 and each succeeding election for Federal office.''.
(b) Conforming Amendment Relating to Issuance of Voluntary Guidance
by Election Assistance Commission.--Section 311(b) of such Act (52
U.S.C. 21101(b)) is amended--
(1) by striking ``and'' at the end of paragraph (2);
(2) by striking the period at the end of paragraph (3) and
inserting ``; and''; and
(3) by adding at the end the following new paragraph:
``(4) in the case of the recommendations with respect to
section 304, June 30, 2024.''.
(c) Conforming Amendment Relating to Enforcement.--Section 401 of
such Act (52 U.S.C. 21111) is amended by striking ``and 303'' and
inserting ``303, and 304''.
(d) Clerical Amendment.--The table of contents of such Act is
amended--
(1) by redesignating the items relating to sections 304 and
305 as relating to sections 305 and 306; and
(2) by inserting after the item relating to section 303 the
following new item:
``Sec. 304. Early voting.''.
<all>
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118HR1296 | Restoration of Employment Choice for Adults with Disabilities Act | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1296 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1296
To amend the Rehabilitation Act of 1973 to ensure workplace choice and
opportunity for young adults with disabilities.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Grothman (for himself and Mrs. Miller of Illinois) introduced the
following bill; which was referred to the Committee on Education and
the Workforce
_______________________________________________________________________
A BILL
To amend the Rehabilitation Act of 1973 to ensure workplace choice and
opportunity for young adults with disabilities.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Restoration of Employment Choice for
Adults with Disabilities Act''.
SEC. 2. USE OF SUBMINIMUM WAGE.
Section 511 of the Rehabilitation Act of 1973 (29 U.S.C. 794g) is
amended--
(1) in subsection (a)--
(A) in the matter preceding paragraph (1)--
(i) by striking ``No'' and inserting
``Any'';
(ii) by striking ``24 or younger'' and
inserting ``18 or older''; and
(iii) by striking ``unless'' and inserting
``if''; and
(B) by inserting at the end the following new
paragraph:
``(3) The individual chooses to accept employment with such
entity.'';
(2) in subsection (b)(2), by striking ``24'' and inserting
``17'';
(3) in subsection (c), by inserting at the end the
following new paragraph:
``(4) Other exceptions.--The entity described in subsection
(a) can satisfy the requirements of paragraph (1)(A) with
respect to an individual, if--
``(A) such entity makes documented efforts, at the
intervals described in paragraph (2), to contact on
behalf of the individual, the designated State unit for
the counseling, information, and referrals described in
paragraph (1)(A); and
``(B) such designated State unit fails to provide
the relevant counseling, information, and referrals.'';
and
(4) in subsection (d)(1), by inserting before the period at
the end the following: ``and, if such individual is employed by
an entity described in subsection (a) at the time such
documentation is made pursuant to such process, to make
available copies of such documentation to the entity''.
SEC. 3. APPLICATION.
The amendments made by this Act shall apply with respect to the
employment of an individual on or after March 13, 2020.
<all>
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[From the U.S. Government Publishing Office]
[H.R. 1297 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1297
To amend title 10, United States Code, to prohibit the Secretary of
Defense from paying or reimbursing expenses relating to abortion
services, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Jackson of Texas (for himself, Mr. Roy, Mr. Fallon, Mr. Wittman,
Mr. Johnson of Louisiana, Mr. Waltz, Mr. Lamborn, Mr. McCormick, Mr.
Finstad, Mr. Alford, Mr. Wenstrup, Mr. Smith of New Jersey, Mr. Duncan,
Mr. Ellzey, Mr. Moolenaar, Mr. Weber of Texas, Mrs. Boebert, Mr.
Sessions, Mr. Babin, Mr. Clyde, Mr. Mann, Mr. Mast, Ms. Van Duyne, Mr.
Gooden of Texas, Mr. Good of Virginia, Mr. Estes, Mrs. Miller of
Illinois, Mr. Bishop of North Carolina, Mr. Norman, Mr. Westerman, Mr.
Ogles, Mr. Higgins of Louisiana, Mr. Gosar, Mr. Rutherford, Mr.
Brecheen, Mr. Pfluger, Mr. Steube, Mr. Posey, Mr. Grothman, and Mr.
Banks) introduced the following bill; which was referred to the
Committee on Armed Services
_______________________________________________________________________
A BILL
To amend title 10, United States Code, to prohibit the Secretary of
Defense from paying or reimbursing expenses relating to abortion
services, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. PROHIBITION ON PAYMENT AND REIMBURSEMENT BY DEPARTMENT OF
DEFENSE OF EXPENSES RELATING TO ABORTION SERVICES.
(a) Sense of Congress.--It is the sense of Congress that--
(1) consistent with section 1093 of title 10, United States
Code, the Department of Defense may not use any funds for
abortions except where the life of the mother would be
endangered if the fetus were carried to term or in a case in
which the pregnancy is the result of an act of rape or incest;
(2) the Secretary of Defense has no legal authority to
implement any policies in which funds are to be used for such
purpose; and
(3) the Department of Defense Memorandum titled ``Ensuring
Access to Reproductive Health Care'', dated October 20, 2022,
is therefore unlawful and must be rescinded.
(b) Repeal of Memorandum.--
(1) Repeal.--The Department of Defense memorandum titled
``Ensuring Access to Reproductive Health Care'', dated October
20, 2022, shall have no force or effect.
(2) Prohibition on availability of funds to carry out
memorandum.--No funds may be obligated or expended to carry out
the memorandum specified in paragraph (1) or any successor to
such memorandum.
(c) Prohibition.--Section 1093 of title 10, United States Code, is
amended by adding at the end the following new subsection:
``(c) Prohibition on Payment or Reimbursement of Certain Fees.--(1)
The Secretary of Defense may not pay for or reimburse any fees or
expenses, including travel expenses, relating to a health-care
professional gaining a license in a State if the purpose of gaining
such license is to provide abortion services.
``(2) In this subsection:
``(A) The term `health-care professional' means a member of
the armed forces, civilian employee of the Department of
Defense, personal services contractor under section 1091 of
this title, or other individual who provides health care at a
military medical treatment facility.
``(B) The term `license' has the meaning given that term in
section 1094 of this title.''.
<all>
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118HR1298 | United States Foundation for International Conservation Act of 2023 | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1298 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1298
To establish the United States Foundation for International
Conservation to promote long-term management of protected and conserved
areas, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Joyce of Ohio (for himself, Mr. Stewart, Ms. McCollum, and Mr.
Cuellar) introduced the following bill; which was referred to the
Committee on Foreign Affairs
_______________________________________________________________________
A BILL
To establish the United States Foundation for International
Conservation to promote long-term management of protected and conserved
areas, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``United States Foundation for
International Conservation Act of 2023''.
SEC. 2. DEFINITIONS.
In this Act:
(1) Appropriate congressional committees.--The term
``appropriate congressional committees'' means--
(A) the Committee on Appropriations of the Senate;
(B) the Committee on Foreign Relations of the
Senate;
(C) the Committee on Appropriations of the House of
Representatives; and
(D) the Committee on Foreign Affairs of the House
of Representatives.
(2) Board.--The term ``Board'' means the Board of Directors
established pursuant to section 4(a).
(3) Director.--The term ``Director'' means--
(A) an initial member of the Board appointed
pursuant to section 4(a)(2)(C); or
(B) a member of the Board selected to fill a
vacancy pursuant to section 4(a)(3)(B).
(4) Eligible country.--The term ``eligible country'' means
any of the countries described in section 7(b).
(5) Eligible project.--The term ``eligible project'' means
any of the projects described in section 7(a)(2).
(6) Executive director.--The term ``Executive Director''
means the Executive Director of the Foundation hired pursuant
to section 4(b).
(7) Foundation.--The term ``Foundation'' means the United
States Foundation for International Conservation established
pursuant to section 3(a).
(8) Secretary.--The term ``Secretary'' means the Secretary
of State.
SEC. 3. UNITED STATES FOUNDATION FOR INTERNATIONAL CONSERVATION.
(a) Establishment.--
(1) In general.--Not later than 180 days after the date of
the enactment of this Act, the Secretary shall establish the
United States Foundation for International Conservation.
(2) Independence.--The Foundation is not an agency or
instrumentality of the United States Government.
(3) Tax-exempt status.--The Board shall take all necessary
and appropriate steps to ensure that the Foundation is an
organization described in subsection (c) of section 501 of the
Internal Revenue Code of 1986, which exempts the organization
from taxation under subsection (a) of such section.
(4) Termination of operations.--The Foundation shall
terminate operations on the date that is 10 years after the
date on which it is established pursuant to paragraph (1).
(b) Purposes.--The purposes of the Foundation are--
(1) to promote effective, long-term management of protected
and conserved areas and their contiguous buffer zones in
eligible countries;
(2) to advocate for, incentivize, accept, and administer
governmental and nongovernmental funds, including donations
from the private sector, to increase the availability and
predictability of financing for long-term management of
protected and conserved areas;
(3) to close critical gaps in public international
conservation efforts by--
(A) increasing private sector investment, including
investments from philanthropic entities; and
(B) collaborating with partners providing bilateral
and multilateral financing to support enhanced
coordination;
(4) to identify and financially support implementation-
ready projects--
(A) that promote long-term management of protected
and conserved areas and their contiguous buffer zones
in eligible countries, including supporting the
management of terrestrial, coastal, freshwater, and
marine protected areas, parks, community conservancies,
indigenous reserves, conservation easements, and
biological reserves; and
(B) that provide effective area-based conservation
measures, consistent with internationally recognized
best practices and standards for environmental and
social safeguards; and
(5) to coordinate with, and otherwise support and assist,
foreign governments, private sector entities, local
communities, Indigenous Peoples, and other stakeholders in
undertaking biodiversity conservation activities--
(A) to achieve sustainable biodiversity
conservation outcomes; and
(B) to improve local security, governance, food
security, and economic opportunities.
SEC. 4. GOVERNANCE OF THE FOUNDATION.
(a) Board of Directors.--
(1) Governance.--The Foundation shall be governed by a
Board of Directors.
(2) Composition.--
(A) In general.--The Board shall be composed of--
(i) the Directors described in subparagraph
(B); and
(ii) Appointed Directors described in
subparagraph (C).
(B) Directors.--The following individuals, or
designees of such individuals, shall serve as
Directors:
(i) The Secretary of State.
(ii) The Administrator of the United States
Agency for International Development.
(iii) The Secretary of the Interior.
(iv) The Chief of the United States Forest
Service.
(v) The Administrator of the National
Oceanic and Atmospheric Administration.
(C) Appointed directors.--The Secretary, in
consultation with the other Directors described in
subparagraph (B), shall appoint, as Directors of the
Board--
(i) 4 private-sector committed donors; and
(ii) 5 independent experts who represent
diverse points of view, to the maximum extent
practicable.
(D) Qualifications.--Each independent expert
appointed pursuant to subparagraph (C) shall be
knowledgeable and experienced in matters relating to--
(i) international development;
(ii) protected area management and the
conservation of global biodiversity, fish and
wildlife, ecosystem restoration, adaptation,
and resilience; and
(iii) grantmaking in support of
international conservation.
(E) Chairperson.--The Board shall elect, from among
its Directors, a Chairperson, who shall serve for a 2-
year term.
(3) Terms; vacancies.--
(A) Terms.--
(i) In general.--The term of service of
each Director appointed pursuant to paragraph
(2)(C) shall be not more than 5 years.
(ii) Initial appointed directors.--Of the
initial Directors appointed pursuant to
paragraph (2)(C)--
(I) 5 Directors, including at least
2 private-sector committed donors,
shall serve for 4 years; and
(II) 4 Directors shall serve for 5
years, as determined by the Chairperson
of the Board.
(B) Vacancies.--Any vacancy in the membership of
the appointed Directors of the Board--
(i) shall be filled in accordance with the
bylaws of the Foundation by a private-sector
committed donor or an independent expert who
meets the qualifications under subparagraph
(C)(ii)(A), as applicable, as represented by
the vacating Director;
(ii) shall not affect the power of the
remaining appointed Directors to execute the
duties of the Board; and
(iii) shall be filled by an individual
selected by the Board.
(4) Quorum.--A majority of the current membership of the
Board shall constitute a quorum for the transaction of
Foundation business.
(5) Meetings.--
(A) In general.--The Board shall meet at the call
of the Chairperson not less frequently than annually.
(B) Initial meeting.--Not later than 60 days after
the Board is established pursuant to section 3(a), the
Secretary shall convene a meeting of the ex-officio
Directors and the appointed Directors of the Board to
incorporate the Foundation.
(C) Removal.--Any Director who misses 3 consecutive
regularly scheduled meetings may be removed from the
Board.
(6) Reimbursement of expenses.--Directors of the Board
shall serve without pay, but may be reimbursed for the actual
and necessary traveling and subsistence expenses incurred in
the performance of the duties of the Foundation.
(7) Not federal employees.--Appointment as a Director of
the Board shall not constitute employment by, or the holding of
an office of, the United States for purposes of any Federal
law.
(8) Duties.--The Board shall--
(A) establish bylaws for the Foundation in
accordance with paragraph (9);
(B) provide overall direction for the activities of
the Foundation and establish priority activities;
(C) carry out any other necessary activities of the
Foundation;
(D) evaluate the performance of the Executive
Director; and
(E) not less frequently than annually, consult and
coordinate with stakeholders qualified to provide
advice, assistance, and information regarding effective
protected and conserved area management.
(9) Bylaws.--
(A) In general.--The bylaws established pursuant to
paragraph (8)(A) may include--
(i) policies for the selection of Directors
of the Board and officers, employees, agents,
and contractors of the Foundation;
(ii) policies, including ethical standards,
for--
(I) the acceptance, solicitation,
and disposition of donations and grants
to the Foundation; and
(II) the disposition of assets of
the Foundation;
(iii) policies that subject all employees,
fellows, trainees, and other agents of the
Foundation (including ex-officio Directors and
appointed Directors of the Board) to conflict
of interest standards; and
(iv) the specific duties of the Executive
Director.
(B) Requirements.--The Board shall ensure that the
bylaws of the Foundation and the activities carried out
under such bylaws do not--
(i) reflect unfavorably on the ability of
the Foundation to carry out activities in a
fair and objective manner; or
(ii) compromise, or appear to compromise,
the integrity of any governmental agency or
program, or any officer or employee employed
by, or involved in, a governmental agency or
program.
(b) Executive Director.--The Board shall hire an Executive Director
of the Foundation, who shall serve, at the pleasure of the Board, as
the Chief Executive Officer of the Foundation.
(c) Foundation Staff.--Officers and employees of the Foundation--
(1) may not be employees of, or hold any office in, the
United States Government; and
(2) shall be appointed without regard to the provisions
of--
(A) title 5, United States Code, governing
appointments in the competitive service; and
(B) chapter 51 and subchapter III of chapter 53 of
such title, relating to classification and General
Schedule pay rates.
(d) Limitation and Conflicts of Interests.--
(1) Political participation.--The Foundation may not
participate or intervene in any political campaign on behalf of
any candidate for public office in any country.
(2) Financial interests.--Any Director of the Board or
officer or employee of the Foundation is prohibited from
participating, directly or indirectly, in the consideration or
determination of any question before the Foundation affecting--
(A) the financial interests of such Director,
officer, or employee; and
(B) the interests of any corporation, partnership,
entity, or organization in which such Director,
officer, or employee has any fiduciary obligation or
direct or indirect financial interest.
SEC. 5. CORPORATE POWERS AND OBLIGATIONS OF THE FOUNDATION.
(a) General Authority.--
(1) In general.--The Foundation--
(A) shall have perpetual succession unless
dissolved by an Act of Congress;
(B) may conduct business throughout the States,
territories, and possessions of the United States and
in foreign countries;
(C) shall have its principal offices in the
Washington, DC, metropolitan area; and
(D) shall continuously maintain a designated agent
in Washington, DC, who is authorized to accept notice
or service of process on behalf of the Foundation.
(2) Notice and service of process.--The serving of notice
to, or service of process upon, the agent referred to in
paragraph (1)(D), or mailed to the business address of such
agent, shall be deemed as service upon, or notice to, the
Foundation.
(3) Seal.--The Foundation shall have an official seal,
which shall be selected by the Board and judicially noticed.
(b) Authorities.--In addition to powers explicitly authorized under
this Act, the Foundation, in order to carry out the purposes described
in section 3(b), shall have the usual powers of a corporation
headquartered in Washington, DC, including the authority--
(1) to accept, receive, solicit, hold, administer, and use
any gift, devise, or bequest, either absolutely or in trust, or
real or personal property or any income derived from such gift
or property, or other interest in such gift or property;
(2) to acquire by donation, gift, devise, purchase, or
exchange any real or personal property or interest in such
property;
(3) unless otherwise required by the instrument of
transfer, to sell, donate, lease, invest, reinvest, retain, or
otherwise dispose of any property or income derived from such
property;
(4) to borrow money and issue bonds, debentures, or other
debt instruments;
(5) to complain and defend itself in any court of competent
jurisdiction (except that the Directors of the Board shall not
be personally liable, except for gross negligence);
(6) to enter into contracts or other arrangements with
public agencies, private organizations, and persons and to make
such payments as may be necessary to carry out the purposes of
such contracts or arrangements; and
(7) to award grants for eligible projects, in accordance
with section 7.
(c) Property Interests.--
(1) Interest in real property.--In this subsection, the
term ``interest in real property'' includes--
(A) mineral and water rights;
(B) rights of way; and
(C) easements appurtenant or in gross.
(2) In general.--The Foundation may acquire, hold, and
dispose of lands, waters, and other interests in real property
by donation, gift, devise, purchase, or exchange.
(3) Limits to property rights.--A gift, devise, or bequest
may be accepted by the Foundation even though it is encumbered,
restricted, or subject to beneficial interests of private
persons if any current or future interest therein is for the
benefit of the Foundation.
(d) Federal Funds.--
(1) In general.--The Foundation may--
(A) hold Federal funds made available, but not
immediately disbursed; and
(B) use any interest or other investment income
earned on such Federal funds to carry out the purposes
of the Foundation under this Act.
(2) Limitation.--Investments made pursuant to paragraph
(1)(B) may only be made in--
(A) interest-bearing obligations of the United
States; or
(B) obligations guaranteed as to both principal and
interest by the United States.
(e) Limitation of Public Liability.--The United States shall not be
liable for any debts, defaults, acts, or omissions of the Foundation.
SEC. 6. SAFEGUARDS AND ACCOUNTABILITY.
(a) Safeguards.--The Foundation shall develop, and incorporate into
any agreement for support provided by the Foundation, appropriate
safeguards, policies, and guidelines, consistent with internationally
recognized best practices and standards for environmental and social
safeguards.
(b) Independent Accountability Mechanism.--
(1) In general.--The Foundation shall establish a
transparent and independent accountability mechanism, which
shall provide--
(A) a compliance review function that assesses
whether Foundation-supported projects adhere to the
requirements developed pursuant to subsection (a);
(B) a dispute resolution function for resolving
concerns between complainants and project implementers
regarding the impacts of specific Foundation-supported
projects with respect to such standards; and
(C) an advisory function that reports to the
Foundation on projects, policies, and practices.
(2) Duties.--The accountability mechanism shall--
(A) report annually to the Board and to the
appropriate congressional committees regarding the
Foundation's compliance with internationally recognized
best practices and standards in accordance with
paragraph (1)(A);
(B)(i) have permanent staff to conduct compliance
reviews and dispute resolutions; or
(ii) maintain a roster of experts to serve such
roles, to the extent needed; and
(C) hold a public comment period lasting not fewer
than 60 days regarding the initial design of the
accountability mechanism.
SEC. 7. PROJECTS AND GRANTS.
(a) Project Funding Requirements.--
(1) In general.--The Foundation shall--
(A) fund eligible projects that support its mission
to provide long-term funding for the effective
management of protected and conserved areas and their
contiguous buffer zones in eligible countries; and
(B) recognize the importance of a landscape or
seascape approach to conservation that includes buffer
zones, wildlife dispersal and corridor areas, and other
effective area-based conservation measures.
(2) Eligible projects.--Eligible projects shall include
projects that--
(A) focus on supporting--
(i) long-term management of protected or
conserved areas and their contiguous buffer
zones in countries described in subsection (b),
including terrestrial, coastal, and marine-
protected or conserved areas, parks, community
conservancies, indigenous reserves,
conservation easements, and biological
reserves; and
(ii) other effective area-based
conservation measures;
(B) are cost-matched from sources other than the
United States Government;
(C) have host country and local population support,
as evidenced by a long-term binding memorandum of
understanding signed by the host government that
respects free, prior, and informed consent of affected
communities;
(D) incorporate a set of key performance
indicators;
(E) demonstrate robust local community engagement,
with the completion of appropriate environmental and
social due diligence, including--
(i) free, prior, and informed consent of
Indigenous Peoples and consultation with
relevant local communities;
(ii) equitable governance structures; and
(iii) effective grievance mechanisms;
(F) create economic opportunities for local
communities, through activities such as--
(i) equity and profit-sharing;
(ii) employment activities; and
(iii) other economic growth activities;
(G) provide stable baseline funding for the
effective management of the protected or conserved area
project;
(H) are implementation-ready; and
(I) where possible, demonstrate a plan to
strengthen the capacity of, and transfer skills to,
local institutions to manage the protected or conserved
area before or after grant funding is exhausted.
(b) Eligible Countries.--
(1) In general.--Before awarding any grants or entering
into any project agreements for a given fiscal year, the Board
shall conduct a review of countries in which the Foundation
shall be eligible to fund projects to determine which
countries--
(A) are low-income, lower middle-income, or upper-
middle-income economies (as defined by the
International Bank for Reconstruction and Development
and the International Development Association;
(B) have--
(i) a high degree of biological diversity;
or
(ii) species or ecosystems of significant
importance; and
(C) have demonstrated a commitment to conservation
through actions, such as protecting lands and waters
through the gazettement of national parks, community
conservancies, marine reserves and protected areas,
forest reserves, and other legally recognized forms of
place-based conservation.
(2) Identification of eligible countries.--Not later than 5
days after the date on which the Board determines which
countries are eligible countries for a given fiscal year, the
Executive Director shall--
(A) submit a report to the appropriate
congressional committees that includes--
(i) a list of all such eligible countries;
and
(ii) a justification for such eligibility
determinations; and
(B) publish the information contained in the report
described in paragraph (A) in the Federal Register.
(c) Grantmaking.--
(1) In general.--In order to maximize its program effects,
the Foundation should--
(A) seek to coordinate with other international
public and private donors to the extent possible;
(B) seek additional financial and nonfinancial
contributions and commitments for its projects from
host governments; and
(C) strive to generate a partnership mentality
among all participants, including public and private
funders, host governments, local protected areas
authorities, and private and nongovernmental
organization partners.
(2) Grant criteria.--Foundation grants--
(A) shall fund the management of well-defined
protected or conserved areas and the systems of such
conservation areas in eligible countries;
(B) should provide adequate baseline funding for at
least 10 years, without replacing or duplicating
existing baseline funding, for each protected and
conserved area and the system that supports that area
in an amount sufficient to maintain the effective
management of the area over the long term;
(C) should, during the grant period, demonstrate
progress in achieving clearly identified key
performance indicators (as defined in the grant
agreement), which may include--
(i) the protection of biological diversity;
(ii) the protection of native flora and
habitats, such as trees, forests, grasslands,
mangroves, coral reefs, and sea grass;
(iii) community-based economic growth
indicators, such as improved land tenure,
increases in beneficiaries participating in
economic growth activities, and sufficient
income from conservation activities being
directed to communities in project areas;
(iv) improved management of the protected
or conserved area covered by the project, as
documented through the submission of strategic
plans or annual reports to the Foundation; and
(v) the identification of additional
revenue sources or sustainable financing
mechanisms to meet the recurring costs of
management of the protected or conserved areas;
and
(D) may be terminated if the Board determines that
the project is not meeting applicable requirements
under this Act or making progress in achieving the key
performance indicators defined in the grant agreement.
SEC. 8. PROHIBITION OF SUPPORT IN COUNTRIES THAT SUPPORT TERRORISM OR
VIOLATE HUMAN RIGHTS AND OF SUPPORT FOR SANCTIONED
PERSONS.
(a) In General.--The Foundation may not provide support for any
government, or any entity owned or controlled by a government, if the
Secretary has determined that such government--
(1) has repeatedly provided support for acts of
international terrorism, as determined under--
(A) section 1754(c)(1)(A)(i) of the Export Control
Reform Act of 2018 (subtitle B of title XVII of Public
Law 115-232);
(B) section 620A(a) of the Foreign Assistance Act
of 1961 (22 U.S.C. 2371(a));
(C) section 40(d) of the Arms Export Control Act
(22 U.S.C. 2780(d)); or
(D) any other relevant provision of law; or
(2) has engaged in a consistent pattern of gross violations
of internationally recognized human rights, as determined under
section 116(a) or 502B(a)(2) of the Foreign Assistance Act of
1961 (22 U.S.C. 2151n(a) and 2304(a)(2)) or any other relevant
provision of law.
(b) Prohibition of Support for Sanctioned Persons.--The Foundation
may not engage in any dealing prohibited under United States sanctions
laws or regulations, including dealings with persons on the list of
specially designated persons and blocked persons maintained by the
Office of Foreign Assets Control of the Department of the Treasury,
except to the extent otherwise authorized by the Secretary or by the
Secretary of the Treasury.
(c) Prohibition of Support for Activities Subject to Sanctions.--
The Foundation shall require any person receiving support to certify
that such person, and any entity owned or controlled by such person, is
in compliance with all United States sanctions laws and regulations.
SEC. 9. ANNUAL REPORT.
Not later than 360 days after the date of the enactment of this
Act, and annually thereafter while the Foundation continues to operate,
the Executive Director of the Foundation shall submit a report to the
appropriate congressional committees that describes--
(1) the goals of the Foundation;
(2) the programs, projects, and activities supported by the
Foundation;
(3) private and governmental contributions to the
Foundation; and
(4) the standardized criteria utilized to determine the
programs and activities supported by the Foundation, including
baselines, targets, desired outcomes, measurable goals, and
extent to which those goals are being achieved for each
project.
SEC. 10. AUTHORIZATION OF APPROPRIATIONS.
(a) In General.--There are authorized to be appropriated to the
Foundation $100,000,000 for each of the fiscal years 2024 through 2033
to carry out the purposes of this Act.
(b) Cost Matching Requirement.--Amounts appropriated pursuant to
subsection (a) may only be made available to grantees to the extent
such grantees secure funding for an eligible project from sources other
than the United States Government in an amount that is not less than
the amount received in grants for such project pursuant to section 7.
<all>
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118HR1299 | Heroes of the Warsaw Ghetto Congressional Gold Medal Act | [
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] | <p><b>Heroes of the Warsaw Ghetto Congressional Gold Medal Act</b></p> <p>This bill provides for the award of a Congressional Gold Medal posthumously to commemorate the participants in the Warsaw Ghetto Uprising who led an armed resistance against Nazi occupiers.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1299 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1299
To award a Congressional Gold Medal to the group of heroic participants
in the Warsaw Ghetto Uprising who led an armed resistance against Nazi
occupiers and fought to preserve and protect the Jewish culture.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Keating (for himself, Mr. Smith of New Jersey, Ms. Kaptur, and Mr.
Turner) introduced the following bill; which was referred to the
Committee on Financial Services
_______________________________________________________________________
A BILL
To award a Congressional Gold Medal to the group of heroic participants
in the Warsaw Ghetto Uprising who led an armed resistance against Nazi
occupiers and fought to preserve and protect the Jewish culture.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Heroes of the Warsaw Ghetto
Congressional Gold Medal Act''.
SEC. 2. FINDINGS.
Congress finds the following:
(1) The Jewish people have long formed an integral part of
the culture and history of Europe and of Poland.
(2) Europeans Jews contribute to the rich diversity of
society and culture across Europe.
(3) For centuries, prior to World War II, Poland
represented a center of Jewish life in Europe and was home to
millions of Jews.
(4) Prior to World War II, 350,000 Jews lived in Warsaw,
representing about 30 percent of the city's population.
(5) Following the Nazi takeover of Poland, the Germans
established the Warsaw ghetto in October 1940, and unlawfully
confined Jewish civilians to the ghetto in November 1940, with
the population of the ghetto reaching a height of 400,000 Jews.
(6) Life in the Warsaw ghetto was marked by widespread
starvation, disease, physical violence, and deplorable
conditions unsuitable for life, leading to the deaths of 83,000
Jews between 1940 and mid-1942.
(7) In less than two months in 1942, German units deported
about 265,000 Jews from Warsaw to the Treblinka death camp and
killed an additional 35,000 Jews inside the ghetto.
(8) In early 1943, German and SS units intended to deport
the remaining Jewish population of the ghetto to forced labor
camps, but many Jews resisted deportation.
(9) The Warsaw Ghetto Uprising began on April 19, 1943,
when SS and police forces appeared outside the walls of the
Warsaw ghetto with the intent of liquidating the ghetto and
deporting its remaining inhabitants.
(10) Aided in part by arms from the Polish underground and
relying on clandestinely organized Jewish self-defense groups,
the ghetto heroically resisted German forces, mounting an
organized armed resistance against SS and police units and
fighting against impossible odds.
(11) Jews in the ghetto continued to fend off their German
occupiers for almost one month, fighting to the last.
(12) After weeks of resistance, the Germans systematically
destroyed the ghetto, burning buildings and razing city blocks
in an attempt to erase the memory and existence of the Jewish
people.
(13) By May 16, 1943, German forces had suppressed the
uprising and deported the ghetto's surviving inhabitants to
concentration camps and killing centers.
(14) The heroes of the Warsaw ghetto who bravely defended
themselves in the face of unimaginable crimes set an example
for other occupied cities and for other Jewish communities.
(15) In total, over 3,000,000 Polish Jews were murdered by
the Nazis during the Holocaust, with only about 380,000 Polish
Jews still alive in Poland, the Soviet Union, or in
concentration camps by the end of the war.
(16) Genocide involves the erasure and elimination of the
memory and culture of a people, and therefore the United States
must work to preserve the historical record of Jewish people
around the world, many of whom now live in the United States.
(17) Current and future generations benefit from the
preservation and memorialization of their history and culture.
(18) Millions of Jewish people whose ancestors came from
Poland now live in the United States, Israel, and around the
world.
(19) Preservation of the history and culture of Jewish
people in Poland is essential to learning the lessons of
history and ensuring the prosperity of the Jewish people for
future generations.
(20) Museums are an important contributor to the historical
preservation of human memory, providing cultural, education and
civic centers where people can learn about the life and record
of individuals or groups of people from the past.
(21) Museums dedicated to the historical memory of Jewish
people or the struggle for survival of the Jewish people during
the Holocaust play a critical role in preserving the memory of
Jewish people.
(22) The construction of further museums, including the
Warsaw Ghetto Museum, would be a welcoming place for all
visitors who want to better understand the fate of Jews
incarcerated in the Warsaw ghetto.
(23) The POLIN Museum of the History of the Polish Jews is
a central location for Jewish people around the world to learn
about the life, history, and culture of their ancestors.
(24) The POLIN Museum is an important educational hub for
all people to learn about the rich history of Jewish people who
were targeted and heroically fought back against the Nazis in
their attempt to erase the memory of Jewish life in Europe.
(25) The POLIN Museum in Warsaw should be celebrated for
the important role it plays in the preservation of the memory
of Jewish life as it documents the long history of Jewish life
in Poland and Europe both before and after the war, and sits on
the site of the former Warsaw ghetto where so many heroic Jews
fought against the erasure of the memory of the Jewish people.
SEC. 3. CONGRESSIONAL GOLD MEDAL.
(a) Presentations Authorized.--The Speaker of the House of
Representatives and the President pro tempore of the Senate shall make
appropriate arrangements for the posthumous presentation, on behalf of
the Congress, of a gold medal of appropriate design in collective
commemoration of the group of heroic participants in the Warsaw Ghetto
Uprising who led an armed resistance against Nazi occupiers and fought
to preserve and protect the Jewish culture.
(b) Design and Striking.--For the purposes of the presentation
referred to in subsection (a), the Secretary of the Treasury (hereafter
in this Act referred to as the ``Secretary'') shall strike the gold
medal with suitable emblems, devices, and inscriptions, to be
determined by the Secretary.
(c) United States Holocaust Memorial Museum.--
(1) In general.--Following the award of the gold medal
under subsection (a), the gold medal shall be given to the
United States Holocaust Memorial Museum, where it shall be
available for display and research in accordance with the
Museum's policies regarding materials in the Museum's care.
(2) Sense of congress.--It is the sense of Congress that
the United States Holocaust Memorial Museum should make the
gold medal received under paragraph (1) available for display
elsewhere, in accordance with the Museum's policies regarding
materials in the Museum's care, at other appropriate locations,
including those associated with commemoration of the Holocaust
and other relevant entities such as the POLIN Museum of the
History of the Polish Jews, that may make such a request.
SEC. 4. DUPLICATE MEDALS.
The Secretary may strike and sell duplicates in bronze of the gold
medal struck pursuant to section 3 at a price sufficient to cover the
cost thereof, including labor, materials, dies, use of machinery, and
overhead expenses.
SEC. 5. STATUS OF MEDALS.
(a) National Medals.--The medal struck pursuant to this Act is a
national medal for purposes of chapter 51 of title 31, United States
Code.
(b) Numismatic Items.--For purposes of sections 5134 and 5136 of
title 31, United States Code, all medals struck under this Act shall be
considered to be numismatic items.
SEC. 6. AUTHORITY TO USE FUND AMOUNTS; PROCEEDS OF SALE.
(a) Authority To Use Fund Amounts.--There is authorized to be
charged against the United States Mint Public Enterprise Fund such
amounts as may be necessary to pay for the costs of the medals struck
pursuant to this Act.
(b) Proceeds of Sale.--The amounts received from the sale of
duplicate bronze medals authorized under section 3 shall be deposited
into the United States Mint Public Enterprise Fund.
<all>
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118HR130 | Thin Blue Line Act | [
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] | <p><b>Thin Blue Line Act</b></p> <p>This bill expands the list of statutory aggravating factors in death penalty determinations to also include killing or targeting a law enforcement officer, firefighter, or other first responder.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 130 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 130
To amend title 18, United States Code, to provide additional
aggravating factors for the imposition of the death penalty based on
the status of the victim.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 9, 2023
Mr. Buchanan (for himself, Mr. Waltz, Ms. Malliotakis, Mr. Fitzpatrick,
Mr. Weber of Texas, Mr. Norman, Mr. Johnson of Ohio, Mr. Graves of
Louisiana, and Mr. Posey) introduced the following bill; which was
referred to the Committee on the Judiciary
_______________________________________________________________________
A BILL
To amend title 18, United States Code, to provide additional
aggravating factors for the imposition of the death penalty based on
the status of the victim.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Thin Blue Line Act''.
SEC. 2. AGGRAVATING FACTORS FOR DEATH PENALTY.
Section 3592(c) of title 18, United States Code, is amended by
inserting after paragraph (16) the following:
``(17) Killing or targeting of law enforcement officer.--
``(A) The defendant killed or attempted to kill, in
the circumstance described in subparagraph (B), a
person who is authorized by law--
``(i) to engage in or supervise the
prevention, detention, investigation, or
prosecution, or the incarceration of any person
for any criminal violation of law;
``(ii) to apprehend, arrest, or prosecute
an individual for any criminal violation of
law; or
``(iii) to be a firefighter or other first
responder.
``(B) The circumstance referred to in subparagraph
(A) is that the person was killed or targeted--
``(i) while he or she was engaged in the
performance of his or her official duties;
``(ii) because of the performance of his or
her official duties; or
``(iii) because of his or her status as a
public official or employee.''.
<all>
</pre></body></html>
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118HR1300 | IRS Whistleblower Program Improvement Act of 2023 | [
[
"K000376",
"Rep. Kelly, Mike [R-PA-16]",
"sponsor"
]
] | <p><strong>IRS Whistleblower Program Improvement Act of 2023</strong></p> <p>This bill modifies provisions of the Internal Revenue Code relating to whistleblower protections. Specifically, the bill </p> <ul> <li>revises the standard for review of whistleblower awards in the Tax Court to require a<em> de novo</em> review standard (currently, the standard is abuse of discretion); </li> <li>exempts whistleblower awards from reductions due to budget sequestration; </li> <li>allows whistleblowers anonymity in proceedings before the Tax Court;</li> <li>modifies the Internal Revenue Service (IRS) whistleblower report to require inclusion of a list and description of the top 10 tax avoidance schemes disclosed by whistleblowers;</li> <li>requires the IRS to pay interest on whistleblower awards if not paid within one year of receipt of proceeds collected from whistleblower disclosures; and </li> <li>allows payment of the attorney fees of whistleblowers regardless of whether the whistleblower award was paid through the mandatory or the discretionary whistleblower award program.</li></ul> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1300 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1300
To amend the Internal Revenue Code of 1986 to modify and reform rules
relating to investigations and whistleblowers, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Kelly of Pennsylvania introduced the following bill; which was
referred to the Committee on Ways and Means, and in addition to the
Committee on the Budget, for a period to be subsequently determined by
the Speaker, in each case for consideration of such provisions as fall
within the jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to modify and reform rules
relating to investigations and whistleblowers, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``IRS Whistleblower Program
Improvement Act of 2023''.
SEC. 2. STANDARD AND SCOPE OF REVIEW OF WHISTLEBLOWER AWARD
DETERMINATION.
(a) In General.--Paragraph (4) of section 7623(b) of the Internal
Revenue Code of 1986 is amended--
(1) by striking ``appealed to'' and inserting ``reviewed
by''; and
(2) by adding at the end the following: ``Any review by the
Tax Court under the preceding sentence shall be de novo and
shall be based on the administrative record established at the
time of the original determination and any additional newly
discovered or previously unavailable evidence.''.
(b) Conforming Amendment.--The heading of paragraph (4) of section
7623(b) of the Internal Revenue Code of 1986 is amended by striking
``Appeal'' and inserting ``Review''.
(c) Effective Date.--The amendments made by this section shall
apply to cases under section 7623(b)(4) of the Internal Revenue Code of
1986 which are pending on, or filed on or after, the date of the
enactment of this Act.
SEC. 3. EXEMPTION FROM SEQUESTRATION.
(a) In General.--Section 255 of the Balanced Budget and Emergency
Deficit Control Act of 1985 (2 U.S.C. 905) is amended--
(1) by redesignating subsection (k) as subsection (l); and
(2) by inserting after subsection (j) the following:
``(k) Awards to Whistleblowers.--An award authorized under section
7623 of the Internal Revenue Code of 1986 shall be exempt from
reduction under any order issued under this part.''.
(b) Applicability.--The amendment made by this section shall apply
to any sequestration order issued under the Balanced Budget and
Emergency Deficit Control Act of 1985 (2 U.S.C. 900 et seq.) after
December 31, 2023.
SEC. 4. WHISTLEBLOWER PRIVACY PROTECTIONS.
(a) In General.--Paragraph (6) of section 7623(b) of the Internal
Revenue Code of 1986 is amended by adding at the end the following new
subparagraph:
``(D) Whistleblower anonymity before the tax
court.--Notwithstanding sections 7458 and 7461, the Tax
Court shall grant a whistleblower's request to proceed
anonymously before the Court for all proceedings under
this section absent a finding by the Tax Court that a
heightened societal interest exists for disclosing the
whistleblower's identity, exceeding the normal interest
in knowing a petitioner's identity. Should the Tax
Court find that such a heightened societal interest
exists, such interest shall be balanced against the
potential harm disclosure could cause to the
whistleblower.''.
(b) Effective Date.--The amendments made by this section shall
apply to petitions filed with the Tax Court which are pending on, or
filed on or after, the date of the enactment of this Act.
SEC. 5. MODIFICATION OF IRS WHISTLEBLOWER REPORT.
(a) In General.--Section 406(c) of division A of the Tax Relief and
Health Care Act of 2006 is amended by striking ``such use,'' in
paragraph (1) and inserting ``such use (which shall include a list and
descriptions of the top tax avoidance schemes, not to exceed 10,
disclosed by whistleblowers during such year),''.
(b) Effective Date.--The amendment made by this section shall apply
to reports the due date for which are after the enactment of this Act.
SEC. 6. INTEREST ON WHISTLEBLOWER AWARDS.
(a) In General.--Section 7623(b) of the Internal Revenue Code of
1986 is amended by redesignating paragraphs (5) and (6) as paragraphs
(6) and (7), respectively, and by inserting after paragraph (4) the
following new paragraph:
``(5) Interest.--
``(A) In general.--If the Secretary has not
provided notice to an individual described in paragraph
(1) of a preliminary award recommendation before the
applicable date, the amount of any award under this
subsection shall include interest from such date at the
overpayment rate under section 6621(a).
``(B) Exception.--No interest shall accrue under
this paragraph after the date on which the Secretary
provides notice to the individual of a preliminary
award recommendation.
``(C) Applicable date.--For purposes of this
paragraph, the applicable date is the date that is 12
months after the first date on which--
``(i) all of the proceeds resulting from
actions subject to the award recommendation
have been collected, and
``(ii) either--
``(I) the statutory period for
filing a claim for refund has expired,
or
``(II) the taxpayers subject to the
actions and the Secretary have agreed
with finality to the tax or other
liabilities for the periods at issue,
and either the taxpayers have waived
the right to file a claim for refund or
any claim for refund has been
resolved.''.
(b) Effective Date.--
(1) In general.--The amendments made by this section shall
take effect 180 days after the date of the enactment of this
Act.
(2) Special rule.--In the case of a claim for a
whistleblower award under section 7623(b) of the Internal
Revenue Code of 1986 with respect to which, as of the date
described in paragraph (1)--
(A) the Secretary of the Treasury has not provided
notice to the individual of a preliminary award
recommendation as described in paragraph (5)(A) of such
section, as added by this Act, and
(B) the applicable date provided in paragraph
(5)(C) of such section, as so added, has passed,
the applicable date for purposes of such paragraph (5)(C) is
the date that is 12 months after the date described in
paragraph (1).
SEC. 7. CORRECTION REGARDING DEDUCTIONS FOR ATTORNEY'S FEES.
(a) In General.--Section 62(a)(21)(A)(i) of the Internal Revenue
Code of 1986 is amended by striking ``7623(b)'' and inserting ``7623''.
(b) Effective Date.--The amendment made by this section shall apply
to taxable years ending after the date of the enactment of this Act.
<all>
</pre></body></html>
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118HR1301 | Federal Employees Civil Relief Act | [
[
"K000381",
"Rep. Kilmer, Derek [D-WA-6]",
"sponsor"
],
[
"C001078",
"Rep. Connolly, Gerald E. [D-VA-11]",
"cosponsor"
],
[
"B001296",
"Rep. Boyle, Brendan F. [D-PA-2]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1301 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1301
To suspend the enforcement of certain civil liabilities of Federal
employees and contractors during a lapse in appropriations, or during a
breach of the statutory debt limit, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Kilmer (for himself, Mr. Connolly, and Mr. Boyle of Pennsylvania)
introduced the following bill; which was referred to the Committee on
Oversight and Accountability, and in addition to the Committees on
Financial Services, Ways and Means, the Judiciary, Education and the
Workforce, and House Administration, for a period to be subsequently
determined by the Speaker, in each case for consideration of such
provisions as fall within the jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To suspend the enforcement of certain civil liabilities of Federal
employees and contractors during a lapse in appropriations, or during a
breach of the statutory debt limit, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Federal Employees Civil Relief
Act''.
SEC. 2. PURPOSE.
The purpose of this Act is to provide for the temporary suspension
of judicial and administrative proceedings and transactions that may
adversely affect the civil rights of Federal workers during a shutdown.
SEC. 3. DEFINITIONS.
In this Act:
(1) Consumer reporting agency.--The term ``consumer
reporting agency'' has the meaning given the term in section
603(f) of the Fair Credit Reporting Act (15 U.S.C. 1681a(f)).
(2) Contractor.--The term ``contractor'' has the meaning
given the term in section 7101 of title 41, United States Code.
(3) Court; judgment; state.--The terms ``court'',
``judgment'', and ``State'' have the meanings given those terms
in section 101 of the Servicemembers Civil Relief Act (50
U.S.C. 3911).
(4) Covered period.--The term ``covered period'' means the
period beginning on the date on which a shutdown begins and
ending on the date that is 30 days after the date on which that
shutdown ends.
(5) Federal worker.--The term ``Federal worker''--
(A) means an employee of a Government agency; and
(B) includes an employee of a contractor.
(6) Government agency.--The term ``Government agency''
means each authority of the executive, legislative, or judicial
branch of the Government of the United States.
(7) Shutdown.--The term ``shutdown'' means any period in
which--
(A) there is more than a 24-hour lapse in
appropriations for any Government agency or Federal
department as a result of a failure to enact a regular
appropriations bill or continuing resolution; or
(B) the debt of the United States Government is
greater than the statutory limit under section 3101 of
title 31, United States Code.
SEC. 4. JURISDICTION.
(a) Jurisdiction.--This Act shall apply to--
(1) the United States;
(2) each of the States, including each political
subdivision of a State; and
(3) all territory that is subject to the jurisdiction of
the United States.
(b) Applicability to Proceedings.--This Act--
(1) shall apply to any judicial or administrative
proceeding that is commenced in any court or agency in any
jurisdiction that is subject to this Act; and
(2) shall not apply to criminal proceedings or with respect
to child support payments.
(c) Court in Which Application May Be Made.--When, under this Act,
any application is required to be made to a court in which no
proceeding has already been commenced with respect to a matter, that
application may be made to any court that would otherwise have
jurisdiction over the matter.
(d) Notification.--
(1) In general.--The head of the Government agency that
employs a Federal worker, or at which a Federal worker performs
services, as applicable, shall provide the Federal worker with
written notice regarding the benefits provided under this Act--
(A) on the date on which the individual becomes a
Federal worker; and
(B) periodically after the date described in
subparagraph (A), including on the date on which any
shutdown begins.
(2) Legislative and judicial branch.--With respect to a
Federal worker in a Government agency in the legislative branch
or judicial branch, (or, in the case of a Federal worker who is
an employee of a contractor, who provides services at a
Government agency in the legislative branch or judicial
branch), the officer or employee at the Government agency who
has the final authority to appoint, hire, discharge, and set
the terms, conditions, or privileges of the employment of the
Federal worker shall provide the notice required under
paragraph (1).
SEC. 5. ANTICIPATORY RELIEF.
A Federal worker who is furloughed or required to work without pay
during a shutdown may apply to a court for a temporary stay,
postponement, or suspension with respect to any payment of rent,
mortgage, tax, fine, penalty, insurance premium, student loan
repayment, or other civil obligation or liability that the Federal
worker or individual, as applicable, owes or would owe during the
duration of the shutdown.
SEC. 6. EVICTIONS.
(a) Court-Ordered Eviction.--Except by the order of a court, a
landlord may not, during a shutdown--
(1) evict a Federal worker from premises that are occupied
or intended to be occupied primarily as a residence; or
(2) subject premises described in paragraph (1) to a
distress.
(b) Stay of Execution.--
(1) Court authority.--Upon an application for eviction or
distress with respect to premises described in subsection
(a)(1), a court may, upon motion of the court, and shall, if a
request is made by or on behalf of a Federal worker, the
ability of whom to pay the rent that is the subject of the
action is materially affected by a shutdown--
(A) stay the proceedings for a period of 30 days,
unless, in the opinion of the court, justice and equity
require a longer or shorter period of time; or
(B) adjust the obligation under the lease to
preserve the interests of all parties.
(2) Relief to landlord.--If a court grants a stay under
paragraph (1), the court may grant to the landlord (or other
person with paramount title) such relief as equity may require.
(c) Misdemeanor.--Except as provided in subsection (a), a person
that knowingly takes part in an eviction or distress described in that
subsection, or that knowingly attempts to take part in an eviction or
distress described in that subsection, shall be fined as provided in
title 18, United States Code, or imprisoned for not more than 1 year,
or both.
SEC. 7. MORTGAGE PROTECTION AND FORECLOSURES.
(a) Definition.--In this section, the term ``covered action'' means
an action relating to an obligation--
(1) with respect to real or personal property owned by a
Federal worker; and
(2) that--
(A) originated before the date on which a shutdown
begins;
(B) is in effect on the date on which a shutdown
begins; and
(C) is secured by a mortgage, trust deed, or other
security in the nature of a mortgage.
(b) Stay of Proceedings and Adjustment of Obligation.--If a covered
action is filed in a court during a covered period, the court may,
after a hearing and upon the motion of the court, and shall, upon
application by the Federal worker if the ability of the Federal worker
to comply with the covered obligation is materially affected by the
shutdown--
(1) stay the proceedings for a period of time as justice
and equity require; or
(2) adjust the obligation to preserve the interests of all
parties.
(c) Sale or Foreclosure.--A sale, foreclosure, or seizure of
property for a breach of an obligation described in subsection (a) by a
Federal worker shall not be valid if made during a covered period
except upon the order of a court that is granted before that sale,
foreclosure, or seizure, as applicable, with a return made and approved
by the court.
(d) Misdemeanor.--A person that knowingly makes or causes to be
made a sale, foreclosure, or seizure of property that is prohibited
under subsection (c), or that knowingly attempts to make or cause to be
made a sale, foreclosure, or seizure of property that is prohibited
under that subsection, shall be fined as provided in title 18, United
States Code, or imprisoned for not more than 1 year, or both.
SEC. 8. LIENS.
(a) Liens.--
(1) Definition.--In this subsection, the term ``lien''
includes--
(A) a lien--
(i) for storage, repair, or cleaning of the
property or effects of a Federal worker; and
(ii) on the property or effects described
in clause (i) for any reason other than a
reason described in that clause; and
(B) a loan that a Federal worker has obtained with
respect to a motor vehicle.
(2) Limitation on foreclosure or enforcement.--A person
holding a lien on the property or effects of a Federal worker
may not, during a covered period, foreclose on or enforce that
lien without the order of a court that was issued before the
date on which that foreclosure or enforcement occurs.
(b) Stay of Proceedings.--In a proceeding to foreclose on or
enforce a lien that is subject to this section, a court may, upon the
motion of the court, and shall, if requested by a Federal worker, the
ability of whom to comply with the obligation resulting in the
proceeding is materially affected by a shutdown--
(1) stay the proceeding for a period of time as justice and
equity require; or
(2) adjust the obligation to preserve the interests of all
parties.
(c) Misdemeanor.--A person that knowingly takes an action that
violates this section, or attempts to take an action that violates this
section, shall be fined as provided in title 18, United States Code, or
imprisoned for not more than 1 year, or both.
SEC. 9. STUDENT LOANS.
(a) Definition of Student Loan.--In this section, the term
``student loan'' means the following:
(1) A loan made, insured, or guaranteed under title IV of
the Higher Education Act of 1965 (20 U.S.C. 1070 et seq.),
including any Federal Direct Stafford Loan, Federal Direct
Unsubsidized Stafford Loan, Federal Direct PLUS Loan, or
Federal Direct Consolidation Loan.
(2) A private education loan, as such term is defined in
section 140(a) of the Truth in Lending Act (15 U.S.C. 1650(a)).
(b) Application to Student Loans.--This section shall apply to any
situation in which--
(1) the student loan payment of a Federal worker falls due
or remains unpaid during a shutdown; and
(2) during the shutdown described in paragraph (1), the
Federal worker described in that paragraph has been furloughed
or required to work without pay.
(c) Deferment Eligibility.--During a covered period, a Federal
worker shall be eligible for deferment, during which, with respect to a
student loan, periodic installments of principal need not be paid and
interest shall not accrue.
(d) Limitation on Defaults.--If the student loan payment of a
Federal worker falls due and remains unpaid during a shutdown, the
lender with respect to the student loan may not place the loan in
default without the order of a court.
(e) Limitation on Collections.--If the student loan of a Federal
worker has been placed in default before the date on which a shutdown
begins, the lender with respect to the student loan may not, without
the order of a court, perform any of the following activities during
the covered period with respect to the shutdown:
(1) Send the student loan to collection.
(2) Report adverse information with respect to the Federal
worker to a consumer reporting agency.
(3) Garnish wages, tax refunds, or government benefits.
(f) Court Stay.--In a proceeding to collect a student loan payment
that is subject to this section, a court may, upon the motion of the
court, and shall, if requested by a Federal worker whose ability to
comply with the obligation resulting in the proceeding is materially
affected by a shutdown--
(1) stay the proceeding for a period of time as justice and
equity require; or
(2) adjust the obligation to preserve the interests of all
parties.
(g) Misdemeanor.--A person that knowingly violates this section, or
attempts to violate this section, shall be fined as provided in title
18, United States Code, or imprisoned for not more than 1 year, or
both.
SEC. 10. INCOME TAXES.
(a) Deferral of Tax.--Upon notice to the Internal Revenue Service,
the collection of Federal income tax on the income of a Federal worker
falling due during a shutdown shall be deferred for a period of not
more than 90 days after the date on which the shutdown ends if the
ability of the Federal worker to pay the income tax is materially
affected by the shutdown.
(b) Accrual of Interest or Penalty.--No interest or penalty shall
accrue during the period of deferment under subsection (a) by reason of
nonpayment on any amount of tax deferred under this section.
(c) Statute of Limitations.--The running of a statute of
limitations against the collection of tax deferred under this section,
by seizure or otherwise, shall be suspended for the covered period with
respect to the shutdown to which the collection applies.
(d) Application Limitation.--This section shall not apply to the
tax imposed on employees under section 3101 of the Internal Revenue
Code of 1986.
SEC. 11. INSURANCE PROTECTION.
(a) Definition.--In this section, the term ``covered insurance
policy'' means a policy--
(1) for--
(A) health insurance;
(B) life insurance;
(C) disability insurance; or
(D) motor vehicle insurance; and
(2) that--
(A) a Federal worker enters into before the date on
which a shutdown begins; and
(B) is in effect during a shutdown.
(b) Insurance Protection.--Without the order of a court, a covered
insurance policy shall not lapse or otherwise terminate or be forfeited
because a Federal worker does not pay a premium, or interest or
indebtedness on a premium, under the policy that is due during a
covered period with respect to a shutdown.
SEC. 12. PROTECTION OF RIGHTS.
(a) Exercise of Rights Under Chapter Not To Affect Certain Future
Financial Transactions.--An application by a Federal worker for, or the
receipt by a Federal worker of, a stay, postponement, or suspension
under this Act with respect to the payment of a fine, penalty,
insurance premium, or other civil obligation or liability of that
Federal worker shall not itself (without regard to other
considerations) provide the basis for any of the following:
(1) A determination by a lender or other person that the
Federal worker is unable to pay the civil obligation or
liability, as applicable, in accordance with the terms of the
obligation or liability.
(2) With respect to a credit transaction between a creditor
and the Federal worker--
(A) a denial or revocation of credit by the
creditor;
(B) a change by the creditor in the terms of an
existing credit arrangement; or
(C) a refusal by the creditor to grant credit to
the Federal worker in substantially the amount or on
substantially the terms requested.
(3) An adverse report relating to the creditworthiness of
the Federal worker by or to a person engaged in the practice of
assembling or evaluating consumer credit information.
(4) A refusal by an insurer to insure the Federal worker.
(5) A change in the terms offered or conditions required
for the issuance of insurance.
(b) Reduction or Waiver of Fines or Penalties.--If a Federal worker
fails to perform an obligation arising under a contract and a penalty
is incurred arising from that nonperformance, a court may reduce or
waive the fine or penalty if--
(1) the Federal worker was furloughed or required to work
without pay during a shutdown on the date on which the fine or
penalty was incurred; and
(2) the ability of the Federal worker to perform the
obligation was materially affected by the shutdown described in
paragraph (1).
(c) Court Action Upon Material Affect Determination.--If a court
determines that a Federal worker is materially affected by a shutdown
in complying with a judgment or an order of a court, the court may,
upon the motion of the court, and shall, on application by the Federal
worker--
(1) stay the execution of any judgment or order entered
against the Federal worker; and
(2) vacate or stay an attachment or garnishment of
property, money, or debts in the possession of the Federal
worker or a third party, whether before or after the entry of a
judgment.
(d) Dependents.--Upon application to a court, a dependent of a
Federal worker is entitled to the protections under this Act if the
ability of the dependent to comply with a lease, contract, bailment, or
other obligation is materially affected by reason of the impact of a
shutdown on the Federal worker.
SEC. 13. ENFORCEMENT.
(a) Civil Action.--The Attorney General may commence a civil action
in any appropriate district court of the United States against any
person that engages in--
(1) a pattern or practice of violating this Act; or
(2) a violation of this Act that raises an issue of
significant public importance.
(b) Relief.--In a civil action commenced under subsection (a), a
court may--
(1) grant any appropriate equitable or declaratory relief
with respect to the violation of this Act;
(2) award all other appropriate relief, including monetary
damages, to any person aggrieved by the violation described in
paragraph (1); and
(3) to vindicate the public interest, assess a civil
penalty--
(A) in an amount that is not more than $55,000 for
a first violation; and
(B) in an amount that is not more than $110,000 for
any subsequent violation.
(c) Intervention.--Upon timely application, a person that is
aggrieved by a violation of this Act with respect to which a civil
action is commenced under subsection (a) may--
(1) intervene in the action; and
(2) obtain such appropriate relief as the person could
obtain in a civil action under subsection (d) with respect to
that violation, along with costs and a reasonable attorney fee.
(d) Private Right of Action.--Any person that, after the date of
enactment of this Act, is aggrieved by a violation of this Act may, in
a civil action--
(1) obtain any appropriate equitable or declaratory relief
with respect to the violation; and
(2) recover all other appropriate relief, including
monetary damages.
(e) Costs and Attorney Fees.--A court may award to a person
aggrieved by a violation of this Act that prevails in an action brought
under subsection (d) the costs of the action, including a reasonable
attorney fee.
(f) No Preemption.--Nothing in this section may be construed to
preclude or limit any remedy otherwise available under other law,
including consequential and punitive damages.
<all>
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118HR1302 | Gun Records Restoration and Preservation Act | [
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] | <p><b>Gun Records Restoration and Preservation Act</b></p> <p>This bill amends several appropriations laws to remove limitations on the authority of the Bureau of Alcohol, Tobacco, Firearms and Explosives to conduct activities related to the administration of federal firearms laws.</p> <p>Specifically, the bill removes provisions that</p> <ul> <li>limit the use of firearms tracing data, </li> <li>limit the disclosure of data under the Freedom of Information Act, </li> <li>prohibit imposing a requirement that gun dealers conduct a physical inventory, </li> <li>prohibit consolidating or centralizing records maintained by federal firearm licensees (e.g., gun dealers), and </li> <li>require national instant criminal background check records to be destroyed within 24 hours. </li> </ul> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1302 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1302
To repeal certain impediments to the administration of the firearms
laws.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Ms. Lee of California (for herself, Ms. Bonamici, Mr. Meeks, Mr.
Auchincloss, Ms. Lofgren, Mr. Casten, Mr. Morelle, Mr. Crow, Ms. Titus,
Ms. Norton, Ms. Kamlager-Dove, Mr. Higgins of New York, Mr. Smith of
Washington, Mr. DeSaulnier, Ms. Schakowsky, Ms. Barragan, Mr. Keating,
Ms. Scanlon, Mr. Lynch, Ms. Tlaib, Ms. Kelly of Illinois, Mr. Grijalva,
Mr. Carson, Mr. Blumenauer, and Mr. Frost) introduced the following
bill; which was referred to the Committee on the Judiciary
_______________________________________________________________________
A BILL
To repeal certain impediments to the administration of the firearms
laws.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Gun Records Restoration and
Preservation Act''.
SEC. 2. FINDINGS.
Congress finds as follows:
(1) The Tiahrt Amendments prevent the collection of
valuable information, and the establishment of effective
policies to prevent illegal guns from being used in crimes.
(2) The Tiahrt Amendments impede enforcement of the gun
laws by requiring most background check records to be destroyed
within 24 hours, and by barring the Federal Government from
requiring annual inventory audits by owners of gun shops.
(3) A 2012 study by researchers at Johns Hopkins Bloomberg
School of Public Health found that the Tiahrt Amendments
dramatically increase gun trafficking to the criminal market.
(4) A 2016 study from the University of Pittsburgh Graduate
School of Public Health found that in 2008, 79 percent of all
guns recovered by police from crime scenes belonged to someone
other than the perpetrator--30 percent had been stolen.
(5) A 2020 analysis from the RAND corporation concluded
that the Tiahrt Amendments limit researchers' access to data
that provide important insights, such as--
(A) how guns flow from States with less restrictive
gun laws to States with more restrictive gun laws;
(B) how prohibited purchasers obtain their
firearms;
(C) the characteristics of straw purchases; and
(D) whether more restrictive gun laws create a
shortage of firearms for prohibited purchases.
(6) Every year, more than 165,000 people are shot in the
United States.
(7) 2020 was one of the deadliest years on record for the
United States, with an estimated 21,000 people killed in
firearm homicides or non-suicide related shootings, which is a
33-percent increase over 2019.
(8) In 2020, 62 percent of firearm homicide victims were
Black and 15 percent of firearm homicide victims were Hispanic.
(9) In 2020, the National Tracing Center at the Bureau of
Alcohol, Tobacco, Firearms and Explosives processed 490,800
trace requests on firearms from Federal, State, and local law
enforcement agencies.
(10) Having effective policies to prevent illegal gun
trafficking makes our families and communities safer.
(11) Repealing the Tiahrt Amendments would support law
enforcement efforts and give the public vital information
needed to craft the most effective policies against illegal
guns.
SEC. 3. REPEAL OF CERTAIN LIMITATIONS ON THE USE OF DATABASE
INFORMATION OF THE BUREAU OF ALCOHOL, TOBACCO, FIREARMS
AND EXPLOSIVES.
(a) The matter under the heading ``Bureau of Alcohol, Tobacco,
Firearms and Explosives--Salaries and Expenses'' in title II of
division B of the Consolidated and Further Continuing Appropriations
Act, 2012 (18 U.S.C. 923 note; Public Law 112-55; 125 Stat. 609-610) is
amended by striking the sixth proviso.
(b) The sixth proviso under the heading ``Bureau of Alcohol,
Tobacco, Firearms and Explosives--Salaries and Expenses'' in title II
of division B of the Consolidated Appropriations Act, 2010 (18 U.S.C.
923 note; Public Law 111-117; 123 Stat. 3128-3129) is amended by
striking ``beginning in fiscal year 2010 and thereafter'' and inserting
``in fiscal year 2010''.
(c) The sixth proviso under the heading ``Bureau of Alcohol,
Tobacco, Firearms and Explosives--Salaries and Expenses'' in title II
of division B of the Omnibus Appropriations Act, 2009 (18 U.S.C. 923
note; Public Law 111-8; 123 Stat. 574-576) is amended by striking
``beginning in fiscal year 2009 and thereafter'' and inserting ``in
fiscal year 2009''.
(d) The sixth proviso under the heading ``Bureau of Alcohol,
Tobacco, Firearms and Explosives--Salaries and Expenses'' in title II
of division B of the Consolidated Appropriations Act, 2008 (18 U.S.C.
923 note; Public Law 110-161; 121 Stat. 1903-1904) is amended by
striking ``beginning in fiscal year 2008 and thereafter'' and inserting
``in fiscal year 2008''.
(e) The sixth proviso under the heading ``Bureau of Alcohol,
Tobacco, Firearms and Explosives--Salaries and Expenses'' in title I of
the Science, State, Justice, Commerce, and Related Agencies
Appropriations Act, 2006 (18 U.S.C. 923 note; Public Law 109-108; 119
Stat. 2295-2296) is amended by striking ``with respect to any fiscal
year''.
(f) The sixth proviso under the heading ``Bureau of Alcohol,
Tobacco, Firearms and Explosives--Salaries and Expenses'' in title I of
division B of the Consolidated Appropriations Act, 2005 (18 U.S.C. 923
note; Public Law 108-447; 118 Stat. 2859-2860) is amended by striking
``with respect to any fiscal year''.
SEC. 4. ELIMINATION OF PROHIBITION ON PROCESSING OF FREEDOM OF
INFORMATION ACT REQUESTS ABOUT ARSON OR EXPLOSIVES
INCIDENTS OR FIREARM TRACES.
Section 644 of division J of the Consolidated Appropriations
Resolution, 2003 (5 U.S.C. 552 note; Public Law 108-7; 117 Stat. 473)
is repealed.
SEC. 5. REPEAL OF LIMITATIONS ON IMPOSITION OF REQUIREMENT THAT
FIREARMS DEALERS CONDUCT PHYSICAL CHECK OF FIREARMS
INVENTORY.
The fifth proviso under the heading ``Bureau of Alcohol, Tobacco,
Firearms and Explosives--Salaries and Expenses'' in title II of
division B of the Consolidated and Further Continuing Appropriations
Act, 2013 (18 U.S.C. 923 note; Public Law 113-6; 127 Stat. 248) is
amended by striking ``and any fiscal year thereafter''.
SEC. 6. ELIMINATION OF PROHIBITION ON CONSOLIDATION OR CENTRALIZATION
IN THE DEPARTMENT OF JUSTICE OF FIREARMS ACQUISITION AND
DISPOSITION RECORDS MAINTAINED BY FEDERAL FIREARMS
LICENSEES.
The matter under the heading ``Bureau of Alcohol, Tobacco, Firearms
and Explosives--Salaries and Expenses'' in title II of division B of
the Consolidated and Further Continuing Appropriations Act, 2012 (18
U.S.C. 923 note; Public Law 112-55; 125 Stat. 609) is amended--
(1) by striking the first proviso; and
(2) in the second proviso, by striking ``further''.
SEC. 7. REPEAL OF REQUIREMENT TO DESTROY INSTANT CRIMINAL BACKGROUND
CHECK RECORDS WITHIN 24 HOURS.
Section 511 of the Consolidated and Further Continuing
Appropriations Act, 2012 (34 U.S.C. 40901 note; Public Law 112-55; 125
Stat. 632) is amended--
(1) by striking ``--'' and all that follows through
``(1)''; and
(2) by striking the semicolon and all that follows and
inserting a period.
<all>
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118HR1303 | Cerro de la Olla Wilderness Establishment Act | [
[
"L000273",
"Rep. Leger Fernandez, Teresa [D-NM-3]",
"sponsor"
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[
"S001218",
"Rep. Stansbury, Melanie Ann [D-NM-1]",
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] | <p><b>Cerro de la Olla Wilderness Establishment Act</b></p> <p>This bill designates specified federal land administered by the Bureau of Land Management in Taos County, New Mexico, comprising 12,898 acres in the Rio Grande del Norte National Monument, to be known as the Cerro de la Olla Wilderness.</p> <p>The Department of the Interior shall enter into a cooperative agreement with New Mexico that specifies, subject to certain prohibition provisions under the Wilderness Act, the terms and conditions under which wildlife management activities in the wilderness may be carried out.</p> <p>Subject to such agreement and such prohibition provisions, Interior may authorize the maintenance of any existing structure or facility for wildlife water development projects (including guzzlers) in the wilderness, if </p> <ul> <li>the structure or facility would enhance wilderness values by promoting healthy, viable, and more naturally distributed wildlife populations; and </li> <li>the visual impacts of the structure or facility on the wilderness can reasonably be minimized. </li> </ul> <p>The bill modifies the boundary of the monument. </p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1303 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1303
To amend the John D. Dingell, Jr. Conservation, Management, and
Recreation Act to establish the Cerro de la Olla Wilderness in the Rio
Grande del Norte National Monument and to modify the boundary of the
Rio Grande del Norte National Monument.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Ms. Leger Fernandez (for herself and Ms. Stansbury) introduced the
following bill; which was referred to the Committee on Natural
Resources
_______________________________________________________________________
A BILL
To amend the John D. Dingell, Jr. Conservation, Management, and
Recreation Act to establish the Cerro de la Olla Wilderness in the Rio
Grande del Norte National Monument and to modify the boundary of the
Rio Grande del Norte National Monument.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Cerro de la Olla Wilderness
Establishment Act''.
SEC. 2. DESIGNATION OF CERRO DE LA OLLA WILDERNESS.
(a) In General.--
(1) In general.--Section 1202 of the John D. Dingell, Jr.
Conservation, Management, and Recreation Act (16 U.S.C. 1132
note; Public Law 116-9; 133 Stat. 651) is amended--
(A) in the section heading, by striking ``cerro del
yuta and rio san antonio'' and inserting ``rio grande
del norte national monument'';
(B) in subsection (a), by striking paragraph (1)
and inserting the following:
``(1) Map.--The term `map' means--
``(A) for purposes of subparagraphs (A) and (B) of
subsection (b)(1), the map entitled `Rio Grande del
Norte National Monument Proposed Wilderness Areas' and
dated July 28, 2015; and
``(B) for purposes of subsection (b)(1)(C), the map
entitled `Proposed Cerro de la Olla Wilderness and Rio
Grande del Norte National Monument Boundary' and dated
June 30th, 2022.''; and
(C) in subsection (b)--
(i) in paragraph (1), by adding at the end
the following:
``(C) Cerro de la olla wilderness.--Certain Federal
land administered by the Bureau of Land Management in
Taos County, New Mexico, comprising approximately
12,898 acres as generally depicted on the map, which
shall be known as the `Cerro de la Olla Wilderness'.'';
(ii) in paragraph (4), in the matter
preceding subparagraph (A), by striking ``this
Act'' and inserting ``this Act (including a
reserve common grazing allotment)'';
(iii) in paragraph (7)--
(I) by striking ``map and'' each
place it appears and inserting ``maps
and''; and
(II) in subparagraph (B), by
striking ``the legal description and
map'' and inserting ``the maps or legal
descriptions''; and
(iv) by adding at the end the following:
``(12) Wildlife water development projects in cerro de la
olla wilderness.--
``(A) In general.--Subject to subparagraph (B) and
in accordance with section 4(c) of the Wilderness Act
(16 U.S.C. 1133(c)), the Secretary may authorize the
maintenance of any structure or facility in existence
on the date of enactment of this paragraph for wildlife
water development projects (including guzzlers) in the
Cerro de la Olla Wilderness if, as determined by the
Secretary--
``(i) the structure or facility would
enhance wilderness values by promoting healthy,
viable, and more naturally distributed wildlife
populations; and
``(ii) the visual impacts of the structure
or facility on the Cerro de la Olla Wilderness
can reasonably be minimized.
``(B) Cooperative agreement.--Not later than 1 year
after the date of enactment of this paragraph, the
Secretary shall enter into a cooperative agreement with
the State of New Mexico that specifies, subject to
section 4(c) of the Wilderness Act (16 U.S.C. 1133(c)),
the terms and conditions under which wildlife
management activities in the Cerro de la Olla
Wilderness may be carried out.''.
(2) Clerical amendment.--The table of contents for the John
D. Dingell, Jr. Conservation, Management, and Recreation Act
(Public Law 116-9; 133 Stat. 581) is amended by striking the
item relating to section 1202 and inserting the following:
``Sec. 1202. Rio Grande del Norte National Monument Wilderness
Areas.''.
(b) Rio Grande Del Norte National Monument Boundary Modification.--
The boundary of the Rio Grande del Norte National Monument in the State
of New Mexico is modified, as depicted on the map entitled ``Proposed
Cerro de la Olla Wilderness and Rio Grande del Norte National Monument
Boundary'' and dated June 30th, 2022.
<all>
</pre></body></html>
| [
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"New Mexico",
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118HR1304 | Rio San José and Rio Jemez Water Settlements Act of 2023 | [
[
"L000273",
"Rep. Leger Fernandez, Teresa [D-NM-3]",
"sponsor"
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[
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[
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1304 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1304
To approve the settlement of water rights claims of the Pueblos of
Acoma and Laguna in the Rio San Jose Stream System and the Pueblos of
Jemez and Zia in the Rio Jemez Stream System in the State of New
Mexico, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Ms. Leger Fernandez (for herself, Ms. Stansbury, and Mr. Vasquez)
introduced the following bill; which was referred to the Committee on
Natural Resources
_______________________________________________________________________
A BILL
To approve the settlement of water rights claims of the Pueblos of
Acoma and Laguna in the Rio San Jose Stream System and the Pueblos of
Jemez and Zia in the Rio Jemez Stream System in the State of New
Mexico, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE; TABLE OF CONTENTS.
(a) Short Title.--This Act may be cited as the ``Rio San Jose and
Rio Jemez Water Settlements Act of 2023''.
(b) Table of Contents.--The table of contents for this Act is as
follows:
Sec. 1. Short title; table of contents.
TITLE I--PUEBLOS OF ACOMA AND LAGUNA WATER RIGHTS SETTLEMENT
Sec. 101. Purposes.
Sec. 102. Definitions.
Sec. 103. Ratification of Agreement.
Sec. 104. Pueblo Water Rights.
Sec. 105. Settlement trust funds.
Sec. 106. Funding.
Sec. 107. Enforceability Date.
Sec. 108. Waivers and releases of claims.
Sec. 109. Satisfaction of claims.
Sec. 110. Consent of United States to jurisdiction for judicial review
of a Pueblo Water Right permit decision.
Sec. 111. Miscellaneous provisions.
Sec. 112. Antideficiency.
TITLE II--PUEBLOS OF JEMEZ AND ZIA WATER RIGHTS SETTLEMENT
Sec. 201. Purposes.
Sec. 202. Definitions.
Sec. 203. Ratification of Agreement.
Sec. 204. Pueblo Water Rights.
Sec. 205. Settlement trust funds.
Sec. 206. Funding.
Sec. 207. Enforceability Date.
Sec. 208. Waivers and releases of claims.
Sec. 209. Satisfaction of claims.
Sec. 210. Miscellaneous provisions.
Sec. 211. Antideficiency.
TITLE I--PUEBLOS OF ACOMA AND LAGUNA WATER RIGHTS SETTLEMENT
SEC. 101. PURPOSES.
The purposes of this title are--
(1) to achieve a fair, equitable, and final settlement of
all issues and controversies concerning claims to water rights
in the general stream adjudication of the Rio San Jose Stream
System captioned ``State of New Mexico, ex rel. State Engineer
v. Kerr-McGee, et al.'', No. D-1333-CV-1983-00190 and No. D-
1333-CV1983-00220 (consolidated), pending in the Thirteenth
Judicial District Court for the State of New Mexico, for--
(A) the Pueblo of Acoma;
(B) the Pueblo of Laguna; and
(C) the United States, acting as trustee for the
Pueblos of Acoma and Laguna;
(2) to authorize, ratify, and confirm the agreement entered
into by the Pueblos, the State, and various other parties to
the Agreement, to the extent that the Agreement is consistent
with this title;
(3) to authorize and direct the Secretary--
(A) to execute the Agreement; and
(B) to take any other actions necessary to carry
out the Agreement in accordance with this title; and
(4) to authorize funds necessary for the implementation of
the Agreement and this title.
SEC. 102. DEFINITIONS.
In this title:
(1) Acequia.--The term ``Acequia'' means each of the
Bluewater Toltec Irrigation District, La Acequia Madre del Ojo
del Gallo, Moquino Water Users Association II, Murray Acres
Irrigation Association, San Mateo Irrigation Association,
Seboyeta Community Irrigation Association, Cubero Acequia
Association, Cebolletita Acequia Association, and Community
Ditch of San Jose de la Cienega.
(2) Adjudication.--The term ``Adjudication'' means the
general adjudication of water rights entitled ``State of New
Mexico, ex rel. State Engineer v. Kerr-McGee, et al.'', No. D-
1333-CV-1983-00190 and No. D-1333-CV1983-00220 (consolidated)
pending, as of the date of enactment of this Act, in the Decree
Court.
(3) Agreement.--The term ``Agreement'' means--
(A) the document entitled ``Rio San Jose Stream
System Water Rights Local Settlement Agreement Among
the Pueblo of Acoma, the Pueblo of Laguna, the Navajo
Nation, the State of New Mexico, the City of Grants,
the Village of Milan, the Association of Community
Ditches of the Rio San Jose and Nine Individual
Acequias and Community Ditches'' and dated May 13,
2022, and the attachments thereto; and
(B) any amendment to the document referred to in
subparagraph (A) (including an amendment to an
attachment thereto) that is executed to ensure that the
Agreement is consistent with this title.
(4) Allotment.--The term ``Allotment'' means a parcel of
land that is--
(A) located within--
(i) the Rio Puerco Basin;
(ii) the Rio San Jose Stream System; or
(iii) the Rio Salado Basin; and
(B) held in trust by the United States for the
benefit of 1 or more individual Indians.
(5) Allottee.--The term ``Allottee'' means an individual
with a beneficial interest in an Allotment.
(6) Decree court.--The term ``Decree Court'' means the
Thirteenth Judicial District Court of the State of New Mexico.
(7) Enforceability date.--The term ``Enforceability Date''
means the date described in section 107.
(8) Partial final judgment and decree.--The term ``Partial
Final Judgment and Decree'' means a final or interlocutory
partial final judgment and decree entered by the Decree Court
with respect to the water rights of the Pueblos--
(A) that is substantially in the form described in
article 14.7.2 of the Agreement, as amended to ensure
consistency with this title; and
(B) from which no further appeal may be taken.
(9) Pueblo.--The term ``Pueblo'' means either of--
(A) the Pueblo of Acoma; or
(B) the Pueblo of Laguna.
(10) Pueblo land.--
(A) In general.--The term ``Pueblo Land'' means any
real property--
(i) in the Rio San Jose Stream System that
is held by the United States in trust for
either Pueblo, or owned by either Pueblo, as of
the Enforceability Date;
(ii) in the Rio Salado Basin that is held
by the United States in trust for the Pueblo of
Acoma, or owned by the Pueblo of Acoma, as of
the Enforceability Date; or
(iii) in the Rio Puerco Basin that is held
by the United States in trust for the Pueblo of
Laguna, or owned by the Pueblo of Laguna, as of
the Enforceability Date.
(B) Inclusions.--The term ``Pueblo Land'' includes
land placed in trust with the United States subsequent
to the Enforceability Date for either Pueblo in the Rio
San Jose Stream System, for the Pueblo of Acoma in the
Rio Salado Basin, or for the Pueblo of Laguna in the
Rio Puerco Basin.
(11) Pueblo trust fund.--The term ``Pueblo Trust Fund''
means--
(A) the Pueblo of Acoma Settlement Trust Fund
established by section 105(a);
(B) the Pueblo of Laguna Settlement Trust Fund
established by that section; and
(C) the Acomita Reservoir Works Trust Fund
established by that section.
(12) Pueblo water rights.--The term ``Pueblo Water Rights''
means--
(A) the respective water rights of the Pueblos in
the Rio San Jose Stream System--
(i) as identified in the Agreement and
section 104; and
(ii) as confirmed in the Partial Final
Judgment and Decree;
(B) the water rights of the Pueblo of Acoma in the
Rio Salado Basin; and
(C) the water rights of the Pueblo of Laguna in the
Rio Puerco Basin, as identified in the Agreement and
section 104.
(13) Pueblos.--The term ``Pueblos'' means--
(A) the Pueblo of Acoma; and
(B) the Pueblo of Laguna.
(14) Rio puerco basin.--The term ``Rio Puerco Basin'' means
the area defined by the United States Geological Survey
Hydrologic Unit Codes (HUC) 13020204 (Rio Puerco subbasin) and
13020205 (Arroyo Chico subbasin), including the hydrologically
connected groundwater.
(15) Rio san jose stream system.--The term ``Rio San Jose
Stream System'' means the geographic extent of the area
involved in the Adjudication pursuant to the description filed
in the Decree Court on November 21, 1986.
(16) Rio salado basin.--The term ``Rio Salado Basin'' means
the area defined by the United States Geological Survey
Hydrologic Unit Code (HUC) 13020209 (Rio Salado subbasin),
including the hydrologically connected groundwater.
(17) Secretary.--The term ``Secretary'' means the Secretary
of the Interior.
(18) Signatory acequia.--The term ``Signatory Acequia''
means an acequia that is a signatory to the Agreement.
(19) State.--The term ``State'' means the State of New
Mexico and all officers, agents, departments, and political
subdivisions of the State of New Mexico.
SEC. 103. RATIFICATION OF AGREEMENT.
(a) Ratification.--
(1) In general.--Except as modified by this title and to
the extent the Agreement does not conflict with this title, the
Agreement is authorized, ratified, and confirmed.
(2) Amendments.--If an amendment to the Agreement or any
attachment to the Agreement requiring the signature of the
Secretary is executed in accordance with this title to make the
Agreement consistent with this title, the amendment is
authorized, ratified, and confirmed.
(b) Execution.--
(1) In general.--To the extent the Agreement does not
conflict with this title, the Secretary shall execute the
Agreement, including all attachments to or parts of the
Agreement requiring the signature of the Secretary.
(2) Modifications.--Nothing in this title prohibits the
Secretary, after execution of the Agreement, from approving any
modification to the Agreement, including an attachment to the
Agreement, that is consistent with this title, to the extent
that the modification does not otherwise require congressional
approval under section 2116 of the Revised Statutes (25 U.S.C.
177) or any other applicable provision of Federal law.
(c) Environmental Compliance.--
(1) In general.--In implementing the Agreement and this
title, the Secretary shall comply with--
(A) the Endangered Species Act of 1973 (16 U.S.C.
1531 et seq.);
(B) the National Environmental Policy Act of 1969
(42 U.S.C. 4321 et seq.), including the implementing
regulations of that Act; and
(C) all other applicable Federal environmental laws
and regulations.
(2) Compliance.--
(A) In general.--In implementing the Agreement and
this title, the Pueblos shall prepare any necessary
environmental documents consistent with--
(i) the Endangered Species Act of 1973 (16
U.S.C. 1531 et seq.);
(ii) the National Environmental Policy Act
of 1969 (42 U.S.C. 4321 et seq.), including the
implementing regulations of that Act; and
(iii) all other applicable Federal
environmental laws and regulations.
(B) Authorizations.--The Secretary shall--
(i) independently evaluate the
documentation required under subparagraph (A);
and
(ii) be responsible for the accuracy,
scope, and contents of that documentation.
(3) Effect of execution.--The execution of the Agreement by
the Secretary under this section shall not constitute a major
Federal action under the National Environmental Policy Act of
1969 (42 U.S.C. 4321 et seq.).
(4) Costs.--Any costs associated with the performance of
the compliance activities under subsection (c) shall be paid
from funds deposited in the Pueblo Trust Funds, subject to the
condition that any costs associated with the performance of
Federal approval or other review of such compliance work or
costs associated with inherently Federal functions shall remain
the responsibility of the Secretary.
SEC. 104. PUEBLO WATER RIGHTS.
(a) Trust Status of the Pueblo Water Rights.--The Pueblo Water
Rights shall be held in trust by the United States on behalf of the
Pueblos in accordance with the Agreement and this title.
(b) Forfeiture and Abandonment.--
(1) In general.--The Pueblo Water Rights shall not be
subject to loss through non-use, forfeiture, abandonment, or
other operation of law.
(2) State-law based water rights.--Pursuant to the
Agreement, State-law based water rights acquired by a Pueblo,
or by the United States on behalf of a Pueblo, after the date
for inclusion in the Partial Final Judgment and Decree, shall
not be subject to forfeiture, abandonment, or permanent
alienation from the time they are acquired.
(c) Use.--Any use of the Pueblo Water Rights shall be subject to
the terms and conditions of the Agreement and this title.
(d) Allotment Rights Not Included.--The Pueblo Water Rights shall
not include any water uses or water rights claims on an Allotment.
(e) Authority of the Pueblos.--
(1) In general.--The Pueblos shall have the authority to
allocate, distribute, and lease the Pueblo Water Rights for use
on Pueblo Land in accordance with the Agreement, this title,
and applicable Federal law.
(2) Use off pueblo land.--The Pueblos may allocate,
distribute, and lease the Pueblo Water Rights for use off
Pueblo Land in accordance with the Agreement, this title, and
applicable Federal law, subject to the approval of the
Secretary.
(3) Allottee water rights.--The Pueblos shall not object in
any general stream adjudication, including the Adjudication, or
any other appropriate forum, to the quantification of
reasonable domestic, stock, and irrigation water uses on an
Allotment, and shall administer any water use in accordance
with applicable Federal law, including recognition of--
(A) any water use existing on an Allotment as of
the date of enactment of this Act;
(B) reasonable domestic, stock, and irrigation
water uses on an Allotment; and
(C) any Allotment water right decreed in a general
stream adjudication, including the Adjudication, or
other appropriate forum, for an Allotment.
(f) Administration.--
(1) No alienation.--The Pueblos shall not permanently
alienate any portion of the Pueblo Water Rights.
(2) Purchases or grants of land from indians.--An
authorization provided by this title for the allocation,
distribution, leasing, or other arrangement entered into
pursuant to this title shall be considered to satisfy any
requirement for authorization of the action required by Federal
law.
(3) Prohibition on forfeiture.--The non-use of all or any
portion of the Pueblo Water Rights by any water user shall not
result in the forfeiture, abandonment, relinquishment, or other
loss of all or any portion of the Pueblo Water Rights.
SEC. 105. SETTLEMENT TRUST FUNDS.
(a) Establishment.--The Secretary shall establish 2 trust funds, to
be known as the ``Pueblo of Acoma Settlement Trust Fund'' and the
``Pueblo of Laguna Settlement Trust Fund'', and a trust fund for the
benefit of both Pueblos to be known as the ``Acomita Reservoir Works
Trust Fund'', to be managed, invested, and distributed by the Secretary
and to remain available until expended, withdrawn, or reverted to the
general fund of the Treasury, consisting of the amounts deposited in
the Pueblo Trust Funds under subsection (c), together with any
investment earnings, including interest, earned on those amounts, for
the purpose of carrying out this title.
(b) Accounts.--
(1) Pueblo of acoma settlement trust fund.--The Secretary
shall establish in the Pueblo of Acoma Settlement Trust Fund
the following accounts:
(A) The Water Rights Settlement Account.
(B) The Water Infrastructure Operations and
Maintenance Account.
(C) The Feasibility Studies Settlement Account.
(2) Pueblo of laguna settlement trust fund.--The Secretary
shall establish in the Pueblo of Laguna Settlement Trust Fund
the following accounts:
(A) The Water Rights Settlement Account.
(B) The Water Infrastructure Operations and
Maintenance Account.
(C) The Feasibility Studies Settlement Account.
(c) Deposits.--The Secretary shall deposit in each Pueblo Trust
Fund the amounts made available pursuant to section 106(a).
(d) Management and Interest.--
(1) Management.--On receipt and deposit of funds into the
Pueblo Trust Funds under subsection (c), the Secretary shall
manage, invest, and distribute all amounts in the Pueblo Trust
Funds in a manner that is consistent with the investment
authority of the Secretary under--
(A) the first section of the Act of June 24, 1938
(25 U.S.C. 162a);
(B) the American Indian Trust Fund Management
Reform Act of 1994 (25 U.S.C. 4001 et seq.); and
(C) this subsection.
(2) Investment earnings.--In addition to the deposits made
to each Pueblo Trust Fund under subsection (c), any investment
earnings, including interest, earned on those amounts held in
each Pueblo Trust Fund are authorized to be used in accordance
with subsections (f) and (h).
(e) Availability of Amounts.--
(1) In general.--Amounts appropriated to, and deposited in,
each Pueblo Trust Fund, including any investment earnings
(including interest) earned on those amounts, shall be made
available to the Pueblo or Pueblos by the Secretary beginning
on the Enforceability Date, subject to the requirements of this
section, except for those funds to be made available to the
Pueblos pursuant to paragraph (2).
(2) Use of funds.--Notwithstanding paragraph (1)--
(A) amounts deposited in the Feasibility Studies
Settlement Account of each Pueblo Trust Fund, including
any investment earnings, including interest, earned on
those amounts shall be available to the Pueblo on the
date on which the amounts are deposited for uses
described in subsection (h)(3), and in accordance with
the Agreement;
(B) amounts deposited in the Acomita Reservoir
Works Trust Fund, including any investment earnings,
including interest, earned on those amounts shall be
available to the Pueblos on the date on which the
amounts are deposited for uses described in subsection
(h)(4), and in accordance with the Agreement; and
(C) up to $15,000,000 from the Water Rights
Settlement Account for each Pueblo shall be available
on the date on which the amounts are deposited for
installing, on Pueblo Lands, groundwater wells to meet
immediate domestic, commercial, municipal and
industrial water needs, and associated environmental,
cultural, and historical compliance.
(f) Withdrawals.--
(1) Withdrawals under the american indian trust fund
management reform act of 1994.--
(A) In general.--Each Pueblo may withdraw any
portion of the amounts in its respective Settlement
Trust Fund on approval by the Secretary of a Tribal
management plan submitted by each Pueblo in accordance
with the American Indian Trust Fund Management Reform
Act of 1994 (25 U.S.C. 4001 et seq.).
(B) Requirements.--In addition to the requirements
under the American Indian Trust Fund Management Reform
Act of 1994 (25 U.S.C. 4001 et seq.), the Tribal
management plan under this paragraph shall require that
the appropriate Pueblo shall spend all amounts
withdrawn from each Pueblo Trust Fund, and any
investment earnings (including interest) earned on
those amounts through the investments under the Tribal
management plan, in accordance with this title.
(C) Enforcement.--The Secretary may carry out such
judicial and administrative actions as the Secretary
determines to be necessary to enforce the Tribal
management plan under this paragraph to ensure that
amounts withdrawn by each Pueblo from the Pueblo Trust
Funds under subparagraph (A) are used in accordance
with this title.
(2) Withdrawals under expenditure plan.--
(A) In general.--Each Pueblo may submit to the
Secretary a request to withdraw funds from the Pueblo
Trust Fund of the Pueblo pursuant to an approved
expenditure plan.
(B) Requirements.--To be eligible to withdraw
amounts under an expenditure plan under subparagraph
(A), the appropriate Pueblo shall submit to the
Secretary an expenditure plan for any portion of the
Pueblo Trust Fund that the Pueblo elects to withdraw
pursuant to that subparagraph, subject to the condition
that the amounts shall be used for the purposes
described in this title.
(C) Inclusions.--An expenditure plan under this
paragraph shall include a description of the manner and
purpose for which the amounts proposed to be withdrawn
from the Pueblo Trust Fund will be used by the Pueblo,
in accordance with this subsection and subsection (h).
(D) Approval.--The Secretary shall approve an
expenditure plan submitted under subparagraph (A) if
the Secretary determines that the plan--
(i) is reasonable; and
(ii) is consistent with, and will be used
for, the purposes of this title.
(E) Enforcement.--The Secretary may carry out such
judicial and administrative actions as the Secretary
determines to be necessary to enforce an expenditure
plan to ensure that amounts disbursed under this
paragraph are used in accordance with this title.
(3) Withdrawals from acomita reservoir works trust fund.--
(A) In general.--A Pueblo may submit to the
Secretary a request to withdraw funds from the Acomita
Reservoir Works Trust Fund pursuant to an approved
joint expenditure plan.
(B) Requirements.--
(i) In general.--To be eligible to withdraw
amounts under a joint expenditure plan under
subparagraph (A), the Pueblos shall submit to
the Secretary a joint expenditure plan for any
portion of the Acomita Reservoir Works Trust
Fund that the Pueblos elect to withdraw
pursuant to this subparagraph, subject to the
condition that the amounts shall be used for
the purposes described in subsection (h)(4).
(ii) Written resolution.--Each request to
withdraw amounts under a joint expenditure plan
submitted under clause (i) shall be accompanied
by a written resolution from the Tribal
councils of both Pueblos approving the
requested use and disbursement of funds.
(C) Inclusions.--A joint expenditure plan under
this paragraph shall include a description of the
manner and purpose for which the amounts proposed to be
withdrawn from the Acomita Reservoir Works Trust Fund
will be used by the Pueblo or Pueblos to whom the funds
will be disbursed, in accordance with subsection
(h)(4).
(D) Approval.--The Secretary shall approve a joint
expenditure plan submitted under subparagraph (A) if
the Secretary determines that the plan--
(i) is reasonable; and
(ii) is consistent with, and will be used
for, the purposes of this title.
(E) Enforcement.--The Secretary may carry out such
judicial and administrative actions as the Secretary
determines to be necessary to enforce a joint
expenditure plan to ensure that amounts disbursed under
this paragraph are used in accordance with this title.
(g) Effect of Section.--Nothing in this section gives the Pueblos
the right to judicial review of a determination of the Secretary
relating to whether to approve a Tribal management plan under paragraph
(1) of subsection (f) or an expenditure plan under paragraph (2) or (3)
of that subsection, except under subchapter II of chapter 5, of title
5, United States Code, and chapter 7 of title 5, United States Code
(commonly known as the ``Administrative Procedure Act'').
(h) Uses.--
(1) Water rights settlement account.--The Water Rights
Settlement Account for each Pueblo may only be used for the
following purposes:
(A) Acquiring water rights or water supply.
(B) Planning, permitting, designing, engineering,
constructing, reconstructing, replacing,
rehabilitating, operating, or repairing water
production, treatment, or delivery infrastructure,
including for domestic and municipal use, on-farm
improvements, or wastewater infrastructure.
(C) Pueblo Water Rights management and
administration.
(D) Watershed protection and enhancement, support
of agriculture, water-related Pueblo community welfare
and economic development, and costs relating to
implementation of the Agreement.
(E) Environmental compliance in the development and
construction of infrastructure under this title.
(2) Water infrastructure operations and maintenance trust
account.--The Water Infrastructure Operations and Maintenance
Account for each Pueblo may only be used to pay costs for
operation and maintenance of water infrastructure to serve
Pueblo domestic, commercial, municipal, and industrial water
uses from any water source.
(3) Feasibility studies settlement account.--The
Feasibility Studies Settlement Account for each Pueblo may only
be used to pay costs for feasibility studies of water supply
infrastructure to serve Pueblo domestic, commercial, municipal,
and industrial water uses from any water source.
(4) Acomita reservoir works trust fund.--The Acomita
Reservoir Works Trust Fund may only be used for planning,
permitting, designing, engineering, constructing,
reconstructing, replacing, rehabilitating, maintaining, or
repairing Acomita reservoir, its dam, inlet works, outlet
works, and the North Acomita Ditch from the Acomita Reservoir
outlet on the Pueblo of Acoma through its terminus on the
Pueblo of Laguna.
(i) Liability.--The Secretary and the Secretary of the Treasury
shall not be liable for the expenditure or investment of any amounts
withdrawn from the Pueblo Trust Funds by a Pueblo under paragraph (1),
(2), or (3) of subsection (f).
(j) Expenditure Reports.--Each Pueblo shall annually submit to the
Secretary an expenditure report describing accomplishments and amounts
spent from use of withdrawals under a Tribal management plan or an
expenditure plan under paragraph (1), (2), or (3) of subsection (f), as
applicable.
(k) No Per Capita Distributions.--No portion of the Pueblo Trust
Funds shall be distributed on a per capita basis to any member of a
Pueblo.
(l) Title to Infrastructure.--Title to, control over, and operation
of any project constructed using funds from the Pueblo Trust Funds
shall remain in the appropriate Pueblo or Pueblos.
(m) Operation, Maintenance, and Replacement.--All operation,
maintenance, and replacement costs of any project constructed using
funds from the Pueblo Trust Funds shall be the responsibility of the
appropriate Pueblo or Pueblos.
SEC. 106. FUNDING.
(a) Mandatory Appropriations.--Out of any money in the Treasury not
otherwise appropriated, the Secretary of the Treasury shall transfer to
the Secretary the following amounts for the following accounts:
(1) Pueblo of acoma settlement trust fund.--
(A) The water rights settlement account.--
$296,000,000, to remain available until expended,
withdrawn, or reverted to the general fund of the
Treasury.
(B) The water infrastructure operations and
maintenance account.--$14,000,000, to remain available
until expended, withdrawn, or reverted to the general
fund of the Treasury.
(C) The feasibility studies settlement account.--
$1,750,000, to remain available until expended,
withdrawn, or reverted to the general fund of the
Treasury.
(2) Pueblo of laguna settlement trust fund.--
(A) The water rights settlement account.--
$464,000,000, to remain available until expended,
withdrawn, or reverted to the general fund of the
Treasury.
(B) The water infrastructure operations and
maintenance account.--$26,000,000, to remain available
until expended, withdrawn, or reverted to the general
fund of the Treasury.
(C) The feasibility studies settlement account.--
$3,250,000, to remain available until expended,
withdrawn, or reverted to the general fund of the
Treasury.
(3) Acomita reservoir works trust fund.--$45,000,000, to
remain available until expended, withdrawn, or reverted to the
general fund of the Treasury.
(b) Fluctuations in Costs.--
(1) In general.--The amounts appropriated under subsection
(a) shall be increased or decreased, as appropriate, by such
amounts as may be justified by reason of ordinary fluctuations
in costs, as indicated by the Bureau of Reclamation
Construction Cost Index-Composite Trend.
(2) Construction costs adjustment.--The amounts
appropriated under subsection (a) shall be adjusted to address
construction cost changes necessary to account for unforeseen
market volatility that may not otherwise be captured by
engineering cost indices, as determined by the Secretary,
including repricing applicable to the types of construction and
current industry standards involved.
(3) Repetition.--The adjustment process under this
subsection shall be repeated for each subsequent amount
appropriated until the applicable amount, as adjusted, has been
appropriated.
(4) Period of indexing.--The period of indexing and
adjustment under this subsection for any increment of funding
shall start on October 1, 2021, and shall end on the date on
which funds are deposited in the applicable Pueblo Trust Fund.
(c) State Cost Share.--Pursuant to the Agreement, the State shall
contribute--
(1) $23,500,000, as adjusted for inflation pursuant to the
Agreement, for the Joint Grants-Milan Project for Water Re-Use,
Water Conservation and Augmentation of the Rio San Jose, the
Village of Milan Projects Fund, and the City of Grants Projects
Fund;
(2) $12,000,000, as adjusted for the inflation pursuant to
the Agreement, for Signatory Acequias Projects and Offset
Projects Fund for the Association of Community Ditches of the
Rio San Jose; and
(3) $500,000, as adjusted for inflation pursuant to the
Agreement, to mitigate impairment to non-Pueblo domestic and
livestock groundwater rights as a result of new Pueblo water
use.
SEC. 107. ENFORCEABILITY DATE.
The Enforceability Date shall be the date on which the Secretary
publishes in the Federal Register a statement of findings that--
(1) to the extent that the Agreement conflicts with this
title, the Agreement has been amended to conform with this
title;
(2) the Agreement, as amended, has been executed by all
parties to the Agreement, including the United States;
(3) all of the amounts appropriated under section 106 have
been appropriated and deposited in the designated accounts of
the Pueblo Trust Fund;
(4) the State has--
(A) provided the funding under section 106(c)(3)
into appropriate funding accounts;
(B) provided the funding under paragraphs (1) and
(2) of section 106(c) into appropriate funding accounts
or entered into funding agreements with the intended
beneficiaries for funding under those paragraphs of
that section; and
(C) enacted legislation to amend State law to
provide that a Pueblo Water Right may be leased for a
term not to exceed 99 years, including renewals;
(5) the Decree Court has approved the Agreement and has
entered a Partial Final Judgment and Decree; and
(6) the waivers and releases under section 108 have been
executed by the Pueblos and the Secretary.
SEC. 108. WAIVERS AND RELEASES OF CLAIMS.
(a) Waivers and Releases of Claims by Pueblos and the United States
as Trustee for Pueblos.--Subject to the reservation of rights and
retention of claims under subsection (d), as consideration for
recognition of the Pueblo Water Rights and other benefits described in
the Agreement and this title, the Pueblos and the United States, acting
as trustee for the Pueblos, shall execute a waiver and release of all
claims for--
(1) water rights within the Rio San Jose Stream System that
the Pueblos, or the United States acting as trustee for the
Pueblos, asserted or could have asserted in any proceeding,
including the Adjudication, on or before the Enforceability
Date, except to the extent that such rights are recognized in
the Agreement and this title; and
(2) damages, losses, or injuries to water rights or claims
of interference with, diversion of, or taking of water rights
(including claims for injury to land resulting from such
damages, losses, injuries, interference with, diversion, or
taking of water rights) in waters in the Rio San Jose Stream
System against any party to the Agreement, including the
members and parciantes of Signatory Acequias, that accrued at
any time up to and including the Enforceability Date.
(b) Waivers and Releases of Claims by Pueblos Against United
States.--Subject to the reservation of rights and retention of claims
under subsection (d), the Pueblos shall execute a waiver and release of
all claims against the United States (including any agency or employee
of the United States) first arising before the Enforceability Date
relating to--
(1) water rights within the Rio San Jose Stream System that
the United States, acting as trustee for the Pueblos, asserted
or could have asserted in any proceeding, including the
Adjudication, except to the extent that such rights are
recognized as part of the Pueblo Water Rights under this title;
(2) foregone benefits from non-Pueblo use of water, on and
off Pueblo Land (including water from all sources and for all
uses), within the Rio San Jose Stream System;
(3) damage, loss, or injury to water, water rights, land,
or natural resources due to loss of water or water rights
(including damages, losses, or injuries to hunting, fishing,
gathering, or cultural rights due to loss of water or water
rights, claims relating to interference with, diversion of, or
taking of water, or claims relating to a failure to protect,
acquire, replace, or develop water, water rights, or water
infrastructure) within the Rio San Jose Stream System;
(4) a failure to provide operation, maintenance, or
deferred maintenance for any irrigation system or irrigation
project within the Rio San Jose Stream System;
(5) a failure to establish or provide a municipal, rural,
or industrial water delivery system on Pueblo Land within the
Rio San Jose Stream System;
(6) damage, loss, or injury to water, water rights, land,
or natural resources due to construction, operation, and
management of irrigation projects on Pueblo Land (including
damages, losses, or injuries to fish habitat, wildlife, and
wildlife habitat) within the Rio San Jose Stream System;
(7) a failure to provide a dam safety improvement to a dam
on Pueblo Land within the Rio San Jose Stream System;
(8) the litigation of claims relating to any water right of
the Pueblos within the Rio San Jose Stream System; and
(9) the negotiation, execution, or adoption of the
Agreement (including attachments) and this title.
(c) Effective Date.--The waivers and releases described in
subsections (a) and (b) shall take effect on the Enforceability Date.
(d) Reservation of Rights and Retention of Claims.--Notwithstanding
the waivers and releases under subsections (a) and (b), the Pueblos and
the United States, acting as trustee for the Pueblos, shall retain all
claims relating to--
(1) the enforcement of, or claims accruing after the
Enforceability Date relating to, water rights recognized under
the Agreement, this title, or the Partial Final Judgment and
Decree entered in the Adjudication;
(2) activities affecting the quality of water and the
environment, including claims under--
(A) the Comprehensive Environmental Response,
Compensation and Liability Act of 1980 (42 U.S.C. 9601
et seq.), including claims for damages to natural
resources;
(B) the Safe Drinking Water Act (42 U.S.C. 300f et
seq.);
(C) the Federal Water Pollution Control Act (33
U.S.C. 1251 et seq.) (commonly referred to as the
``Clean Water Act''); and
(D) any regulations implementing the Acts described
in subparagraphs (A) through (C);
(3) the right to use and protect water rights acquired
after the date of enactment of this Act;
(4) damage, loss, or injury to land or natural resources
that is not due to loss of water or water rights, including
hunting, fishing, gathering, or cultural rights;
(5) all claims for water rights, and claims for injury to
water rights, in basins other than the Rio San Jose Stream
System, subject to article 8.5 of the Agreement with respect to
the claims of the Pueblo of Laguna for water rights in the Rio
Puerco Basin and the claims of the Pueblo of Acoma for water
rights in the Rio Salado Basin;
(6) all claims relating to the Jackpile-Paguate Uranium
Mine in the State that are not due to loss of water or water
rights; and
(7) all rights, remedies, privileges, immunities, powers,
and claims not specifically waived and released pursuant to
this title or the Agreement.
(e) Effect of Agreement and Title.--Nothing in the Agreement or
this title--
(1) reduces or extends the sovereignty (including civil and
criminal jurisdiction) of any government entity, except as
provided in section 110;
(2) affects the ability of the United States, as a
sovereign, to carry out any activity authorized by law,
including--
(A) the Comprehensive Environmental Response,
Compensation, and Liability Act of 1980 (42 U.S.C. 9601
et seq.);
(B) the Safe Drinking Water Act (42 U.S.C. 300f et
seq.);
(C) the Federal Water Pollution Control Act (33
U.S.C. 1251 et seq.) (commonly referred to as the
``Clean Water Act'');
(D) the Solid Waste Disposal Act (42 U.S.C. 6901 et
seq.); and
(E) any regulations implementing the Acts described
in subparagraphs (A) through (D);
(3) affects the ability of the United States to act as
trustee for the Pueblos (consistent with this title), any other
pueblo or Indian Tribe, or an Allottee of any Indian Tribe;
(4) confers jurisdiction on any State court--
(A) to interpret Federal law relating to health,
safety, or the environment;
(B) to determine the duties of the United States or
any other party under Federal law regarding health,
safety, or the environment; or
(C) to conduct judicial review of any Federal
agency action; or
(5) waives any claim of a member of a Pueblo in an
individual capacity that does not derive from a right of the
Pueblos.
(f) Tolling of Claims.--
(1) In general.--Each applicable period of limitation and
time-based equitable defense relating to a claim described in
this section shall be tolled for the period beginning on the
date of enactment of this Act and ending on the Enforceability
Date.
(2) Effect of subsection.--Nothing in this subsection
revives any claim or tolls any period of limitation or time-
based equitable defense that expired before the date of
enactment of this Act.
(3) Limitation.--Nothing in this section precludes the
tolling of any period of limitation or any time-based equitable
defense under any other applicable law.
(g) Expiration.--
(1) In general.--This title shall expire in any case in
which the Secretary fails to publish a statement of findings
under section 107 by not later than--
(A) July 1, 2030; or
(B) such alternative later date as is agreed to by
the Pueblos and the Secretary, after providing
reasonable notice to the State.
(2) Consequences.--If this title expires under paragraph
(1)--
(A) the waivers and releases under subsections (a)
and (b) shall--
(i) expire; and
(ii) have no further force or effect;
(B) the authorization, ratification, confirmation,
and execution of the Agreement under section 103 shall
no longer be effective;
(C) any action carried out by the Secretary, and
any contract or agreement entered into, pursuant to
this title shall be void;
(D) any unexpended Federal funds appropriated or
made available to carry out the activities authorized
by this title, together with any interest earned on
those funds, and any water rights or contracts to use
water and title to other property acquired or
constructed with Federal funds appropriated or made
available to carry out the activities authorized by
this title, shall be returned to the Federal
Government, unless otherwise agreed to by the Pueblos
and the United States and approved by Congress; and
(E) except for Federal funds used to acquire or
construct property that is returned to the Federal
Government under subparagraph (D), the United States
shall be entitled to offset any Federal funds made
available to carry out this title that were expended or
withdrawn, or any funds made available to carry out
this title from other Federal authorized sources,
together with any interest accrued on those funds,
against any claims against the United States--
(i) relating to--
(I) water rights in the State
asserted by--
(aa) the Pueblos; or
(bb) any user of the Pueblo
Water Rights; or
(II) any other matter covered by
subsection (b); or
(ii) in any future settlement of water
rights of the Pueblos.
SEC. 109. SATISFACTION OF CLAIMS.
The benefits provided under this title shall be in complete
replacement of, complete substitution for, and full satisfaction of any
claim of the Pueblos against the United States that are waived and
released by the Pueblos pursuant to section 108(b).
SEC. 110. CONSENT OF UNITED STATES TO JURISDICTION FOR JUDICIAL REVIEW
OF A PUEBLO WATER RIGHT PERMIT DECISION.
(a) Consent.--On the Enforceability Date, the consent of the United
States is hereby given, with the consent of each Pueblo under article
11.5 of the Agreement, to jurisdiction in the District Court for the
Thirteenth Judicial District of the State of New Mexico, and in the New
Mexico Court of Appeals and the New Mexico Supreme Court on appeal
therefrom in the same manner as provided under New Mexico law, over an
action filed in such District Court by any party to a Pueblo Water
Rights Permit administrative proceeding under article 11.4 of the
Agreement for the limited and sole purpose of judicial review of a
Pueblo Water Right Permit decision under article 11.5 of the Agreement.
(b) Limitation.--The consent of the United States under this title
is limited to judicial review, based on the record developed through
the administrative process of the Pueblo, under a standard of judicial
review limited to determining whether the Pueblo decision on the
application for Pueblo Water Right Permit--
(1) is supported by substantial evidence;
(2) is not arbitrary, capricious, or contrary to law;
(3) is not in accordance with this Agreement or the Partial
Final Judgment and Decree; or
(4) shows that the Pueblo acted fraudulently or outside the
scope of its authority.
(c) Pueblo Water Code and Interpretation.--
(1) In general.--Pueblo Water Code or Pueblo Water Law
provisions that meet the requirements of article 11 of the
Agreement shall be given full faith and credit in any
proceeding described in this section.
(2) Provisions of the pueblo water code.--To the extent
that a State court conducting judicial review under this
section must interpret provisions of Pueblo law that are not
express provisions of the Pueblo Water Code, the State court
shall certify the question of interpretation to the Pueblo
court.
(3) No certification.--Any issues of interpretation of
standards in article 11.6 of the Agreement are not subject to
certification.
(4) Limitation.--Nothing in this section limits the
jurisdiction of the Decree Court to interpret and enforce the
Agreement.
SEC. 111. MISCELLANEOUS PROVISIONS.
(a) No Waiver of Sovereign Immunity by the United States.--Nothing
in this title waives the sovereign immunity of the United States.
(b) Other Tribes Not Adversely Affected.--Nothing in this title
quantifies or diminishes any land or water right, or any claim or
entitlement to land or water, of an Indian Tribe, band, or community
other than the Pueblos.
(c) Allottees Not Adversely Affected.--Nothing in this title
quantifies or diminishes any water right, or any claim or entitlement
to water, of an Allottee.
(d) Effect on Current Law.--Nothing in this title affects any
provision of law (including regulations) in effect on the day before
the date of enactment of this Act with respect to pre-enforcement
review of any Federal environmental enforcement action.
(e) Conflict.--In the event of a conflict between the Agreement and
this title, this title shall control.
SEC. 112. ANTIDEFICIENCY.
The United States shall not be liable for any failure to carry out
any obligation or activity authorized by this title, including any
obligation or activity under the Agreement, if adequate appropriations
are not provided expressly by Congress to carry out the purposes of
this title.
TITLE II--PUEBLOS OF JEMEZ AND ZIA WATER RIGHTS SETTLEMENT
SEC. 201. PURPOSES.
The purposes of this title are--
(1) to achieve a fair, equitable, and final settlement of
all claims to water rights in the Jemez River Stream System in
the State of New Mexico for--
(A) the Pueblo of Jemez;
(B) the Pueblo of Zia; and
(C) the United States, acting as trustee for the
Pueblos of Jemez and Zia;
(2) to authorize, ratify, and confirm the Agreement entered
into by the Pueblos, the State, and various other parties to
the extent that the Agreement is consistent with this title;
(3) to authorize and direct the Secretary--
(A) to execute the Agreement; and
(B) to take any other actions necessary to carry
out the Agreement in accordance with this title; and
(4) to authorize funds necessary for the implementation of
the Agreement and this title.
SEC. 202. DEFINITIONS.
In this title:
(1) Adjudication.--The term ``Adjudication'' means the
adjudication of water rights pending before the United States
District Court for the District of New Mexico: United States of
America, on its own behalf, and on behalf of the Pueblos of
Jemez, Santa Ana, and Zia, State of New Mexico, ex rel. State
Engineer, Plaintiffs, and Pueblos of Jemez, Santa Ana, and Zia,
Plaintiffs-in-Intervention v. Tom Abousleman, et al.,
Defendants, Civil No. 83-cv-01041 (KR).
(2) Agreement.--The term ``Agreement'' means--
(A) the document entitled ``Pueblos of Jemez and
Zia Water Rights Settlement Agreement'' and dated May
11, 2022, and the appendices and exhibits attached
thereto; and
(B) any amendment to the document referred to in
subparagraph (A) (including an amendment to an appendix
or exhibit) that is executed to ensure that the
Agreement is consistent with this title.
(3) Enforceability date.--The term ``Enforceability Date''
means the date described in section 207.
(4) Jemez river stream system.--The term ``Jemez River
Stream System'' means the geographic extent of the area
involved in the Adjudication.
(5) Partial final judgment and decree.--The term ``Partial
Final Judgment and Decree'' means a final or interlocutory
partial final judgment and decree entered by the United States
District Court for the District of New Mexico with respect to
the water rights of the Pueblos--
(A) that is substantially in the form described in
the Agreement, as amended to ensure consistency with
this title; and
(B) from which no further appeal may be taken.
(6) Pueblo.--The term ``Pueblo'' means either of--
(A) the Pueblo of Jemez; or
(B) the Pueblo of Zia.
(7) Pueblo land.--The term ``Pueblo Land'' means any real
property that is--
(A) held by the United States in trust for a Pueblo
within the Jemez River Stream System;
(B) owned by a Pueblo within the Jemez River Stream
System before the date on which a court approves the
Agreement; or
(C) acquired by a Pueblo on or after the date on
which a court approves the Agreement if the real
property--
(i) is located within the exterior
boundaries of the Pueblo, as recognized and
confirmed by a patent issued under the Act of
December 22, 1858 (11 Stat. 374, chapter V);
(ii) is located within the exterior
boundaries of any territory set aside for a
Pueblo by law, executive order, or court
decree;
(iii) is owned by a Pueblo or held by the
United States in trust for the benefit of a
Pueblo outside the Jemez River Stream System
that is located within the exterior boundaries
of the Pueblo, as recognized and confirmed by a
patent issued under the Act of December 22,
1858 (11 Stat. 374, chapter V); or
(iv) is located within the exterior
boundaries of any real property located outside
the Jemez River Stream System set aside for a
Pueblo by law, executive order, or court decree
if the land is within or contiguous to land
held by the United States in trust for the
Pueblo as of June 1, 2022.
(8) Pueblo trust fund.--The term ``Pueblo Trust Fund''
means--
(A) the Pueblo of Jemez Settlement Trust Fund
established under section 205(a); and
(B) the Pueblo of Zia Settlement Trust Fund
established under that section.
(9) Pueblo water rights.--The term ``Pueblo Water Rights''
means the respective water rights of the Pueblos--
(A) as identified in the Agreement and section 204;
and
(B) as confirmed in the Partial Final Judgment and
Decree.
(10) Pueblos.--The term ``Pueblos'' means--
(A) the Pueblo of Jemez; and
(B) the Pueblo of Zia.
(11) Secretary.--The term ``Secretary'' means the Secretary
of the Interior.
(12) State.--The term ``State'' means the State of New
Mexico and all officers, agents, departments, and political
subdivisions of the State of New Mexico.
SEC. 203. RATIFICATION OF AGREEMENT.
(a) Ratification.--
(1) In general.--Except as modified by this title and to
the extent that the Agreement does not conflict with this
title, the Agreement is authorized, ratified, and confirmed.
(2) Amendments.--If an amendment to the Agreement, or to
any appendix or exhibit attached to the Agreement requiring the
signature of the Secretary, is executed in accordance with this
title to make the Agreement consistent with this title, the
amendment is authorized, ratified, and confirmed.
(b) Execution.--
(1) In general.--To the extent the Agreement does not
conflict with this title, the Secretary shall execute the
Agreement, including all appendices or exhibits to, or parts
of, the Agreement requiring the signature of the Secretary.
(2) Modifications.--Nothing in this title prohibits the
Secretary, after execution of the Agreement, from approving any
modification to the Agreement, including an appendix or exhibit
to the Agreement, that is consistent with this title, to the
extent that the modification does not otherwise require
congressional approval under section 2116 of the Revised
Statutes (25 U.S.C. 177) or any other applicable provision of
Federal law.
(c) Environmental Compliance.--
(1) In general.--In implementing the Agreement and this
title, the Secretary shall comply with--
(A) the Endangered Species Act of 1973 (16 U.S.C.
1531 et seq.);
(B) the National Environmental Policy Act of 1969
(42 U.S.C. 4321 et seq.), including the implementing
regulations of that Act; and
(C) all other applicable Federal environmental laws
and regulations.
(2) Compliance.--
(A) In general.--In implementing the Agreement and
this title, the Pueblos shall prepare any necessary
environmental documents, consistent with--
(i) the Endangered Species Act of 1973 (16
U.S.C. 1531 et seq.);
(ii) the National Environmental Policy Act
of 1969 (42 U.S.C. 4321 et seq.), including the
implementing regulations of that Act; and
(iii) all other applicable Federal
environmental laws and regulations.
(B) Authorizations.--The Secretary shall--
(i) independently evaluate the
documentation required under subparagraph (A);
and
(ii) be responsible for the accuracy,
scope, and contents of that documentation.
(3) Effect of execution.--The execution of the Agreement by
the Secretary under this section shall not constitute a major
Federal action under the National Environmental Policy Act of
1969 (42 U.S.C. 4321 et seq.).
(4) Costs.--Any costs associated with the performance of
the compliance activities under this subsection shall be paid
from funds deposited in the Pueblo Trust Funds, subject to the
condition that any costs associated with the performance of
Federal approval or other review of such compliance work or
costs associated with inherently Federal functions shall remain
the responsibility of the Secretary.
SEC. 204. PUEBLO WATER RIGHTS.
(a) Trust Status of the Pueblo Water Rights.--The Pueblo Water
Rights shall be held in trust by the United States on behalf of the
Pueblos in accordance with the Agreement and this title.
(b) Forfeiture and Abandonment.--
(1) In general.--The Pueblo Water Rights shall not be
subject to loss through non-use, forfeiture, abandonment, or
other operation of law.
(2) State-law based water rights.--State-law based water
rights acquired by a Pueblo, or by the United States on behalf
of a Pueblo, after the date for inclusion in the Partial Final
Judgment and Decree, shall not be subject to forfeiture,
abandonment, or permanent alienation from the time they are
acquired.
(c) Use.--Any use of the Pueblo Water Rights shall be subject to
the terms and conditions of the Agreement and this title.
(d) Authority of the Pueblos.--
(1) In general.--The Pueblos shall have the authority to
allocate, distribute, and lease the Pueblo Water Rights for use
on Pueblo Land in accordance with the Agreement, this title,
and applicable Federal law.
(2) Use off pueblo land.--The Pueblos may allocate,
distribute, and lease the Pueblo Water Rights for use off
Pueblo Land in accordance with the Agreement, this title, and
applicable Federal law, subject to the approval of the
Secretary.
(e) Administration.--
(1) No alienation.--The Pueblos shall not permanently
alienate any portion of the Pueblo Water Rights.
(2) Purchases or grants of land from indians.--An
authorization provided by this title for the allocation,
distribution, leasing, or other arrangement entered into
pursuant to this title shall be considered to satisfy any
requirement for authorization of the action required by Federal
law.
(3) Prohibition on forfeiture.--The non-use of all or any
portion of the Pueblo Water Rights by any water user shall not
result in the forfeiture, abandonment, relinquishment, or other
loss of all or any portion of the Pueblo Water Rights.
SEC. 205. SETTLEMENT TRUST FUNDS.
(a) Establishment.--The Secretary shall establish 2 trust funds, to
be known as the ``Pueblo of Jemez Settlement Trust Fund'' and the
``Pueblo of Zia Settlement Trust Fund'', to be managed, invested, and
distributed by the Secretary and to remain available until expended,
withdrawn, or reverted to the general fund of the Treasury, consisting
of the amounts deposited in the Pueblo Trust Funds under subsection
(b), together with any investment earnings, including interest, earned
on those amounts for the purpose of carrying out this title.
(b) Deposits.--The Secretary shall deposit in each Pueblo Trust
Fund the amounts made available pursuant to section 206(a).
(c) Management and Interest.--
(1) Management.--On receipt and deposit of funds into the
Pueblo Trust Funds under subsection (b), the Secretary shall
manage, invest, and distribute all amounts in the Pueblo Trust
Funds in a manner that is consistent with the investment
authority of the Secretary under--
(A) the first section of the Act of June 24, 1938
(25 U.S.C. 162a);
(B) the American Indian Trust Fund Management
Reform Act of 1994 (25 U.S.C. 4001 et seq.); and
(C) this subsection.
(2) Investment earnings.--In addition to the deposits made
to each Pueblo Trust Fund under subsection (b), any investment
earnings, including interest, earned on those amounts held in
each Pueblo Trust Fund are authorized to be used in accordance
with subsections (e) and (g).
(d) Availability of Amounts.--
(1) In general.--Amounts appropriated to, and deposited in,
each Pueblo Trust Fund, including any investment earnings
(including interest) earned on those amounts, shall be made
available to each Pueblo by the Secretary beginning on the
Enforceability Date, subject to the requirements of this
section, except for funds to be made available to the Pueblos
pursuant to paragraph (2).
(2) Use of funds.--Notwithstanding paragraph (1),
$25,000,000 of the amounts deposited in each Pueblo Trust Fund
shall be available to the appropriate Pueblo for--
(A) developing economic water development plans;
(B) preparing environmental compliance documents;
(C) preparing water project engineering designs;
(D) establishing and operating a water resource
department;
(E) installing supplemental irrigation groundwater
wells; and
(F) developing water measurement and reporting
water use plans.
(e) Withdrawals.--
(1) Withdrawals under the american indian trust fund
management reform act of 1994.--
(A) In general.--Each Pueblo may withdraw any
portion of the amounts in the Pueblo Trust Fund on
approval by the Secretary of a Tribal management plan
submitted by the Pueblo in accordance with the American
Indian Trust Fund Management Reform Act of 1994 (25
U.S.C. 4001 et seq.).
(B) Requirements.--In addition to the requirements
under the American Indian Trust Fund Management Reform
Act of 1994 (25 U.S.C. 4001 et seq.), the Tribal
management plan under this paragraph shall require that
the appropriate Pueblo shall spend all amounts
withdrawn from each Pueblo Trust Fund, and any
investment earnings (including interest) earned on
those amounts through the investments under the Tribal
management plan, in accordance with this title.
(C) Enforcement.--The Secretary may carry out such
judicial and administrative actions as the Secretary
determines to be necessary to enforce the Tribal
management plan under this paragraph to ensure that
amounts withdrawn by each Pueblo from the Pueblo Trust
Fund of the Pueblo under subparagraph (A) are used in
accordance with this title.
(2) Withdrawals under expenditure plan.--
(A) In general.--Each Pueblo may submit to the
Secretary a request to withdraw funds from the Pueblo
Trust Fund of the Pueblo pursuant to an approved
expenditure plan.
(B) Requirements.--To be eligible to withdraw
amounts under an expenditure plan under subparagraph
(A), each Pueblo shall submit to the Secretary an
expenditure plan for any portion of the Pueblo Trust
Fund that the Pueblo elects to withdraw pursuant to
that subparagraph, subject to the condition that the
amounts shall be used for the purposes described in
this title.
(C) Inclusions.--An expenditure plan under this
paragraph shall include a description of the manner and
purpose for which the amounts proposed to be withdrawn
from the Pueblo Trust Fund will be used by the Pueblo,
in accordance with this subsection and subsection (g).
(D) Approval.--The Secretary shall approve an
expenditure plan submitted under subparagraph (A) if
the Secretary determines that the plan--
(i) is reasonable; and
(ii) is consistent with, and will be used
for, the purposes of this title.
(E) Enforcement.--The Secretary may carry out such
judicial and administrative actions as the Secretary
determines to be necessary to enforce an expenditure
plan to ensure that amounts disbursed under this
paragraph are used in accordance with this title.
(f) Effect of Section.--Nothing in this section gives the Pueblos
the right to judicial review of a determination of the Secretary
relating to whether to approve a Tribal management plan under paragraph
(1) of subsection (e) or an expenditure plan under paragraph (2) of
that subsection except under subchapter II of chapter 5, and chapter 7,
of title 5, United States Code (commonly known as the ``Administrative
Procedure Act'').
(g) Uses.--Amounts from a Pueblo Trust Fund may only be used by the
appropriate Pueblo for the following purposes:
(1) Planning, permitting, designing, engineering,
constructing, reconstructing, replacing, rehabilitating,
operating, or repairing water production, treatment, or
delivery infrastructure, including for domestic and municipal
use, on-farm improvements, or wastewater infrastructure.
(2) Watershed protection and enhancement, support of
agriculture, water-related Pueblo community welfare and
economic development, and costs related to implementation of
the Agreement.
(3) Planning, permitting, designing, engineering,
construction, reconstructing, replacing, rehabilitating,
operating, or repairing water production of delivery
infrastructure of the Augmentation Project, as set forth in the
Agreement.
(4) Ensuring environmental compliance in the development
and construction of projects under this title.
(5) The management and administration of the Pueblo Water
Rights.
(h) Liability.--The Secretary and the Secretary of the Treasury
shall not be liable for the expenditure or investment of any amounts
withdrawn from a Pueblo Trust Fund by a Pueblo under paragraph (1) or
(2) of subsection (e).
(i) Expenditure Reports.--Each Pueblo shall annually submit to the
Secretary an expenditure report describing accomplishments and amounts
spent from use of withdrawals under a Tribal management plan or an
expenditure plan under paragraph (1) or (2) of subsection (e), as
applicable.
(j) No Per Capita Distributions.--No portion of a Pueblo Trust Fund
shall be distributed on a per capita basis to any member of a Pueblo.
(k) Title to Infrastructure.--Title to, control over, and operation
of any project constructed using funds from a Pueblo Trust Fund shall
remain in the appropriate Pueblo.
(l) Operation, Maintenance, and Replacement.--All operation,
maintenance, and replacement costs of any project constructed using
funds from a Pueblo Trust Fund shall be the responsibility of the
appropriate Pueblo.
SEC. 206. FUNDING.
(a) Mandatory Appropriation.--Out of any money in the Treasury not
otherwise appropriated, the Secretary of the Treasury shall transfer to
the Secretary--
(1) for deposit in the Pueblo of Jemez Settlement Trust
Fund established under section 205(a) $290,000,000, to remain
available until expended, withdrawn, or reverted to the general
fund of the Treasury; and
(2) for deposit in the Pueblo of Zia Settlement Trust Fund
established under that section $200,000,000, to remain
available until expended, withdrawn, or reverted to the general
fund of the Treasury.
(b) Fluctuation in Costs.--
(1) In general.--The amount appropriated under subsection
(a) shall be increased or decreased, as appropriate, by such
amounts as may be justified by reason of ordinary fluctuations
in costs, as indicated by the Bureau of Reclamation
Construction Cost Index-Composite Trend.
(2) Construction costs adjustment.--The amount appropriated
under subsection (a) shall be adjusted to address construction
cost changes necessary to account for unforeseen market
volatility that may not otherwise be captured by engineering
cost indices, as determined by the Secretary, including
repricing applicable to the types of construction and current
industry standards involved.
(3) Repetition.--The adjustment process under this
subsection shall be repeated for each subsequent amount
appropriated until the applicable amount, as adjusted, has been
appropriated.
(4) Period of indexing.--The period of indexing adjustment
under this subsection for any increment of funding shall start
on October 1, 2021, and end on the date on which the funds are
deposited in the applicable Pueblo Trust Fund.
(c) State Cost Share.--The State shall contribute--
(1) $3,400,000, as adjusted for inflation pursuant to the
Agreement, to the San Ysidro Community Ditch Association for
capital and operating expenses of the mutual benefit
Augmentation Project;
(2) $16,159,000, as adjusted for inflation pursuant to the
Agreement, for Jemez River Basin Water Users Coalition acequia
ditch improvements; and
(3) $500,000, as adjusted for inflation, to mitigate
impairment to non-Pueblo domestic and livestock groundwater
rights as a result of new Pueblo water use.
SEC. 207. ENFORCEABILITY DATE.
The Enforceability Date shall be the date on which the Secretary
publishes in the Federal Register a statement of findings that--
(1) to the extent that the Agreement conflicts with this
title, the Agreement has been amended to conform with this
title;
(2) the Agreement, as amended, has been executed by all
parties to the Agreement, including the United States;
(3) the United States District Court for the District of
New Mexico has approved the Agreement and has entered a Partial
Final Judgment and Decree;
(4) all of the amounts appropriated under section 206 have
been appropriated and deposited in the designated accounts of
the applicable Pueblo Trust Fund;
(5) the State has--
(A) provided the funding under section 206(c)(2)
into appropriate funding accounts;
(B) provided the funding under section 206(c)(1) or
entered into a funding agreement with the intended
beneficiaries for that funding; and
(C) enacted legislation to amend State law to
provide that a Pueblo Water Right may be leased for a
term of not to exceed 99 years, including renewals;
(6) the waivers and releases under section subsections (a)
and (b) of section 208 have been executed by the Pueblos and
the Secretary; and
(7) the waivers and releases under section 208 have been
executed by the Pueblos and the Secretary.
SEC. 208. WAIVERS AND RELEASES OF CLAIMS.
(a) Waivers and Releases of Claims by Pueblos and United States as
Trustee for Pueblos.--Subject to the reservation of rights and
retention of claims under subsection (d), as consideration for
recognition of the Pueblo Water Rights and other benefits described in
the Agreement and this title, the Pueblos and the United States, acting
as trustee for the Pueblos, shall execute a waiver and release of all
claims for--
(1) water rights within the Jemez River Stream System that
the Pueblos, or the United States acting as trustee for the
Pueblos, asserted or could have asserted in any proceeding,
including the Adjudication, on or before the Enforceability
Date, except to the extent that such a right is recognized in
the Agreement and this title; and
(2) damages, losses, or injuries to water rights or claims
of interference with, diversion of, or taking of water rights
(including claims for injury to land resulting from such
damages, losses, injuries, interference, diversion, or taking
of water rights) in the Jemez River Stream System against any
party to a settlement, including the members and parciantes of
signatory acequias, that accrued at any time up to and
including the Enforceability Date.
(b) Waivers and Releases of Claims by Pueblos Against United
States.--Subject to the reservation of rights and retention of claims
under subsection (d), each Pueblo shall execute a waiver and release of
all claims against the United States (including any agency or employee
of the United States) for water rights within the Jemez River Stream
System first arising before the Enforceability Date relating to--
(1) water rights within the Jemez River Stream System that
the United States, acting as trustee for the Pueblos, asserted
or could have asserted in any proceeding, including the
Adjudication, except to the extent that such rights are
recognized as part of the Pueblo Water Rights under this title;
(2) foregone benefits from non-Pueblo use of water, on and
off Pueblo Land (including water from all sources and for all
uses), within the Jemez River Stream System;
(3) damage, loss, or injury to water, water rights, land,
or natural resources due to loss of water or water rights
(including damages, losses, or injuries to hunting, fishing,
gathering, or cultural rights due to loss of water or water
rights, claims relating to interference with, diversion of, or
taking of water, or claims relating to a failure to protect,
acquire, replace, or develop water, water rights, or water
infrastructure) within the Jemez River Stream System;
(4) a failure to establish or provide a municipal, rural,
or industrial water delivery system on Pueblo Land within the
Jemez River Stream System;
(5) damage, loss, or injury to water, water rights, land,
or natural resources due to construction, operation, and
management of irrigation projects on Pueblo Land or Federal
land (including damages, losses, or injuries to fish habitat,
wildlife, and wildlife habitat) within the Jemez River Stream
System;
(6) a failure to provide for operation, maintenance, or
deferred maintenance for any irrigation system or irrigation
project within the Jemez River Stream System;
(7) a failure to provide a dam safety improvement to a dam
on Pueblo Land within the Jemez River Stream System;
(8) the litigation of claims relating to any water right of
a Pueblo within the Jemez River Stream System; and
(9) the negotiation, execution, or adoption of the
Agreement (including exhibits or appendices) and this title.
(c) Effective Date.--The waivers and releases described in
subsections (a) and (b) shall take effect on the Enforceability Date.
(d) Reservation of Rights and Retention of Claims.--Notwithstanding
the waivers and releases under subsections (a) and (b), the Pueblos and
the United States, acting as trustee for the Pueblos, shall retain all
claims relating to--
(1) the enforcement of, or claims accruing after the
Enforceability Date relating to, water rights recognized under
the Agreement, this title, or the Partial Final Judgement and
Decree entered into in the Adjudication;
(2) activities affecting the quality of water, including
claims under--
(A) the Comprehensive Environmental Response,
Compensation, and Liability Act of 1980 (42 U.S.C. 9601
et seq.), including claims for damages to natural
resources;
(B) the Safe Drinking Water Act (42 U.S.C. 300f et
seq.);
(C) the Federal Water Pollution Control Act (33
U.S.C. 1251 et seq.) (commonly referred to as the
``Clean Water Act''); and
(D) any regulations implementing the Acts described
in subparagraphs (A) through (C);
(3) the right to use and protect water rights acquired
after the date of enactment of this Act;
(4) damage, loss, or injury to land or natural resources
that is not due to loss of water or water rights, including
hunting, fishing, gathering, or cultural rights;
(5) all rights, remedies, privileges, immunities, and
powers not specifically waived and released pursuant to this
title or the Agreement; and
(6) loss of water or water rights in locations outside of
the Jemez River Stream System.
(e) Effect of Agreement and Title.--Nothing in the Agreement or
this title--
(1) reduces or extends the sovereignty (including civil and
criminal jurisdiction) of any government entity;
(2) affects the ability of the United States, as sovereign,
to carry out any activity authorized by law, including--
(A) the Comprehensive Environmental Response,
Compensation, and Liability Act of 1980 (42 U.S.C. 9601
et seq.);
(B) the Safe Drinking Water Act (42 U.S.C. 300f et
seq.);
(C) the Federal Water Pollution Control Act (33
U.S.C. 1251 et seq.) (commonly referred to as the
``Clean Water Act'');
(D) the Solid Waste Disposal Act (42 U.S.C. 6901 et
seq.); and
(E) any regulations implementing the Acts described
in subparagraphs (A) though (D);
(3) affects the ability of the United States to act as
trustee for the Pueblos (consistent with this title), any other
pueblo or Indian Tribe, or an allottee of any Indian Tribe;
(4) confers jurisdiction on any State court--
(A) to interpret Federal law relating to health,
safety, or the environment;
(B) to determine the duties of the United States or
any other party under Federal law regarding health,
safety, or the environment;
(C) to conduct judicial review of any Federal
agency action; or
(D) to interpret Pueblo or Tribal law; or
(5) waives any claim of a member of a Pueblo in an
individual capacity that does not derive from a right of the
Pueblos.
(f) Tolling of Claims.--
(1) In general.--Each applicable period of limitation and
time-based equitable defense relating to a claim described in
this section shall be tolled for the period beginning on the
date of enactment of this Act and ending on the Enforceability
Date.
(2) Effect of subsection.--Nothing in this subsection
revives any claim or tolls any period of limitation or time-
based equitable defense that expired before the date of
enactment of this Act.
(3) Limitation.--Nothing in this section precludes the
tolling of any period of limitation or any time-based equitable
defense under any other applicable law.
(g) Expiration.--
(1) In general.--This title shall expire in any case in
which the Secretary fails to publish a statement of findings
under section 207 by not later than--
(A) July 1, 2030; or
(B) such alternative later date as is agreed to by
the Pueblos and the Secretary, after providing
reasonable notice to the State.
(2) Consequences.--If this title expires under paragraph
(1)--
(A) the waivers and releases under subsections (a)
and (b) shall--
(i) expire; and
(ii) have no further force or effect;
(B) the authorization, ratification, confirmation,
and execution of the Agreement under section 203 shall
no longer be effective;
(C) any action carried out by the Secretary, and
any contract or agreement entered into, pursuant to
this title shall be void;
(D) any unexpended Federal funds appropriated or
made available to carry out the activities authorized
by this title, together with any interest earned on
those funds, and any water rights or contracts to use
water and title to other property acquired or
constructed with Federal funds appropriated or made
available to carry out the activities authorized by
this title shall be returned to the Federal Government,
unless otherwise agreed to by the Pueblos and the
United States and approved by Congress; and
(E) except for Federal funds used to acquire or
construct property that is returned to the Federal
Government under subparagraph (D), the United States
shall be entitled to offset any Federal funds made
available to carry out this title that were expended or
withdrawn, or any funds made available to carry out
this title from other Federal authorized sources,
together with any interest accrued on those funds,
against any claims against the United States--
(i) relating to--
(I) water rights in the State
asserted by--
(aa) the Pueblos; or
(bb) any user of the Pueblo
Water Rights; or
(II) any other matter covered by
subsection (b); or
(ii) in any future settlement of water
rights of the Pueblos.
SEC. 209. SATISFACTION OF CLAIMS.
The benefits provided under this title shall be in complete
replacement of, complete substitution for, and full satisfaction of any
claim of the Pueblos against the United States that are waived and
released by the Pueblos pursuant to section 208(b).
SEC. 210. MISCELLANEOUS PROVISIONS.
(a) No Waiver of Sovereign Immunity by the United States.--Nothing
in this title waives the sovereign immunity of the United States.
(b) Other Tribes Not Adversely Affected.--Nothing in this title
quantifies or diminishes any land or water right, or any claim or
entitlement to land or water, of an Indian Tribe, band, or community
other than the Pueblos.
(c) Effect on Current Law.--Nothing in this title affects any
provision of law (including regulations) in effect on the day before
the date of enactment of this Act with respect to pre-enforcement
review of any Federal environmental enforcement action.
(d) Conflict.--In the event of a conflict between the Agreement and
this title, this title shall control.
SEC. 211. ANTIDEFICIENCY.
The United States shall not be liable for any failure to carry out
any obligation or activity authorized by this title, including any
obligation or activity under the Agreement, if adequate appropriations
are not provided expressly by Congress to carry out the purposes of
this title.
<all>
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118HR1305 | SUPER BUGS Act of 2023 | [
[
"L000593",
"Rep. Levin, Mike [D-CA-49]",
"sponsor"
],
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"F000465",
"Rep. Ferguson, A. Drew, IV [R-GA-3]",
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[
"V000129",
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1305 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1305
To direct the Secretary of Health and Human Services, in consultation
with the Secretary of State, to formulate a strategy for the Federal
Government to secure support from foreign countries, multilateral
organizations, and other appropriate entities to facilitate the
development and commercialization of qualified pandemic or epidemic
products, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Levin (for himself, Mr. Ferguson, Mr. McGovern, and Mr. Amodei)
introduced the following bill; which was referred to the Committee on
Foreign Affairs
_______________________________________________________________________
A BILL
To direct the Secretary of Health and Human Services, in consultation
with the Secretary of State, to formulate a strategy for the Federal
Government to secure support from foreign countries, multilateral
organizations, and other appropriate entities to facilitate the
development and commercialization of qualified pandemic or epidemic
products, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Saving Us from Pandemic Era
Resistance by Building a Unified Global Strategy Act of 2023'' or the
``SUPER BUGS Act of 2023''.
SEC. 2. INTERNATIONAL STRATEGY FOR DEVELOPMENT OF QUALIFIED PANDEMIC OR
EPIDEMIC PRODUCTS.
(a) Strategy.--
(1) In general.--Not later than 18 months after the date of
enactment of this Act, the Secretary of Health and Human
Services, in consultation with the Secretary of State, shall--
(A) formulate a strategy for the Federal Government
to secure support from foreign countries, multilateral
organizations, and other appropriate entities to
facilitate the development and commercialization of
qualified pandemic or epidemic products, including such
products to address antimicrobial resistant pathogens--
(i) with pandemic potential; or
(ii) that are priority pathogens; and
(B) submit such strategy to the appropriate
committees of Congress.
(2) Contents.--The strategy under paragraph (1) shall--
(A) provide for the process the Federal Government
would use to enter into arrangements with foreign
countries, multilateral organizations, and other
appropriate entities in certain circumstances;
(B) strive to secure equitable contributions among
participating countries, organizations, and entities;
(C) focus on global priorities but allow
participating countries, organizations, and entities to
emphasize national or regional issues of importance;
(D) seek to ensure such arrangements are harmonized
with each other and with other relevant arrangements to
prevent duplication of effort and to efficiently
distribute funds;
(E) provide for collaboration so as to allocate
joint or individual responsibility across participating
countries, organizations, and entities for the
development and commercialization of particular
qualified pandemic or epidemic products, where such
collaboration is spelled out beforehand in such
arrangements;
(F) provide for the stewardship of qualified
pandemic or epidemic products developed pursuant to the
strategy;
(G) define criteria so that scarce funds are
allocated to advance qualified pandemic or epidemic
products that can achieve the greatest positive impact
on human health, including unprecedented approaches to
preventing, treating, and diagnosing infectious
diseases;
(H) consider approaches including securing
contracts with the private sector, entering into
public-private partnerships, implementing alternative
payment models, and streamlining regulatory approval
processes; and
(I) be synchronized with United States pandemic
preparedness priorities, such as the U.S. National
Action Plan for Combating Antibiotic-Resistant Bacteria
(CARB).
(b) Arrangements With Foreign Countries and Multilateral
Organizations.--The Secretary of Health and Human Services, in
consultation with the Secretary of State, shall seek to enter into
arrangements with foreign countries, multilateral organizations, and
other appropriate entities to implement the strategy under subsection
(a).
(c) Definition.--In this section:
(1) The term ``priority pathogens'' means pathogens
identified in the latest Centers for Disease Control and
Prevention Antimicrobial Threats Report, the World Health
Organization Global Priority Pathogens List, or a successor
report or list.
(2) The term ``qualified pandemic or epidemic product'' has
the meaning given to such term in section 319F-3 of the Public
Health Service Act (42 U.S.C. 247d-6b).
<all>
</pre></body></html>
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|
118HR1306 | Taxpayer Exposure Mitigation Act | [
[
"L000569",
"Rep. Luetkemeyer, Blaine [R-MO-3]",
"sponsor"
]
] | <p><b>Taxpayer Exposure Mitigation Act </b></p> <p>This bill requires the Federal Emergency Management Agency (FEMA) to annually transfer a portion of the risk from the National Flood Insurance Program (NFIP) to private reinsurance or capital markets. The amount of transferred risk must be based on a probable maximum loss target for NFIP established by FEMA each fiscal year.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1306 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1306
To provide for greater transfer of risk under the National Flood
Insurance Program to private capital and reinsurance markets, and for
other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Luetkemeyer introduced the following bill; which was referred to
the Committee on Financial Services
_______________________________________________________________________
A BILL
To provide for greater transfer of risk under the National Flood
Insurance Program to private capital and reinsurance markets, and for
other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Taxpayer Exposure Mitigation Act''.
SEC. 2. RISK TRANSFER REQUIREMENT.
Subsection (e) of section 1345 of the National Flood Insurance Act
of 1968 (42 U.S.C. 4081(e)) is amended--
(1) by striking ``(e) Risk Transfer.--The Administrator''
and inserting the following:
``(e) Risk Transfer.--
``(1) Authority.--The Administrator''; and
(2) by adding at the end the following new paragraph:
``(2) Required risk transfer coverage.--
``(A) Requirement.--Not later than the expiration
of the 18-month period beginning upon the date of the
enactment of this paragraph and at all times
thereafter, the Administrator shall annually cede a
portion of the risk of the flood insurance program
under this title to the private reinsurance or capital
markets, or any combination thereof, and at rates and
terms that the Administrator determines to be
reasonable and appropriate, in an amount that--
``(i) is sufficient to maintain the ability
of the program to pay claims; and
``(ii) manages and limits the annual
exposure of the flood insurance program to
flood losses in accordance with the probable
maximum loss target established for such year
under subparagraph (B).
``(B) Probable maximum loss target.--The
Administrator shall for each fiscal year, establish a
probable maximum loss target for the national flood
insurance program that shall be the maximum probable
loss under the national flood insurance program that is
expected to occur in such fiscal year.
``(C) Considerations.--In establishing the probable
maximum loss target under subparagraph (B) for each
fiscal year and carrying out subparagraph (A), the
Administrator shall consider--
``(i) the probable maximum loss targets for
other United States public natural catastrophe
insurance programs, including as State wind
pools and earthquake programs;
``(ii) the probable maximum loss targets of
other risk management organizations, including
the Federal National Mortgage Association and
the Federal Home Loan Mortgage Corporation;
``(iii) catastrophic, actuarial, and other
appropriate data modeling results of the
national flood insurance program portfolio;
``(iv) the availability of funds in the
National Flood Insurance Fund established under
section 1310 (42 U.S.C. 4017);
``(v) the availability of funds in the
National Flood Insurance Reserve Fund
established under section 1310A (42 U.S.C.
4017a);
``(vi) the availability of borrowing
authority under section 1309 (42 U.S.C. 4016);
``(vii) the ability of the Administrator to
repay outstanding debt;
``(viii) amounts appropriated to the
Administrator to carry out the national flood
insurance program;
``(ix) reinsurance, capital markets,
catastrophe bonds, collateralized reinsurance,
resilience bonds, and other insurance-linked
securities, and other risk transfer
opportunities; and
``(x) any other factor the Administrator
determines appropriate.
``(D) Multi-year contracts.--Nothing in this
paragraph may be construed to prevent or prohibit the
Administrator from complying with the requirement under
subparagraph (A) regarding ceding risk through
contracts having a duration longer than one year.''.
<all>
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118HR1307 | To repeal the mandatory flood insurance coverage requirement for commercial properties located in flood hazard areas, and for other purposes. | [
[
"L000569",
"Rep. Luetkemeyer, Blaine [R-MO-3]",
"sponsor"
]
] | <p>This bill limits the required purchase of flood insurance in certain circumstances to only residential properties (currently, the requirement applies to all types of property). </p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1307 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1307
To repeal the mandatory flood insurance coverage requirement for
commercial properties located in flood hazard areas, and for other
purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Luetkemeyer introduced the following bill; which was referred to
the Committee on Financial Services
_______________________________________________________________________
A BILL
To repeal the mandatory flood insurance coverage requirement for
commercial properties located in flood hazard areas, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. OPT-OUT OF MANDATORY COVERAGE REQUIREMENT FOR COMMERCIAL
PROPERTIES.
(a) Amendments to Flood Disaster Protection Act of 1973.--The Flood
Disaster Protection Act of 1973 is amended--
(1) in section 3(a) (42 U.S.C. 4003(a))--
(A) in paragraph (10), by striking ``and'' at the
end;
(B) in paragraph (11), by striking the period at
the end and inserting ``; and''; and
(C) by adding at the end the following new
paragraph:
``(12) `residential improved real estate' means improved
real estate that--
``(A) is primarily used for residential purposes,
as defined by the Federal entities for lending
regulation; and
``(B) secures financing or financial assistance
provided through a federally related single family loan
program, as defined by the Federal entities for lending
regulation.''; and
(2) in section 102 (42 U.S.C. 4012a)--
(A) in subsection (b)--
(i) in paragraph (1)(A)--
(I) by inserting ``residential''
before ``improved real estate''; and
(II) by inserting ``residential''
before ``building or mobile home'';
(ii) in paragraph (2)--
(I) by inserting ``residential''
before ``improved real estate''; and
(II) by inserting ``residential''
before ``building or mobile home''; and
(iii) in paragraph (3)--
(I) in subparagraph (A), by
inserting ``residential'' before
``improved real estate''; and
(II) in the matter after and below
subparagraph (B), by inserting
``residential'' before ``building or
mobile home'';
(B) in subsection (c)(3), by striking ``, in the
case of any residential property, for any structure
that is a part of such property'' and inserting ``for
any structure that is part of a residential property'';
(C) in subsection (e)--
(i) in paragraph (1)--
(I) by inserting ``residential''
before ``improved real estate''; and
(II) by inserting ``residential''
before ``building or mobile home'' each
place such term appears; and
(ii) in paragraph (5)--
(I) in subparagraph (A)--
(aa) by inserting
``residential'' before
``improved real estate'' each
place such term appears; and
(bb) by inserting
``residential'' before
``building or mobile home''
each place such term appears;
(II) in subparagraph (B), by
inserting ``residential'' before
``building or mobile home'' each place
such term appears; and
(III) in subparagraph (C), by
inserting ``residential'' before
``building or mobile home''; and
(D) in subsection (h)--
(i) by inserting ``residential'' before
``improved real estate'' each place such term
appears; and
(ii) in the matter preceding paragraph (1),
by inserting ``residential'' before ``building
or mobile home''.
(b) Amendments to National Flood Insurance Act of 1968.--The
National Flood Insurance Act of 1968 is amended--
(1) in section 1364(a) (42 U.S.C. 4104a(a))--
(A) in paragraph (1), by inserting ``residential''
before ``improved real estate'';
(B) in paragraph (2), by inserting ``residential''
before ``improved real estate''; and
(C) in paragraph (3)(A), by inserting
``residential'' before ``building'';
(2) in section 1365 (42 U.S.C. 4104b)--
(A) in subsection (a)--
(i) by inserting ``residential'' before
``improved real estate''; and
(ii) by inserting ``residential'' before
``building'';
(B) in subsection (b)(2)--
(i) by inserting ``residential'' before
``building'' each place such term appears; and
(ii) by inserting ``residential'' before
``improved real estate'' each place such term
appears;
(C) in subsection (d), by inserting ``residential''
before ``improved real estate'' each place such term
appears; and
(D) in subsection (e)--
(i) by inserting ``residential'' before
``improved real estate''; and
(ii) by inserting ``residential'' before
``building'' each place such term appears; and
(3) in section 1370 (42 U.S.C. 4121)--
(A) in paragraph (8), by inserting ``residential''
before ``improved real estate'';
(B) by redesignating paragraphs (14) and (15) as
paragraphs (15) and (16), respectively; and
(C) by inserting after paragraph (13) the following
new paragraph:
``(14) the term `residential improved real estate' means
improved real estate that--
``(A) is primarily used for residential purposes,
as defined by the Federal entities for lending
regulation; and
``(B) secures financing or financial assistance
provided through a federally related single family loan
program, as defined by the Federal entities for lending
regulation;''.
(c) Rule of Construction.--This section and the amendments made by
this section may not be construed to prohibit the Administrator of the
Federal Emergency Management Agency from offering flood insurance
coverage under the National Flood Insurance Program for eligible non-
residential properties, other residential multifamily properties, or
structures financed with commercial loans, or to prohibit the purchase
of such coverage for such eligible properties.
<all>
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118HR1308 | Community Mapping Act | [
[
"L000569",
"Rep. Luetkemeyer, Blaine [R-MO-3]",
"sponsor"
]
] | <p><b>Community Mapping Act</b></p> <p>The bill requires the Federal Emergency Management Agency (FEMA) to establish standards for the development of alternative flood insurance rate maps by local and state governments. FEMA must consider recommendations made by the Technical Mapping Advisory Council when establishing these standards. FEMA must approve the use of these alternative maps under the National Flood Insurance Program.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1308 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1308
To allow communities to develop alternative flood insurance rate maps,
and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Luetkemeyer introduced the following bill; which was referred to
the Committee on Financial Services
_______________________________________________________________________
A BILL
To allow communities to develop alternative flood insurance rate maps,
and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Community Mapping Act''.
SEC. 2. COMMUNITY FLOOD MAPS.
(a) Technical Mapping Advisory Council.--Section 100215 of the
Biggert-Waters Flood Insurance Reform Act of 2012 (42 U.S.C. 4101a) is
amended--
(1) in subsection (c)--
(A) in paragraph (5)(B), by striking ``and'' at the
end;
(B) by redesignating paragraph (6) as paragraph
(9); and
(C) by inserting after paragraph (5) the following
new paragraphs:
``(6) recommend to the Administrator methods or actions to
make the flood mapping processes more efficient;
``(7) recommend to the Administrator methods or actions to
minimize any cost, data, and paperwork requirements of the
flood mapping processes;
``(8) assist communities, and in particular smaller
communities, in locating the resources required to participate
in the development of flood elevations and flood hazard area
designations; and''; and
(2) by adding at the end the following new subsection:
``(m) Community Flood Maps.--
``(1) Standards and procedures.--In addition to the other
duties of the Council under this section, not later than the
expiration of the 12-month period beginning on the date of the
enactment of this subsection, the Council shall recommend to
the Administrator standards and requirements for chief
executive officers, or entities designated by chief executive
officers, of States and communities participating in the
National Flood Insurance Program to use in mapping flood
hazards located in States and communities that choose to
develop alternative maps to the flood insurance rate maps
developed by the Agency. The recommended standards and
requirements shall include procedures for providing
notification and appeal rights to individuals within the
communities of the proposed flood elevation determinations.
``(2) Exemption from rulemaking.--Until such time as the
Administrator promulgates regulations implementing paragraph
(1) of this subsection, the Administrator may, notwithstanding
any other provision of law, adopt policies and procedures
necessary to implement such paragraphs without undergoing
notice and comment rulemaking and without conducting regulatory
analyses otherwise required by statute, regulation, or
executive order.''.
(b) FEMA Identification of Flood-Prone Areas.--Subsection (a) of
section 1360 of the National Flood Insurance Act of 1968 (42 U.S.C.
4101(a)) is amended--
(1) in paragraph (2), by striking the period at the end and
inserting ``; and'';
(2) by redesignating paragraphs (1) and (2) as
subparagraphs (A), and (B), respectively, and realigning such
subparagraphs so as to be indented 4 ems from the left margin;
(3) by striking ``is authorized to consult'' and inserting
the following: ``is authorized--
``(1) to consult'';
(4) by adding at the end the following new paragraph:
``(2) to receive proposed alternative maps from communities
developed pursuant to standards and requirements recommended by
the Technical Mapping Advisory Council, as required by section
100215(m) of the Biggert-Waters Flood Insurance Reform Act of
2012 (42 U.S.C. 4101a(m)) and adopted by the Administrator as
required by section 100216(c)(3) of such Act (42 U.S.C.
4101b(c)(3)), so that the Administrator may--
``(A) publish information with respect to all flood
plain areas, including coastal areas located in the
United States, which have special flood hazards, and
``(B) establish or update flood-risk zone data in
all such areas, and make estimates with respect to the
rates of probable flood caused loss for the various
flood risk zones for each of these areas until the date
specified in section 1319.''.
(c) National Flood Mapping Program.--Section 100216 of the Biggert-
Waters Flood Insurance Reform Act of 2012 (42 U.S.C. 4101b) is
amended--
(1) in subsection (a), by inserting ``prepared by the
Administrator, or by a community pursuant to section 1360(a)(2)
of the National Flood Insurance Act of 1968,'' after ``Program
rate maps'';
(2) in subsection (c)--
(A) in paragraph (1)(B), by striking ``and'' at the
end;
(B) in paragraph (2)(C), by striking the period at
the end and inserting a semicolon; and
(C) by adding at the end the following new
paragraphs:
``(3) establish and adopt standards and requirements for
development by States and communities of alternative flood
insurance rate maps to be submitted to the Administrator
pursuant to section 1360(a)(2) of the National Flood Insurance
Act of 1968, taking into consideration the recommendations of
the Technical Mapping Advisory Council made pursuant to section
100215(m) of this Act (42 U.S.C. 4101a(m)); and
``(4) in the case of proposed alternative maps received by
the Administrator pursuant to such section 1360(a)(2), not
later than the expiration of the 6-month period beginning upon
receipt of such proposed alternative maps--
``(A) determine whether such maps were developed in
accordance with the standards and requirements adopted
pursuant to paragraph (3) of this subsection; and
``(B) approve or disapprove such proposed maps for
use under National Flood Insurance Program.''; and
(3) in subsection (d)(1), by inserting ``maximum'' before
``30-day period'' each place such term appears in subparagraphs
(B) and (C).
<all>
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118HR1309 | To require the use of replacement cost value in determining the premium rates for flood insurance coverage under the National Flood Insurance Act, and for other purposes. | [
[
"L000569",
"Rep. Luetkemeyer, Blaine [R-MO-3]",
"sponsor"
]
] | <p>This bill directs the Federal Emergency Management Agency (FEMA) to incorporate the replacement cost value of a structure insured under the National Flood Insurance Program of 1968 in its consideration of chargeable premium rates.</p> <p>FEMA must conduct a study regarding risk rating redesign utilizing replacement cost and report the findings to Congress.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1309 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1309
To require the use of replacement cost value in determining the premium
rates for flood insurance coverage under the National Flood Insurance
Act, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Luetkemeyer introduced the following bill; which was referred to
the Committee on Financial Services
_______________________________________________________________________
A BILL
To require the use of replacement cost value in determining the premium
rates for flood insurance coverage under the National Flood Insurance
Act, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. USE OF REPLACEMENT COST IN DETERMINING PREMIUM RATES.
(a) Study of Risk Rating Redesign Flood Insurance Premium Rating
Options.--
(1) Study.--The Administrator of the Federal Emergency
Management Agency shall conduct a study to--
(A) evaluate insurance industry best practices for
risk rating and classification, including practices
related to replacement cost value in premium rate
estimations;
(B) assess options, methods, and strategies for
including replacement cost value in the Administrator's
estimates under section 1307(a)(1) of the National
Flood Insurance Act of 1968 (42 U.S.C. 4014(a)(1));
(C) provide recommendations for including
replacement cost value in the estimate of the risk
premium rates for flood insurance under such section
1307(a)(1);
(D) identify an appropriate methodology to
incorporate replacement cost value into the
Administrator's estimates under such section
1307(a)(1); and
(E) develop a feasible implementation plan and
projected timeline for including replacement cost value
in the estimates of risk premium rates for flood
insurance made available under the National Flood
Insurance Program.
(2) Report.--
(A) Requirement.--Not later than the expiration of
the 12-month period beginning on the date of the
enactment of this Act, the Administrator shall submit
to the Committee on Financial Services of the House of
Representatives and the Committee on Banking, Housing,
and Urban Affairs of the Senate a report that contains
the results and conclusions of the study required under
paragraph (1).
(B) Contents.--The report submitted under
subparagraph (A) shall include--
(i) an analysis of the recommendations
resulting from the study under paragraph (1)
and any potential impacts on the National Flood
Insurance Program, including cost
considerations;
(ii) a description of any actions taken by
the Administrator to implement the study
recommendations; and
(iii) a description of any study
recommendations that have been deferred or not
acted upon, together with a statement
explaining the reasons for such deferral or
inaction.
(b) Use of Replacement Cost Value in Premium Rates;
Implementation.--
(1) Estimated rates.--Paragraph (1) of section 1307(a) of
the National Flood Insurance Act of 1968 (42 U.S.C. 4014(a)(1))
is amended, in the matter preceding subparagraph (A), by
inserting after ``flood insurance'' the following: ``, which
shall incorporate replacement cost value, and''.
(2) Chargeable rates.--Subsection (b) of section 1308 of
the National Flood Insurance Act of 1968 (42 U.S.C. 4015(b)) is
amended, in the matter preceding paragraph (1), by inserting
after ``Such rates'' the following: ``shall incorporate
replacement cost value and''.
(3) Effective date.--The amendments under paragraphs (1)
and (2) of this subsection shall be made upon the expiration of
the 12-month period beginning on the date of the enactment of
this Act.
(4) Applicability and phase-in.--The Administrator of the
Federal Emergency Management Agency shall apply the amendments
under paragraphs (1) and (2) to flood insurance coverage made
available under the National Flood Insurance Act of 1968 for
properties located in various geographic regions in the United
States such that--
(A) over the three-year period beginning upon the
expiration of the period referred to in paragraph (3)
of this subsection, the requirement under such
amendments shall be gradually phased in geographically
throughout the United States as sufficient information
for such implementation becomes available; and
(B) after the expiration of such period referred to
in subparagraph (A), such amendments shall apply to all
flood insurance coverage made available under the
National Flood Insurance Act of 1968.
<all>
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118HR131 | Manatee Protection Act of 2023 | [
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[
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[
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] | <p><b>Manatee Protection Act of 2023</b></p> <p>This bill requires the Department of the Interior to include the West Indian manatee (<i>Trichechus manatus</i>) in the endangered species list and give the species protections provided to endangered species.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 131 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 131
To designate the West Indian manatee as an endangered species under the
Endangered Species Act of 1973, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 9, 2023
Mr. Buchanan introduced the following bill; which was referred to the
Committee on Natural Resources
_______________________________________________________________________
A BILL
To designate the West Indian manatee as an endangered species under the
Endangered Species Act of 1973, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Manatee Protection Act of 2023''.
SEC. 2. WEST INDIAN MANATEE DESIGNATED ENDANGERED SPECIES.
(a) In General.--Notwithstanding any other provision of law, the
species known as the ``West Indian manatee'' (Trichechus manatus) shall
be treated as an endangered species for purposes of the Endangered
Species Act of 1973 (16 U.S.C. 1531 et seq.).
(b) Listing of West Indian Manatee.--Notwithstanding any other
provision of law, the Secretary of the Interior shall include the
species known as the ``West Indian manatee'' (Trichechus manatus) in
the endangered species list published under section 4(c) of the
Endangered Species Act of 1973 (16 U.S.C. 1533(c)).
<all>
</pre></body></html>
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118HR1310 | SHARE Act | [
[
"M000871",
"Rep. Mann, Tracey [R-KS-1]",
"sponsor"
],
[
"N000191",
"Rep. Neguse, Joe [D-CO-2]",
"cosponsor"
],
[
"F000466",
"Rep. Fitzpatrick, Brian K. [R-PA-1]",
"cosponsor"
],
[
"B000740",
"Rep. Bice, Stephanie I. [R-OK-5]",
"cosponsor"
],
[
"M001219",
"Del. Moylan, James C. [R-GU-At Large]",
"cosponsor"
],
[
"D000230",
"Rep. Davis, Donald G. [D-NC-1]",
"cosponsor"
],
[
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"cosponsor"
],
[
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"cosponsor"
],
[
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"Rep. Tokuda, Jill N. [D-HI-2]",
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],
[
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"cosponsor"
],
[
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"Rep. Van Drew, Jefferson [R-NJ-2]",
"cosponsor"
],
[
"M001157",
"Rep. McCaul, Michael T. [R-TX-10]",
"cosponsor"
],
[
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"cosponsor"
],
[
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"cosponsor"
],
[
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"cosponsor"
],
[
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"cosponsor"
],
[
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"cosponsor"
],
[
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"cosponsor"
],
[
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"cosponsor"
],
[
"S001221",
"Rep. Scholten, Hillary J. [D-MI-3]",
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] | <p><strong>States Handling Access to Reciprocity for Employment Act or the SHARE Act</strong></p> <p>This bill authorizes the use of Federal Bureau of Investigation (FBI) criminal history record information for the administration of interstate compacts.</p> <p>Specifically, the FBI must furnish or otherwise make available to a state licensing authority, through an agreement with a state law enforcement agency or state identification bureau, criminal history record information to the extent required by an interstate compact, for purposes of conducting a criminal history background check of individuals seeking a license or privilege to practice an occupation or profession in a compact member state.</p> <p>Further, a state licensing authority that is a member of an interstate compact that requires completion of a criminal history background check for an individual for the purpose of acting upon a license or privilege application of that individual to practice an occupation or profession in a state shall use such information solely for that purpose and may not share criminal history record information with the compact's commission, any other state entity or licensing authority, or the public.</p> <p>A state licensing authority informing a compact commission of the completion of the background check is permitted by this bill and shall not constitute the sharing of criminal history record information.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1310 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1310
To authorize the use of FBI criminal history record information for
administration of interstate compacts, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Mann (for himself, Mr. Neguse, Mr. Fitzpatrick, Mrs. Bice, Mr.
Moylan, Mr. Davis of North Carolina, Mr. LaMalfa, Mr. Bacon, Ms.
Tokuda, Mr. Jackson of Texas, Mr. Van Drew, Mr. McCaul, Mrs. Boebert,
and Ms. Budzinski) introduced the following bill; which was referred to
the Committee on Education and the Workforce, and in addition to the
Committee on the Judiciary, for a period to be subsequently determined
by the Speaker, in each case for consideration of such provisions as
fall within the jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To authorize the use of FBI criminal history record information for
administration of interstate compacts, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``States Handling Access to
Reciprocity for Employment Act'' or the ``SHARE Act''.
SEC. 2. INFORMATION SHARING.
Subtitle E of title IV of the Intelligence Reform and Terrorism
Prevention Act of 2004 (34 U.S.C. 41106 et seq.) is amended by adding
at the end the following:
``SEC. 6404. SHARING AND USE OF CRIMINAL HISTORY RECORD INFORMATION.
``(a) FBI Providing Criminal History Record Information to State
Licensing Authorities.--The Director of the Federal Bureau of
Investigation shall furnish or otherwise make available to a State
licensing authority, through an agreement with a State law enforcement
agency or State identification bureau, criminal history record
information to the extent required by a interstate compact, or the
regulations duly promulgated thereunder, for the purpose of conducting
a criminal history background check of individuals seeking a license or
privilege to practice an occupation or profession in a compact member
State.
``(b) State Licensing Authority Use of Criminal History Record
Information.--A State licensing authority that is a member of an
interstate compact that requires completion of a criminal history
background check for an individual for the purpose of acting upon a
license or privilege application of that individual to practice an
occupation or profession in a State shall use such information solely
for that purpose and may not share criminal history record information
or any part thereof with the compact's Commission, any other State
entity or licensing authority, or the public.
``(c) Sharing the Fact of Completion of the Criminal History
Background Check Expressly Permitted.--For the purpose of subsection
(b), a State licensing authority informing a compact Commission of the
completion of the criminal history background check, including a binary
determination of whether or not the criminal history background check
of an applicant was satisfactory, is expressly permitted by this Act
and shall not constitute the sharing of criminal history record
information.
``(d) Definitions.--In this section:
``(1) Commission.--The term `Commission' means a joint
governmental entity, established under an agreement of 2 or
more States participating in an interstate compact.
``(2) Criminal history record information.--The term
`criminal history record information' means information
collected by law enforcement agencies on individuals consisting
of identifiable descriptions and notations of arrests,
detentions, indictments, informations, or other formal criminal
charges, and any disposition arising therefrom, including
acquittal, sentencing, correctional supervision, and release.
The term does not include identification information such as
fingerprint records if such information does not indicate the
individual's involvement with the criminal justice system.
``(3) License.--The term `license' means a license or
certification by which a State licensing authority authorizes
an individual to practice an occupation or profession in that
State.
``(4) Privilege.--The term `privilege' means a grant of
authority issued pursuant to an interstate compact to a license
holder that permits the license holder to practice in a compact
member State.
``(5) State.--The term `State' means any State, territory,
or possession of the United States, and the District of
Columbia.
``(6) State identification bureau.--The term `State
identification bureau' has the meaning given such term in
section 6402.
``(7) State licensing authority.--The term `State licensing
authority' means a State licensing board, commission,
department, or other entity that is empowered under the law of
that State to grant a license to practice an occupation or
profession.''.
<all>
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118HR1311 | College Cost Transparency and Student Protection Act | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1311 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1311
To amend the Higher Education Act of 1965 to direct the Secretary of
Education to publish requirements for financial aid offers to be
provided by institutions of higher education to enrolled and
prospective students, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mrs. McClain (for herself and Ms. Foxx) introduced the following bill;
which was referred to the Committee on Education and the Workforce
_______________________________________________________________________
A BILL
To amend the Higher Education Act of 1965 to direct the Secretary of
Education to publish requirements for financial aid offers to be
provided by institutions of higher education to enrolled and
prospective students, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``College Cost Transparency and
Student Protection Act''.
SEC. 2. FINANCIAL AID OFFERS.
Section 485 of the Higher Education Act of 1965 (20 U.S.C. 1092) is
amended by adding at the end the following:
``(n) Financial Aid Offers.--
``(1) Institutional requirements.--Beginning with the first
award year that begins not less than 1 year after the Secretary
publishes requirements under subparagraph (2), each institution
of higher education participating in any program under this
title shall provide to each enrolled student (and prospective
student accepted for enrollment) at such institution who
applies for financial assistance under this title, a financial
aid offer that--
``(A) shall comply with the requirements published
by the Secretary under paragraph (2); and
``(B) may be supplemented by the institution with
additional, non-contradictory information related to
financial aid as long as such supplementary information
uses the standardized terms and definitions described
in paragraph (2).
``(2) Secretarial requirements.--Not later than 18 months
after the date of enactment of the College Cost Transparency
and Student Protection Act, the Secretary shall, based on the
consumer testing conducted under paragraph (4), publish
requirements for financial aid offers to be used by
institutions of higher education under paragraph (1), which
shall--
``(A) serve as the primary source for Federal,
State, and institutional financial aid information
provided by an institution of higher education
participating in any program under this title to each
enrolled student (and prospective student accepted for
enrollment) at such institution;
``(B) include a requirement that no financial aid
offer may be referred to as an award letter;
``(C) include the required content described in
paragraph (3);
``(D) establish standardized terms and definitions,
including for the required content described in
paragraph (3), which shall be included in each
financial aid offer; and
``(E) establish formatting requirements with
respect to the organization of the contents described
in paragraph (3), which--
``(i) shall include--
``(I) a requirement that prohibits
any such offer from displaying loans in
a manner that indicates or implies that
such loans reduce the amount owed to
the institution or reduce the out-of-
pocket costs; and
``(II) requirements that ensure
that before completing the component of
an offer relating to indirect costs, a
student completes the component of an
offer relating to direct costs and
confirms that such student is seeking
financial assistance for indirect
costs; and
``(ii) may not establish, or require that
institutions of higher education use, a uniform
format for such offers.
``(3) Required content for a financial aid offer.--
``(A) In general.--An institution of higher
education shall provide, to each enrolled student (and
prospective student accepted for enrollment) at such
institution who applies for financial assistance under
this title, a financial aid offer for an academic
period covered by such offer, which shall include the
following:
``(i) A component relating to the direct
costs for such student for such academic
period, which shall include the content
described in subparagraphs (B) and (D).
``(ii) In a case in which the student
completes the component described in clause (i)
and confirms that such student is seeking
financial assistance for indirect costs for
such academic period, a component relating to
such indirect costs, which shall include the
content described in subparagraphs (C) and (D).
``(B) Component for direct costs.--The component of
a financial aid offer relating to direct costs shall
include the following content:
``(i) Estimated sum of direct costs.--The
estimated sum of the student's direct costs for
the academic period covered by such offer,
which shall be the sum of--
``(I) the cost of tuition and fees,
as defined in section 472(a)(1), as
amended by section 702 of the FAFSA
Simplification Act; and
``(II) any other required expenses,
as determined by the institution and
presented as an itemized list.
``(ii) Grants and scholarships.--
``(I) In general.--The aggregate
amount of grants and scholarships by
source that the student does not have
to repay, such as grant aid offered
under this title and grant aid offered
through other Federal programs, grant
aid offered by the institution, grant
aid offered by the State, and, if
known, grant aid from an outside source
for such academic period.
``(II) Federal grant aid.--With
respect to Federal grant aid, the
conditions under which the student can
expect to receive similar amounts of
such Federal grant aid for each
academic period the student is enrolled
at the institution.
``(III) Institutional grant aid.--
With respect to institutional grant
aid--
``(aa) the conditions under
which the student can expect to
receive similar amounts of such
institutional grant aid for
each academic period the
student is enrolled at the
institution; and
``(bb) whether the
institutional grant aid offer
may change if grants or
scholarships from outside
sources are applied after the
student receives the financial
aid offer, and, if applicable,
how that institutional grant
aid will change.
``(IV) Indirect costs.--An
identification of any grants or
scholarships described in subclause (I)
that are required to be used for any
indirect costs selected by the student
under subparagraph (C)(i).
``(iii) Out-of-pocket costs (relating to
direct costs).--The out-of-pocket costs
(relating to direct costs) that the student, or
the student's family on behalf of the student,
is estimated to have to pay for the student to
attend the institution for such academic
period, equal to--
``(I) the estimated sum of the
student's direct costs described in
clause (i); minus
``(II) the aggregate amount of
grants and scholarships described in
clause (ii) that may be used to cover
such direct costs.
``(iv) Financing options.--
``(I) In general.--In plain
language and based on consumer testing
under paragraph (4), the offer shall
include the following financing options
(in the following order) to cover the
total out-of-pocket costs determined
under clause (iii):
``(aa) Cash or other
personal resources, including
the expected family
contribution of the student.
``(bb) Loans made to the
student under part D (excluding
Federal Direct PLUS Loans),
which shall--
``(AA) clearly
label whether the loan
is subsidized or
unsubsidized; and
``(BB) require the
student to (1) accept
any such loan by
specifying the loan
amount the student is
accepting (which may be
an amount that is less
than the maximum amount
for which such student
is eligible under part
D) or (2) decline any
such loan.
``(cc) Work-study
employment opportunities,
offered in accordance with part
C, and other campus employment,
if applicable, which shall
require the student to (1)
accept any such opportunity or
(2) decline any such
opportunity.
``(II) Disclosures related to
covered financing options.--The
following disclosures, in a simple,
plain-language, and consumer-friendly
manner (based on the consumer testing
under paragraph (4)):
``(aa) Grants and
scholarships.--Grants and
scholarships do not have to be
repaid.
``(bb) All loans.--All
loans must be repaid with
interest.
``(cc) Federal work-study
aid.--Any work-study employment
opportunity offered under part
C is subject to the
availability of qualified
employment opportunities and is
disbursed over time as earned
by the student.
``(III) Disclosure related to other
financing options.--A disclosure that
other financing options (not listed in
subclause (I)) may be available,
including private education loans,
Federal Direct PLUS loans, or
institutional or State loans, if
applicable.
``(IV) Tuition payment plans.--In
plain language, the offer shall include
information on tuition payment plans,
if applicable.
``(v) Disclosure and confirmation relating
to indirect costs.--A disclosure that the
financing options for indirect costs selected
by the student under subparagraph (C)(i) may
include loans that must be repaid with
interest, and a requirement for the student to
confirm whether the student is seeking
financial assistance for such indirect costs.
``(C) Component for indirect costs.--The component
of a financial aid relating to indirect costs shall
include the following content:
``(i) Selection of indirect costs.--The
student shall have the ability to select each
component of the cost of attendance under
section 472, as amended by section 702 of the
FAFSA Simplification Act (other than the direct
costs determined under subparagraph (B)(i)) for
which the student needs support for the
academic period covered by the offer, which may
include components relating to housing and
food, books and supplies, transportation, and
miscellaneous personal expenses.
``(ii) Estimated sum of indirect costs.--
The estimated sum of the student's indirect
costs for the academic period covered by such
offer, as determined by the sum of each of the
components of indirect costs selected under
clause (i).
``(iii) Grants and scholarships.--Any
amounts of the grants and scholarships
identified under subparagraph (B)(ii), which--
``(I) remain available after
financing the direct costs determined
under subparagraph (B)(i); or
``(II) are required to be used for
indirect costs, as described in
subclause (II) of subparagraph (B)(ii).
``(iv) Out-of-pocket costs (relating to
indirect costs).--The out-of-pocket costs
(relating to indirect costs) that the student,
or the student's family on behalf of the
student, is estimated to have to pay for the
student to attend the institution for such
academic period, equal to--
``(I) the estimated sum of indirect
costs determined under clause (ii);
minus
``(II) the amount of grants and
scholarships determined under clause
(iii).
``(v) Total cost of attendance.--The total
cost of attendance for the student, equal to
the sum of--
``(I) the estimated sum of the
student's direct costs determined
subparagraph (B)(i); and
``(II) the estimated sum of the
student's indirect costs determined
under clause (ii).
``(vi) Total out-of-pocket costs.--The
total out-of-pocket costs that the student, or
the student's family on behalf of the student,
is estimated to have to pay for the student to
attend the institution for such academic
period, equal to the sum of--
``(I) the out-of-pocket costs
(relating to direct costs) determined
under subparagraph (B)(iii); and
``(II) the out-of-pocket costs
(relating to indirect costs) determined
under clause (iv).
``(vii) Financing options.--In plain
language, the offer shall include--
``(I) each of the financing options
listed under subparagraph (B)(iv)(I),
which remain available after financing
the direct costs determined under
subparagraph (B)(i); and
``(II) the disclosures described in
subclauses (II) and (III) of
subparagraph (B)(iv).
``(D) Required contents for both components.--Each
component of the offer described in clauses (i) and
(ii) of subparagraph (A) shall include the following
content:
``(i) Academic period.--An indication of
the academic period covered by the financial
aid offer, an explanation that the financial
aid offered may change for academic periods not
covered by the aid offer or by program, and an
indication, as applicable, about whether the
costs identified under such offer are estimated
based on the previous year, or are set, for the
academic period covered by such offer.
``(ii) Enrollment intensity.--An indication
of whether cost and aid estimates are based on
full-time or part-time enrollment.
``(iii) Institutional grant aid.--In the
case of an institution of higher education that
adjusts awards of institutional grant aid based
on student receipt of financial assistance not
received under this title--
``(I) a statement that eligibility
for institutional grant aid may be
impacted by the receipt of financial
assistance not received under this
title (including all scholarships,
grants, loans, or other assistance
known to the institution at the time
the determination of the student's need
is made); and
``(II) the institutional policies
relating to how receipt of such
assistance may impact eligibility for,
and the amount of, institutional grant
aid.
``(iv) Next step instructions.--Next step
instructions, including--
``(I) the process and deadlines for
accepting (and declining) the financial
aid offered in the offer; and
``(II) information about where to
find additional information on the
financial aid offered, including
contact information for the
institution's financial aid office and
the Department of Education's website
on financial aid.
``(v) Statistics on post completion
earnings and loan repayment.--
``(I) In general.--Statistics
(which may be presented as monthly
amounts) on the median earnings and
median payments on loans made under
part D (excluding Federal Direct PLUS
Loans), for graduates of, or
individuals who complete, the program
for which the student receiving the
financial aid offer is enrolled (or, in
a case in which the student has not
selected a program of study, for the
institution).
``(II) Disclosure.--Any statistics
provided under this clause shall
include a disclosure that such
statistics may not apply to the student
receiving the offer.
``(vi) Information for prospective
students.--In the case of a prospective
student, the process and deadlines for
enrolling at the institution, if such
information is determined necessary by the
Secretary based on the consumer testing
conducted under paragraph (4).
``(vii) Delivery confirmation.-- Include a
delivery confirmation for electronic financial
aid offer forms, except that receipt of the
forms shall not be considered an acceptance or
rejection of aid.
``(4) Consumer testing.--The Secretary shall--
``(A) conduct consumer testing that shall--
``(i) serve as the basis in determining the
requirements for financial aid offers published
under paragraph (2); and
``(ii) include students (including low-
income students, English learners, first
generation college students, veteran students,
graduate students, and undergraduate students
(including prospective students and returning
students)), students' families (including low-
income families, families of English learners,
and families with first generation college
students), institutions of higher education
(including representatives from two- and four-
year institutions, public and private
institutions, and minority-serving
institutions), secondary school and
postsecondary counselors, financial aid
administrators, nonprofit college access
organizations, and nonprofit consumer groups;
and
``(B) not later than 60 days after the publication
of the requirements under paragraph (2)--
``(i) issue a report on the findings of the
consumer testing under this paragraph; and
``(ii) specify ways in which the findings
are reflected in such requirements.
``(5) Data reporting.--Not later than 18 months after the
date of enactment of the College Cost Transparency and Student
Protection Act, the Secretary shall ensure that information
published on the College Scorecard website of the Department
(or any successor website), or the website of each institution
of higher education participating in any program under this
title--
``(A) with respect to the net price or the cost of
attendance of an institution of higher education,
provides separate cost estimates for direct costs and
indirect costs, in a manner consist with the standard
terms and definitions published under paragraph (2);
and
``(B) with respect to the median earnings or median
payments on loans made under this title for students
who complete a program of study at an institution of
higher education, provides such information in a manner
consistent with paragraph (3)(D)(v).
``(6) Definitions.--In this subsection--
``(A) the term `cost of attendance' has the meaning
given the term in section 472;
``(B) the term `direct costs', used with respect to
a student, means the costs determined under paragraph
(3)(B)(i) for such student;
``(C) the term `English learner' has the meaning
given the term in section 8101(20) of the Elementary
and Secondary Education Act of 1965 (20 U.S.C.
7801(20)), except that such term does not include
individuals described in subparagraph (B) of such
section;
``(D) the term `first generation college student'
has the meaning given the term in section 402A(h);
``(E) the term `indirect costs', used with respect
to a student, means the costs determined under
paragraph (3)(C)(ii) for such student;
``(F) the term `low-income student' has the meaning
given the term in section 419N(b)(7);
``(G) the term `minority-serving institution' means
an institution of higher education described in section
371(a); and
``(H) the term `private education loan' has the
meaning given the term in section 140 of the Truth in
Lending Act.''.
<all>
</pre></body></html>
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|
118HR1312 | Deerfield River Wild and Scenic River Study Act of 2023 | [
[
"M000312",
"Rep. McGovern, James P. [D-MA-2]",
"sponsor"
],
[
"N000015",
"Rep. Neal, Richard E. [D-MA-1]",
"cosponsor"
],
[
"B001318",
"Rep. Balint, Becca [D-VT-At Large]",
"cosponsor"
]
] | <p><strong>Deerfield River Wild and Scenic River Study Act of 2023</strong></p> <p>This bill designates the Deerfield River in Massachusetts and Vermont for potential addition to the national wild and scenic rivers system.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1312 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1312
To amend the Wild and Scenic Rivers Act to direct the Secretary of the
Interior to conduct a study of the Deerfield River for potential
addition to the National Wild and Scenic Rivers System, and for other
purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. McGovern (for himself, Mr. Neal, and Ms. Balint) introduced the
following bill; which was referred to the Committee on Natural
Resources
_______________________________________________________________________
A BILL
To amend the Wild and Scenic Rivers Act to direct the Secretary of the
Interior to conduct a study of the Deerfield River for potential
addition to the National Wild and Scenic Rivers System, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Deerfield River Wild and Scenic
River Study Act of 2023''.
SEC. 2. DESIGNATION FOR STUDY; REPORT.
Section 5 of the Wild and Scenic Rivers Act (16 U.S.C. 1276) is
amended--
(1) in subsection (a), by adding at the end the following:
``(145) Deerfield river, massachusetts and vermont.--The
entire river, including--
``(A) the North, South, East, and West Branches of
the Deerfield River; and
``(B) the major tributaries of the Deerfield River,
including the Green River, North River, South River,
Clesson Brook, Chickley River, Cold River, Gulf Brook,
Bog Brook, and Dunbar Brook.''; and
(2) in subsection (b), by adding at the end the following:
``(22) Deerfield river, massachusetts and vermont.--Not
later than 3 years after the date on which funds are made
available to carry out this paragraph, the Secretary of the
Interior shall--
``(A) complete the study described in subsection
(a)(145); and
``(B) submit to the appropriate committees of
Congress a report describing the results of such
study.''.
<all>
</pre></body></html>
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118HR1313 | Transparency in CFPB Cost-Benefit Analysis Act | [
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] | <p><strong>Transparency in CFPB Cost-Benefit Analysis Act </strong></p> <p>This bill sets forth information required to be included in a rulemaking made by the Consumer Financial Protection Bureau (CFPB). Specifically, the CFPB must publish a justification of the proposed rulemaking; a quantitative and qualitative assessment of all anticipated direct and indirect costs and benefits; alternatives to the proposed rulemaking; impacts on small businesses; and any assumptions, data, or studies used in preparing this information. </p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1313 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1313
To enhance rulemaking requirements for the Bureau of Consumer Financial
Protection, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Mooney (for himself, Mr. Posey, Mr. Flood, Mr. Davidson, Mr. Emmer,
Mr. Sessions, Mr. Rose, Mr. Ogles, Mr. Nunn of Iowa, Mrs. Kim of
California, Mr. Steil, Mr. Williams of Texas, Mr. Fitzgerald, Mr.
Huizenga, Mr. Loudermilk, Mr. Luetkemeyer, Mr. Kustoff, Mrs. Houchin,
Mr. Barr, and Mr. Norman) introduced the following bill; which was
referred to the Committee on Financial Services
_______________________________________________________________________
A BILL
To enhance rulemaking requirements for the Bureau of Consumer Financial
Protection, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Transparency in CFPB Cost-Benefit
Analysis Act''.
SEC. 2. TRANSPARENCY IN COST-BENEFIT ANALYSIS.
Section 1022(b) of the Consumer Financial Protection Act of 2010
(12 U.S.C. 5512(b)) is amended by adding at the end the following:
``(5) Additional rulemaking requirements.--
``(A) In general.--Each notice of proposed
rulemaking issued by the Bureau shall be published in
its entirety in the Federal Register and shall
include--
``(i) a statement of the need for the
proposed regulation;
``(ii) an examination of why the Bureau
must undertake the proposed regulation and why
the private market, State, local, or tribal
authorities cannot adequately address the
problem;
``(iii) an examination of whether the
proposed regulation is duplicative,
inconsistent, or incompatible with other
Federal regulations and orders;
``(iv) if the proposed regulation is found
to be duplicative, inconsistent, or
incompatible with other Federal regulations and
orders, a discussion of--
``(I) why the proposed regulation
is justified;
``(II) how the proposed regulation
can coexist with the existing
regulations; and
``(III) how the Bureau plans to
reduce the regulatory burden associated
with the duplicative, inconsistent, or
incompatible proposed regulation;
``(v) a quantitative and qualitative
assessment of all anticipated direct and
indirect costs and benefits of the proposed
regulation, including--
``(I) compliance costs for all
regulated entities, including small
businesses;
``(II) effects on economic
activity, efficiency, competition and
capital formation;
``(III) regulatory and
administrative costs of implementation;
and
``(IV) costs imposed on State,
local and tribal entities;
``(vi) an identification of reasonable
alternatives to the regulation, including
modification of an existing regulation;
``(vii) an analysis of the costs and
benefits, both quantitative and qualitative, of
any alternative identified pursuant to clause
(v);
``(viii) if the Bureau determines the
proposed regulation would increase costs for
small businesses, then the Bureau shall consult
the Office of Advocacy within the Small
Business Administration to determine ways to
minimize the effect of direct and indirect
costs imposed on small businesses by the
proposed regulation;
``(ix) if quantified net benefits of the
proposed action do not outweigh the quantified
net benefits of the alternatives, a
justification of the regulation;
``(x) if quantified benefits identified
pursuant to clause (iv) do not outweigh the
quantified costs of the regulation, a
justification of the regulation;
``(xi) an assessment of how the burden
imposed by the regulation will be distributed;
including whether consumers, or small
businesses will be disproportionately burdened;
and
``(xii) when feasible, and using
appropriate statistical techniques, a
probability distribution of the relevant
outcomes of the proposed regulation.
``(B) Assumptions and studies used.--With respect
to the information required to be included under
subparagraph (A), the Bureau will include--
``(i) a discussion of underlying
assumptions used as a basis for such
information; and
``(ii) a description of any studies or data
used in preparing such information, and whether
such studies were peer-reviewed.''.
<all>
</pre></body></html>
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118HR1314 | LODGE Act | [
[
"M001213",
"Rep. Moore, Blake D. [R-UT-1]",
"sponsor"
],
[
"P000613",
"Rep. Panetta, Jimmy [D-CA-19]",
"cosponsor"
],
[
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[
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"cosponsor"
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[
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]
] | <p><strong>Lodging Options Developed for Government Employees Act or the LODGE Act</strong></p> <p>This bill expands the authority of the Department of the Interior to enter into agreements with housing entities to provide rental housing for employees. </p> <p>The bill allows Interior to enter agreements with other federal agencies, state or local governments, tribal governments, or other public or private organizations to develop, construct, rehabilitate, or manage housing for rent to field employees and members of the public</p> <ul> <li>on public lands, including National Park System units;</li> <li>off public lands in the vicinity of system units; or</li> <li>on a combination of such lands.</li> </ul> <p>Interior may allow field employees and members of the public to occupy and lease project quarters. </p> <p>Field employees and members of the public shall be prohibited from subleasing housing established pursuant to this bill. </p> <p>To the maximum extent practicable, priority for occupancy in project quarters shall be given to field employees. </p> <p>Interior may allow partners in agreements to collect rents directly from housing occupants.</p> <p>Interior, upon the expiration of a term of ownership, may renew the housing partnership agreement for terms not to exceed 10 years or may take other specified actions.</p> <p>The bill modifies the lease-to-build program to allow Interior to lease federal land and interests in land to qualified persons for the construction of field employee quarters for any period not to exceed 60 years (under current law not to exceed 50 years).</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1314 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1314
To authorize the Secretary of the Interior to enter into partnerships
to develop housing, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Moore of Utah (for himself, Mr. Panetta, Mr. Newhouse, and Ms.
Porter) introduced the following bill; which was referred to the
Committee on Natural Resources
_______________________________________________________________________
A BILL
To authorize the Secretary of the Interior to enter into partnerships
to develop housing, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Lodging Options Developed for
Government Employees Act'' or the ``LODGE Act''.
SEC. 2. HOUSING PARTNERSHIPS; OCCUPANCY.
(a) In General.--Subchapter III of chapter 1013 of title 54, United
States Code, is amended--
(1) by amending section 101331 to read as follows:
``Sec. 101331. Definitions
``In this subchapter:
``(1) Field employee.--The term `field employee' means--
``(A) an employee of the Service who is exclusively
assigned by the Service to perform duties at a System
unit, and the members of the employee's family;
``(B) an individual performing duties at the System
unit who is employed by a Service concession,
partnership, educational, or conservation organization,
whose work supports the mission of the System unit, and
the members of the individual's family;
``(C) an individual who is authorized to occupy
Federal Government quarters under section 5911 of title
5 in the vicinity of the System unit, including
individuals who are employees of other Federal
agencies, and the members of the individual's family;
or
``(D) an employee of the Federal Government who
is--
``(i) eligible to live in government
housing; and
``(ii) not an employee of the Service.
``(2) Fundamental resources.--The term `fundamental
resources' means resources essential to achieving the purposes
of the System unit and maintaining its significance, as
identified by the agency in planning documents, including
Foundation Documents.
``(3) Housing accommodation project.--The term `housing
accommodation project' means a project for the development,
construction, rehabilitation, repair, maintenance, operation or
management of housing accommodations, including related
facilities and infrastructure, pursuant to an agreement entered
into under section 101334.
``(4) Housing partnership agreement.--The term `housing
partnership agreement' means an agreement for a housing
accommodation project entered into under section 101334.
``(5) Housing units.--The term `housing units' means
housing units occupied by members of the public in housing
accommodations developed or leased on non-Federal lands under
this subchapter.
``(6) Member of the public.--The term `member of the
public' means an individual, and the members of the
individual's family, who is not a Federal Government employee.
``(7) Primary resource values.--The term `primary resource
values' means resources that are specifically mentioned in the
enabling legislation for that field unit or other resource
value recognized under Federal statute.
``(8) Public lands.--The term `public lands' means lands
under the administrative jurisdiction of the Federal
Government.
``(9) Quarters.--The term `quarters' means quarters
occupied by field employees and are, for such purpose--
``(A) provided by the Federal Government; or
``(B) developed or leased by the Federal Government
in accordance with a housing partnership agreement,
lease, or contract under this subchapter.'';
(2) in section 101332--
(A) in subsection (a)(2), by--
(i) striking ``rates'' and inserting
``affordable rates''; and
(ii) by inserting ``, unless otherwise
authorized,'' after ``based'';
(B) in subsection (c)--
(i) by inserting ``under the administrative
jurisdiction of the Service'' after ``any
land''; and
(ii) by inserting ``or fundamental
resources'' after ``primary resource value'';
and
(C) in subsection (d), by inserting ``, unless
otherwise authorized,'' after ``that are based'';
(3) in section 101333, by inserting ``or affordability''
after ``lack of availability'';
(4) by amending section 101334 to read as follows:
``Sec. 101334. Authorization for housing accommodation projects
``(a) In General.--The Secretary may, pursuant to the authorities
contained in this subchapter and subject to the appropriation of
necessary funds in advance, enter into housing partnership agreements
with other Federal agencies, State or local governments, Tribal
Governments, housing entities, or other public or private
organizations, for the purposes of facilitating housing accommodation
projects for rent to field employees and members of the public--
``(1) on public lands, including System units;
``(2) off public lands in the vicinity of System units; or
``(3) a combination of public lands described in paragraphs
(1) and (2).
``(b) Terms and Conditions.--
``(1) National park lands.--For any housing partnership
agreements for housing accommodation projects on lands under
the administrative jurisdiction of the Service, the Secretary
shall--
``(A) ensure the housing accommodation project and
the use thereof are in conformity with the approved
plans, including housing management plans, for the
System unit and Director's Orders and reference manuals
related to Service housing;
``(B) ensure that the location of the housing
accommodation project will avoid degradation to the
primary resource values and fundamental resources
within the System unit, and will not adversely affect
the mission of the Service;
``(C) ensure the entities responsible for the
housing accommodation project comply with applicable
law and policies, including the provisions of this
subchapter;
``(D) identify the funding to be used in performing
the housing accommodation project;
``(E) provide standards that must be met, as
applicable, to ensure that the housing accommodation
project, including related facilities and
infrastructure, are kept in good condition and repair;
and
``(F) that the agreements include any other terms
and conditions the Secretary may consider advisable to
protect the interests of the United States.
``(2) Other public or private lands.--For any housing
partnership agreements for housing accommodation projects on
other public or private lands located in the vicinity of the
relevant System unit and not under the administrative
jurisdiction of the Service, the Secretary shall ensure the
agreements--
``(A) have received the approval of each
appropriate State or local government, Tribal
government, or other public or private entity involved;
``(B) identify both the Federal and non-Federal
funding to be used in completing the housing and
related facilities; and
``(C) any other terms and conditions the Secretary
may consider advisable to protect the interests of the
United States.
``(c) Housing Occupancy.--
``(1) In general.--The Secretary may allow field employees
and members of the public to occupy and lease housing
accommodation project quarters.
``(2) Compliance.--Members of the public occupying quarters
shall be subject to the same laws and policies with which field
employees are required to comply, as applicable.
``(3) Prohibition.--Field employees and members of the
public shall be prohibited from subleasing housing units or
quarters developed or leased in accordance with a housing
partnership agreement under this section, including all forms
of short-term rentals.
``(4) Preference.--To the maximum extent practicable,
priority for occupancy in project quarters shall be given to
field employees.
``(d) Contracting Procedures.--Each housing partnership agreement
awarded pursuant to this section shall be awarded through the use of
publicly advertised, competitively bid, or competitively negotiated
procedures, unless the Secretary--
``(1) determines that it is in the public interest to use
procedures other than competitive procedures with respect to
the particular housing partnership agreement concerned; and
``(2) notifies, in writing, the Committee on Energy and
Natural Resources of the Senate and the Committee on Natural
Resources of the House of Representatives of such
determinations and the rationale for such determination.
``(e) Rent.--
``(1) Collection.--The Secretary may collect, or may
authorize entities who have entered into partnership housing
agreements under this section to collect, rents directly from
field employees and members of the public occupying housing
units or quarters.
``(2) Rates.--For field employees, rent collected under
this subsection may not exceed the rates determined pursuant to
guidance in the document entitled `Circular No. A-45 Revised'
and dated November 25, 2019 (or subsequent guidance).
``(f) Expiration of Agreements.--
``(1) Within system units.--The Secretary may allow long-
term leases or term-limited ownership of housing units or
quarters on public lands, as appropriate, to facilitate the
ability of an entity with whom a housing partnership agreement
has been entered into under subsection (b) to secure financing.
``(2) Expiration of term on public lands.--
``(A) In general.--Upon expiration of a term of
ownership under paragraph (1), the Secretary may--
``(i) renew the housing partnership
agreement for terms not to exceed 10 years;
``(ii) require the entity with whom a
housing partnership agreement has been entered
into under subsection (a) to demolish the
housing accommodations and related facilities
and infrastructure, and restore the land to
conditions generally existing before
construction on the lands upon which the
housing accommodation project is located
without any cost to the Federal Government;
``(iii) take ownership of the housing
accommodations and related facilities and
infrastructure, including fixtures and personal
property necessary for the operation of the
property; or
``(iv) enter into a new housing partnership
agreement.
``(B) Covering costs.--If taking ownership of
buildings under subparagraph (A)(ii), the Secretary may
require the owner whose term of ownership is expiring
to cover costs associated with preparing the building
site for new or continued use.
``(3) On non-federal lands.--Upon expiration of a housing
partnership agreement for housing accommodations on non-Federal
lands, the Secretary may extend the housing partnership
agreement for terms not to exceed 10 years.'';
(5) in section 101335--
(A) in subsection (a)--
(i) in paragraph (1)(A), by striking ``50''
and inserting ``60'';
(ii) in paragraph (2)--
(I) by striking ``procedures.'' and
inserting ``procedures, unless--''; and
(II) by adding at the end the
following:
``(A) the lease is awarded to a nonprofit or
government entity; or
``(B) the Secretary determines that it is in the
public interest to use procedures other than
competitive procedures in the particular lease
concerned and notifies, in writing, the Committee on
Energy and Natural Resources of the Senate and the
Committee on Natural Resources of the House of
Representatives of such determination and the rationale
for such determination.''; and
(iii) in paragraph (3)(D), by inserting ``,
affordability,'' after ``improve the quality'';
and
(B) in subsection (b)--
(i) by striking paragraphs (2) and (3); and
(ii) by inserting after paragraph (1) the
following:
``(2) Terms and conditions.--Any arrangement made pursuant
to this subsection shall contain such terms and conditions as
the Secretary considers necessary or appropriate to protect the
interests of the United States and ensure that necessary
quarters are available to field employees.''; and
(C) by redesignating paragraph (4) as paragraph
(3);
(6) in section 101336, by inserting ``rehabilitation,''
after ``repair,'';
(7) by amending section 101338 to read as follows:
``Sec. 101338. General provisions
``(a) Exemptions.--The following provisions shall not apply to
leases contracts, or housing partnership agreements awarded by the
Secretary under this subchapter:
``(1) Sections 102102 and 102901 of this title.
``(2) Section 1302 of title 40.
``(b) Proceeds From Leases.--The proceeds from any lease or housing
partnership agreement under this subchapter from which the Service
directly collects the proceeds shall be retained by the Service and
deposited in the special fund established for repair, maintenance,
rehabilitation, and operations of housing units and quarters and
associated facilities and infrastructure.''; and
(8) in section 101340--
(A) by amending subsection (a) by striking ``, in
sequential order,''; and
(B) by amending subsection (b) to read as follows:
``(b) Annual Budget Submittal.--Each fiscal year, the President's
proposed budget to Congress shall include--
``(1) identification of non-construction funds to be spent
for Service housing maintenance and operations that are in
addition to rental receipts collected;
``(2) the use of each of the authorities provided to the
Service under this subchapter;
``(3) the number of additional housing units needed within
the National Park System;
``(4) any barriers that have been identified to providing
the needed housing; and
``(5) any recommendations for changes to existing
authorities that would help to remove those barriers.''.
(b) Clerical Amendments.--The table of sections for chapter 1013 of
title 54, United States Code, is amended as follows:
(1) By striking the item related to section 101334 and
inserting the following new item:
``Sec. 101334. Authorization for housing accommodation projects''.
(2) By striking the item related to section 101338 and
inserting the following new item:
``Sec. 101338. General provisions''.
<all>
</pre></body></html>
| [
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"Government employee pay, benefits, personnel management",
"Housing industry and standards",
"Land use and conservation",
"Low- and moderate-income housing",
"Parks, recreation areas, trails",
"Public-private cooperation"
] | {
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118HR1315 | PC–CARE Act | [
[
"M001210",
"Rep. Murphy, Gregory [R-NC-3]",
"sponsor"
]
] | <p><strong>Prostate Cancer Community Assistance, Research and Education Act of 2023 or the PC-CARE Act</strong></p> <p>This bill establishes a committee to develop, implement, and periodically revise a plan to coordinate federal activities and programs concerning prostate cancer, including those related to research, screening, diagnosis, and treatment.</p> <p>Committee members must include representatives from specified federal agencies, as well as researchers, clinicians, individuals living with prostate cancer (or their caregivers), and other stakeholders. In addition, at least half of the members must be physicians.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1315 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1315
To amend the Public Health Service Act to establish a Prostate Cancer
Coordinating Committee, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Murphy introduced the following bill; which was referred to the
Committee on Energy and Commerce
_______________________________________________________________________
A BILL
To amend the Public Health Service Act to establish a Prostate Cancer
Coordinating Committee, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Prostate Cancer Community
Assistance, Research and Education Act of 2023'' or the ``PC-CARE
Act''.
SEC. 2. FINDINGS.
Congress finds the following:
(1) Prostate cancer is the most commonly diagnosed non-skin
cancer and the second leading cause of cancer-related deaths
among men in the United States.
(2) Over 3,100,000 men in the United States live with a
prostate cancer diagnosis and it is estimated that in 2023,
288,300 men will be diagnosed with, and more than 34,700 men
will die of, prostate cancer.
(3) Men with at least one close relative who has been
diagnosed with prostate cancer have twice the risk of having
prostate cancer compared to the general population.
(4) At least 12 percent of men with metastatic prostate
cancer have inherited predispositions to the disease and
potentially actionable genomic alterations have been identified
in over 90 percent of men with metastatic castration-resistant
prostate cancer.
(5) Advances in science to identify, test, and treat these
men at increased genetic risk of disease are needed.
(6) African-American men suffer from a prostate cancer
incidence rate that is significantly higher than that of White
men and have more than double the prostate cancer mortality
rate than that of White men.
(7) Research has shown that veterans exposed to herbicides,
such as Agent Orange, are at higher risk for and more likely to
be diagnosed with aggressive forms of prostate cancer.
(8) Screening by a digital rectal examination and a
prostate-specific antigen blood test can detect the disease at
the earlier, more treatable stages.
(9) Men diagnosed with early stage disease have a nearly
100 percent 5-year survival rate but only 30 percent of men
survive more than 5 years if diagnosed with prostate cancer
after the cancer has metastasized.
(10) Early-staged prostate cancer has no symptoms, raising
the importance of early detection and screening.
(11) The Department of Health and Human Services, the
Department of Defense, and the Department of Veterans Affairs
all have a role in providing care for and conducting research
on prostate cancer.
(12) Multiple institutes at the National Institutes of
Health are engaged in prostate cancer care and research,
including the National Cancer Institute, National Institute of
Biomedical Imaging and Bioengineering, the National Institute
on Minority Health and Health Disparities, and the Clinical
Center.
(13) Additional agencies and offices within the Department
of Health and Human Services conduct activities related to
prostate cancer, including the Centers for Medicare and
Medicaid Services, the Centers for Disease Control and
Prevention, the Food and Drug Administration, the Health
Resources and Services Administration, the Office of Minority
Health, and the Agency for Healthcare Research and Quality.
(14) The Department of Defense created the Prostate Cancer
Research Program in 1997 and has funded more than
$2,000,000,000 in prostate cancer research since that time.
(15) Private foundations have provided substantial funding
to the prostate cancer research community for almost three
decades, including support for over 200 cancer centers and
universities.
(16) The Director of the National Institutes of Health has
partnered with private prostate cancer research groups to study
to study biological and nonbiological factors associated with
aggressive prostate cancer in African-American men.
(17) The Secretary of Veterans Affairs has partnered with
private foundations to establish precision oncology program
hubs for prostate cancer.
(18) The Director of the Centers for Disease Control and
Prevention has partnered with multiple private stakeholder
groups to increase awareness and education around prostate
cancer in the general population and among high-risk groups.
(19) Increased coordination of governmental and
nongovernmental activities can reduce costs and increase
effectiveness of ongoing work.
(20) Joint planning and goal setting across the Government
and private sector can create a pathway toward eliminating
prostate cancer deaths and improving care for millions of men.
SEC. 3. PROSTATE CANCER COORDINATING COMMITTEE.
Part A of title IV of the Public Health Service Act (42 U.S.C. 281
et seq.) is amended by adding at the end the following:
``SEC. 404F. PROSTATE CANCER COORDINATING COMMITTEE.
``(a) Establishment.--The Secretary shall establish a committee to
be known as the Prostate Cancer Coordinating Committee (referred to in
this section as the `Coordinating Committee').
``(b) Duties.--The Coordinating Committee shall--
``(1) monitor, coordinate, and evaluate activities with
respect to prostate cancer research programs carried out by
Federal agencies; and
``(2) develop and implement the plan under subsection (g).
``(c) Composition.--
``(1) In general.--The Coordinating Committee shall be
composed of not more than 24 members, to be appointed by the
Secretary, of whom--
``(A) one-half shall represent Federal agencies
that carry out research or treatment activities with
respect to prostate cancer, including--
``(i) the Director of the National
Institutes of Health (or designee);
``(ii) the directors of the appropriate
agencies of the National Institutes of Health
(or designees), including the National Cancer
Institute;
``(iii) the Director of the Centers for
Disease Control and Prevention (or designee);
``(iv) the Administrator of the Health
Resources and Services Administration (or
designee);
``(v) the Administrator of the Centers for
Medicare & Medicaid Services (or designee);
``(vi) the Commissioner of Food and Drugs
(or designee);
``(vii) the Secretary of Defense (or
designee); and
``(viii) the Secretary of Veterans Affairs
(or designee); and
``(B) one-half shall be individuals who have
experience with prostate cancer, including--
``(i) not less than 3 individuals who are
living with prostate cancer (or a caregiver of
such individual);
``(ii) not less than 3 researchers;
``(iii) not less than 3 clinicians;
``(iv) not less than 3 representatives from
patient groups; and
``(v) not less than 3 representatives from
professional medical societies.
``(2) Physician requirement.--Of the members appointed
under paragraph (1), not less than one-half shall be
physicians.
``(d) Term; Vacancies.--
``(1) In general.--A member shall be appointed for a term
of 3 years.
``(2) Vacancies.--A vacancy on the Coordinating Committee
shall be filled in the same manner as the original appointment
was made.
``(e) Reappointment.--The Secretary may reappoint a member of the
Coordinating Committee to an unlimited number of terms.
``(f) Chair.--The Secretary shall appoint the chair of the
Coordinating Committee.
``(g) Plan.--Not later than 1 year after the date of the enactment
of this section, the Coordinating Committee shall develop and implement
a plan (and update such plan every 3 years thereafter), in consultation
with a broad range of scientists, patients, clinicians, and advocacy
groups, on prostate cancer research programs and activities carried out
by Federal agencies. Such plan shall include the following:
``(1) The identification of existing prostate cancer
programs and activities of the--
``(A) the Department of Health and Human Services,
including the National Institutes of Health;
``(B) the Department of Defense; and
``(C) the Department of Veterans Affairs.
``(2) An evaluation on research with respect to the
underlying causes, prevalence, treatment, and mortality of
prostate cancer, including any disparity among African-American
and other high-risk men (defined as men who have a family
history of prostate cancer, a genetic predisposition for
prostate cancer, or developed cancer due to exposure to certain
chemical and radiological agents).
``(3) With respect to prostate cancer--
``(A) an evaluation on the effectiveness of current
screening and diagnostic techniques; and
``(B) recommendations for improving such
techniques.
``(4) An evaluation on the effectiveness of treatments for
prostate cancer and the development of recommendations for new
treatments, including new biological agents.
``(5) With respect to prostate cancer, an evaluation on the
effectiveness of clinical practice guidelines and the
development of recommendations to improve such guidelines.
``(6) The development of recommendations to improve
clinical pathways in private and government-operated medical
systems, including screening and diagnosis and information on
informed and shared decision making.
``(7) The development of recommendations for research
investigation methods for improving the quality of life of
individuals who have survived with prostate cancer.
``(8) With respect to prostate cancer, an evaluation on the
effectiveness of information and education programs for health
care professionals and the public.
``(9) With respect to screening and clinical trial
enrollment for prostate cancer, recommendations to improve
outreach and education, including best practices for outreach
to African-American men and other high-risk men.
``(h) Meetings.--The Coordinating Committee shall meet at the
request of the Secretary not less 3 times each year.
``(i) FACA.--Except as provided in this section, the Federal
Advisory Committee Act (5 U.S.C. App.) shall not apply to the
Coordinating Committee.
``(j) Report.--
``(1) Initial report.--Not later than 1 year after the date
of the enactment of this section, the Coordinating Committee
shall submit recommendations using the plan under subsection
(g) to the following:
``(A) The Secretary of the Department of Health and
Human Services.
``(B) The Secretary of Defense.
``(C) The Secretary of Veterans Affairs.
``(D) The Committees on Energy and Commerce and
Appropriations of the House of Representatives.
``(E) The Committees on Health, Education, Labor,
and Pensions and Appropriations of the Senate.
``(2) Updated reports.--Not later than 3 years after the
date of the enactment of this section, and every 3 years
thereafter, the Coordinating Committee shall submit to the
secretaries and committees listed in paragraph (1)--
``(A) updated recommendations using the plan under
subsection (g); and
``(B) a summary of progress made with respect to
recommendations submitted pursuant to this section.
``(k) Authorization of Appropriations.--There are authorized to be
appropriated to carry out this section such sums as may be necessary
for each of fiscal years 2024 through 2030.''.
<all>
</pre></body></html>
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118HR1316 | Save Children’s Coverage Act | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1316 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1316
To amend titles XIX and XXI of the Social Security Act to allow States
to provide for extended periods of continuous coverage under the
Medicaid and CHIP programs for children, to provide a period of
continuous eligibility under the Medicaid program for certain adults,
and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Neguse introduced the following bill; which was referred to the
Committee on Energy and Commerce
_______________________________________________________________________
A BILL
To amend titles XIX and XXI of the Social Security Act to allow States
to provide for extended periods of continuous coverage under the
Medicaid and CHIP programs for children, to provide a period of
continuous eligibility under the Medicaid program for certain adults,
and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Save Children's Coverage Act''.
SEC. 2. OPTIONAL EXTENSION OF CONTINUOUS ELIGIBILITY FOR CHILDREN UNDER
MEDICAID AND CHIP.
(a) Under the Medicaid Program.--Section 1902(e) of the Social
Security Act (42 U.S.C. 1396a(e)) is amended by adding at the end the
following new paragraph:
``(17) Optional extension of continuous eligibility for
children.--
``(A) Children under age 6.--At the option of the
State, the State plan (or waiver of such State plan)
may provide that an individual who is under the age of
6 and who is determined to be eligible for benefits
under a State plan (or waiver of such plan) approved
under this title may remain eligible for such benefits
until the earlier of--
``(i) the time that such individual attains
the age of 6; or
``(ii) the date that such individual ceases
to be a resident of such State.
``(B) Children age 6 through 18.--At the option of
the State, the State plan (or waiver of such State
plan) may provide that an individual who is over the
age of 5 and under the age of 19, and who is determined
to be eligible for benefits under a State plan (or
waiver of such plan) approved under this title, may
remain eligible for such benefits until the earlier
of--
``(i) the end of the 24-month period
beginning on the date of such determination;
``(ii) the time that such individual
attains the age of 19; or
``(iii) the date that such individual
ceases to be a resident of such State.''.
(b) Under the Children's Health Insurance Program.--Section
2107(e)(1) of the Social Security Act (42 U.S.C. 1397gg(e)(1)) is
amended--
(1) by redesignating subparagraphs (L) through (U) as
subparagraphs (M) through (V), respectively; and
(2) by inserting after subparagraph (K) the following new
subparagraph:
``(L) Section 1902(e)(17) (relating to the State
option to extend continuous eligibility for children
under the age of 19).''.
(c) Effective Date.--The amendments made by this section shall take
effect on the first day following the end of the emergency period
described in section 1135(g)(1)(B) of the Social Security Act (42
U.S.C. 1320b-5(g)(1)(B)).
SEC. 3. OPTION TO PROVIDE CONTINUOUS ELIGIBILITY FOR CERTAIN
INDIVIDUALS UNDER MEDICAID.
(a) In General.--Section 1902(e) of the Social Security Act (42
U.S.C. 1396a(e)), as amended by section 2, is further amended by adding
at the end the following new paragraph:
``(18) Option for continuous eligibility for certain
individuals.--
``(A) In general.--At the option of the State, the
State plan (or waiver of such State plan) may provide
that an eligible individual (as defined in subparagraph
(B)) who is determined to be eligible for benefits
under a State plan (or waiver of such plan) approved
under this title, may remain eligible for such benefits
until the earlier of--
``(i) the end of the 12-month period
beginning on the date of such determination; or
``(ii) the date that such individual ceases
to be a resident of such State.
``(B) Eligible individual defined.--For purposes of
this paragraph, the term `eligible individual' means an
individual over the age of 18--
``(i) whose income does not exceed 28
percent of the poverty line (as defined by the
Office of Management and Budget, and revised
annually in accordance with section 673(2) of
the Omnibus Budget Reconciliation Act of 1981);
``(ii) who, in the 2 years prior to such
individual's application for medical assistance
under a plan under this title, experienced
homelessness (as defined in section 103 of the
McKinney-Vento Homeless Assistance Act); or
``(iii) who, in the 2 years prior to such
individual's application for medical assistance
under a plan under this title, was incarcerated
in a prison or psychiatric hospital.''.
(b) Effective Date.--The amendment made by this section shall take
effect on the first day following the end of the emergency period
described in section 1135(g)(1)(B) of the Social Security Act (42
U.S.C. 1320b-5(g)(1)(B)).
SEC. 4. DATA VERIFICATION REQUIREMENT FOR NEW WAIVERS.
(a) Program Waivers.--Section 1915 of the Social Security Act (42
U.S.C. 1396n) is amended--
(1) in subsection (b), by striking ``The Secretary'' and
inserting ``Subject to subsection (m), the Secretary'';
(2) in subsection (c)(1), by striking ``The Secretary may
by waiver'' and inserting ``Subject to subsection (m), the
Secretary may by waiver''; and
(3) by adding at the end the following new subsection:
``(m) Data Verification Requirement for New Waivers.--In the case
of a waiver granted under this section on or after the first day
following the end of the emergency period described in section
1135(g)(1)(B) of the Social Security Act, as a condition of receiving
such waiver, a State shall agree to conduct an annual review of the
demographic information of individuals enrolled under a State plan
under this title, including the names, dates of birth, and contact
information for such individuals.''.
(b) Research and Demonstration Waivers.--Section 1115 of the Social
Security Act (42 U.S.C. 1315) is amended--
(1) in subsection (a)(1), by inserting ``subject to
subsection (g),'' before ``the Secretary''; and
(2) by adding at the end the following new subsection:
``(g) In the case of a waiver granted under this section on or
after the first day following the end of the emergency period described
in section 1135(g)(1)(B) of the Social Security Act, as a condition of
receiving such waiver, a State shall agree to conduct an annual review
of the demographic information of individuals enrolled under a State
plan under this title, including the names, dates of birth, and contact
information for such individuals.''.
<all>
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|
118HR1317 | Continental Divide Trail Completion Act | [
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] | <p><strong>Continental Divide Trail Completion Act</strong></p> <p>This bill directs the Department of Agriculture (USDA) and the Department of the Interior to complete the Continental Divide National Scenic Trail by November 10, 2028.</p> <p>USDA and Interior must establish a joint Forest Service and Bureau of Land Management trail completion team to work in coordination with the administrator of the trail to facilitate its completion and optimization.</p> <p>USDA must submit to specified congressional committees a comprehensive development plan for the trail.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1317 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1317
To require the Secretary of Agriculture and the Secretary of the
Interior to prioritize the completion of the Continental Divide
National Scenic Trail, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Neguse (for himself, Ms. Leger Fernandez, and Ms. Stansbury)
introduced the following bill; which was referred to the Committee on
Natural Resources
_______________________________________________________________________
A BILL
To require the Secretary of Agriculture and the Secretary of the
Interior to prioritize the completion of the Continental Divide
National Scenic Trail, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Continental Divide Trail Completion
Act''.
SEC. 2. DEFINITIONS.
In this Act:
(1) Acequia.--The term ``acequia'' has the meaning given
the term ``community ditch'' in New Mexico Stat. 73-2-27.
(2) Land grant-merced.--The term ``land grant-merced''
means a community land grant issued under the laws or customs
of the Government of Spain or Mexico that is recognized under
chapter 49 of New Mexico Stat. (or a successor statute).
(3) Optimal location review.--The term ``optimal location
review'' means a review conducted in accordance with the
process described in the guide entitled ``Continental Divide
National Scenic Trail Optimal Location Review Guide'' and dated
November 2017.
(4) Secretaries.--The term ``Secretaries'' means each of
the Secretary and the Secretary of the Interior.
(5) Secretary.--The term ``Secretary'' means the Secretary
of Agriculture, acting through the Chief of the Forest Service.
(6) Team.--The term ``Team'' means the joint Forest Service
and Bureau of Land Management Trail completion team established
under section 3(b).
(7) Trail.--The term ``Trail'' means the Continental Divide
National Scenic Trail established by section 5(a)(5) of the
National Trails System Act (16 U.S.C. 1244(a)(5)).
SEC. 3. CONTINENTAL DIVIDE NATIONAL SCENIC TRAIL.
(a) Completion of Trail.--
(1) In general.--Not later than November 10, 2028, the
Secretaries shall, to the maximum extent practicable, ensure
the completion of the Trail as a contiguous route, consistent
with sections 3(a)(2), 5(a)(5), and 7 of the National Trails
System Act (16 U.S.C. 1242(a)(2), 1244(a)(5), 1246).
(2) Required activities.--The Secretaries shall, to the
maximum extent practicable, carry out necessary activities to
achieve the goal described in paragraph (1), including the
following activities, in the following order of priority:
(A) Complete the Trail by acquiring land or an
interest in land, entering into easement agreements, or
encouraging a State or local government to enter into a
cooperative agreement to acquire any interest in land,
that is necessary--
(i) to eliminate gaps between sections of
the Trail; and
(ii) to maintain the nature and purposes of
the Trail.
(B) If appropriate and supported by local affected
stakeholders, optimize the Trail by relocating,
consistent with the nature and purposes of the Trail,
existing incompatible portions of the Trail onto
Federal land as necessary to provide for--
(i) maximum outdoor recreation potential;
(ii) the conservation and enjoyment of the
nationally significant scenic, historic,
natural, or cultural qualities of the areas
through which the Trail passes;
(iii) continuity in land ownership, if
desired by the owner of the affected land; and
(iv) segments of the Trail that are
comparable in length to the segments of the
Trail being relocated.
(C) Publish maps of the completed corridor of the
Trail.
(b) Trail Completion Team.--
(1) In general.--In carrying out subsection (a), not later
than 1 year after the date of enactment of this Act, the
Secretaries shall establish a joint Forest Service and Bureau
of Land Management Trail completion team to work in
coordination with the administrator of the Trail to facilitate
the completion and optimization of the Trail, pursuant to the
purposes of section 3(a)(2) of the National Trails System Act
(16 U.S.C. 1242(a)(2)), consistent with the nature and purposes
of the Trail.
(2) Duties of the team.--The Team shall--
(A) carry out land and right-of-way acquisitions,
easement acquisitions, relocations, and Trail
construction activities, consistent with any optimal
location reviews, giving priority to land that--
(i) eliminates gaps between segments of the
Trail;
(ii) may be acquired for the Trail by the
Secretary or the Secretary of the Interior by--
(I) purchase from a willing seller;
(II) donation;
(III) exchange;
(IV) cooperative agreement; or
(V) easement agreement;
(iii) is best suited for inclusion in the
Trail corridor in accordance with the purposes,
policy, and provisions of the National Trails
System Act (16 U.S.C. 1241 et seq.);
(iv) if appropriate and supported by local
affected stakeholders, has been identified as a
segment of the Trail on Federal land that
should be relocated to provide for maximum
outdoor recreation potential and the
conservation and enjoyment of the nationally
significant scenic, historic, natural, or
cultural qualities of the areas through which
the Trail passes;
(v) mitigates land use conflicts;
(vi) would support the development of rural
communities through use as a trail; and
(vii) minimizes the distance to connect
compatible segments of the Trail;
(B) provide the necessary administrative and
technical support to complete conveyances of the Trail
corridor under subsection (a);
(C) as appropriate, consult with other Federal
agencies, Governors of the affected States, affected
Indian Tribes, local governments, affected land owners,
land-grant mercedes, acequias, and applicable owners or
users of a land grant-merced or acequia, the
Continental Divide Trail Coalition, and other volunteer
and nonprofit organizations that assist in the
development, maintenance, and management of the Trail;
and
(D) support the Secretary in the development of the
comprehensive development plan for the Trail under
subsection (c) and annual reports under subsection (f).
(c) Comprehensive Development Plan.--
(1) In general.--Not later than 2 years after the date of
establishment of the Team under subsection (b), the Secretary
shall submit to the Committee on Energy and Natural Resources
of the Senate and the Committee on Natural Resources of the
House of Representatives a comprehensive development plan for
the Trail.
(2) Recommended inclusions.--The plan submitted under
paragraph (1) should--
(A) identify any gaps in the Trail with respect to
which the Secretaries have not been able to acquire
land or interests in land by purchase from a willing
seller, donation, exchange, cooperative agreement, or
easement agreement;
(B) include a plan for closing the gaps identified
under paragraph (1) by acquiring land or interests in
land or entering into an easement agreement; and
(C) include general and site-specific development
plans, including anticipated costs.
(d) Method of Acquisition.--In carrying out this section, the
Secretaries--
(1) may acquire land or an interest in land only by--
(A) purchase from a willing seller with donated or
appropriated funds;
(B) donation;
(C) exchange;
(D) cooperative agreement; or
(E) easement agreement; and
(2) may not acquire land or an interest in land by eminent
domain.
(e) Maintaining Existing Partnerships.--In carrying out this
section, the Secretaries shall continue to maintain and develop working
relationships with volunteer and nonprofit organizations that assist in
the development, maintenance, and management of the Trail.
(f) Reports.--Not later than September 30, 2025, and not later than
the end of each fiscal year thereafter until the date on which the
comprehensive development plan for the Trail is determined by the
Secretary to be fully implemented, the Secretary shall submit to the
Committee on Energy and Natural Resources of the Senate and the
Committee on Natural Resources of the House of Representatives a report
that includes the following:
(1) A description of the progress of the Secretaries in
acquiring land or interests in land to complete the Trail
consistent with this Act.
(2) The quantity of land or interests in land acquired
during the fiscal year and the amount expended for the land or
interests in land.
(3) The quantity of land or interests in land planned for
acquisition in the subsequent fiscal year and the estimated
cost of the land or interests in land.
(4) The estimated quantity of land or interests in land
remaining to be acquired after taking into account the
acquisitions under paragraphs (2) and (3).
(5) The existing number of miles of the Trail on Federal
land that need to be relocated to provide for--
(A) maximum outdoor recreation potential; and
(B) conservation and enjoyment of the nationally
significant scenic, historic, natural, or cultural
qualities of the areas through which the Trail passes.
<all>
</pre></body></html>
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118HR1318 | Women’s Suffrage National Monument Location Act | [
[
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"sponsor"
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[
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],
[
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],
[
"V000081",
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"cosponsor"
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[
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[
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[
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[
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[
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[
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[
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[
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] | <p><strong>Women's Suffrage National Monument Location Act</strong></p> <p>This bill authorizes the location of a monument on the National Mall to commemorate the women's suffrage movement and the passage of the 19th Amendment to the Constitution.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1318 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1318
To authorize the location of a monument on the National Mall to
commemorate and honor the women's suffrage movement and the passage of
the 19th Amendment to the Constitution, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Neguse (for himself, Mrs. Lesko, Mr. Fitzpatrick, Ms. Velazquez,
Ms. Porter, Ms. Wild, Mr. McGovern, Mrs. Gonzalez-Colon, Mrs. Watson
Coleman, Mr. Carter of Louisiana, Mrs. Lee of Nevada, Mr. Carbajal, Ms.
Pettersen, and Ms. Lofgren) introduced the following bill; which was
referred to the Committee on Natural Resources
_______________________________________________________________________
A BILL
To authorize the location of a monument on the National Mall to
commemorate and honor the women's suffrage movement and the passage of
the 19th Amendment to the Constitution, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Women's Suffrage National Monument
Location Act''.
SEC. 2. WOMEN'S SUFFRAGE NATIONAL MONUMENT.
(a) Site.--Notwithstanding section 8908(c) of title 40, United
States Code, the Women's Suffrage National Monument shall be located
within the Reserve.
(b) Applicability of Commemorative Works Act.--Except as provided
in subsection (a), chapter 89 of title 40, United States Code (commonly
known as the ``Commemorative Works Act''), shall apply to the Women's
Suffrage National Monument.
(c) Definitions.--In this section:
(1) Women's suffrage national monument.--The term ``Women's
Suffrage National Monument'' means the commemorative work
authorized to be established under Public Law 116-217 (40
U.S.C. 8903 note).
(2) Reserve.--The term ``Reserve'' has the meaning given
such term in section 8902(a)(3) of title 40, United States
Code.
<all>
</pre></body></html>
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118HR1319 | Biking on Long-Distance Trails Act | [
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] | <p><strong>Biking on Long-Distance Trails Act</strong></p> <p>This bill establishes requirements related to long-distance bike trails.</p> <p>The Department of the Interior and the Department of Agriculture (USDA) shall identify </p> <ul> <li>not fewer than 10 long-distance bike trails that make use of existing trails and roads, and</li> <li>not fewer than 10 areas in which there is an opportunity to develop or complete a trail that would qualify as a long-distance bike trail.</li> </ul> <p>Interior and USDA shall </p> <ul> <li> develop a process to allow members of the public to comment regarding the identification of trails and areas; and </li> <li>consider the identification, development, and completion of long-distance bike trails in a geographically equitable manner.</li> </ul> <p>The Department concerned shall ensure that each identified long-distance bike trail or area does not conflict with </p> <ul> <li>the uses of any trail or road that is part of that long-distance bike trail;</li> <li>multiple-use areas where biking, hiking, horseback riding, or use by pack and saddle stock are existing uses;</li> <li>the purposes for which any trail was or is established under the National Trails System Act; and</li> <li> any area managed under the Wilderness Act.</li> </ul> <p>The Department concerned shall also ensure that each identified long-distance trail or area complies with land use and management plans of the federal recreational lands that are part of that long-distance bike trail.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1319 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1319
To require the Secretary of the Interior and the Secretary of
Agriculture to develop long-distance bike trails on Federal land.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Neguse (for himself, Mr. Curtis, and Mrs. Lee of Nevada) introduced
the following bill; which was referred to the Committee on Natural
Resources, and in addition to the Committee on Agriculture, for a
period to be subsequently determined by the Speaker, in each case for
consideration of such provisions as fall within the jurisdiction of the
committee concerned
_______________________________________________________________________
A BILL
To require the Secretary of the Interior and the Secretary of
Agriculture to develop long-distance bike trails on Federal land.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Biking on Long-Distance Trails
Act''.
SEC. 2. DEFINITIONS.
In this Act:
(1) Federal recreational lands.--The term ``Federal
recreational lands'' has the meaning given the term ``Federal
recreational lands and waters'' in section 802(5) of the
Federal Lands Recreation Enhancement Act (16 U.S.C. 6801(5)).
(2) Long-distance bike trail.--The term ``long-distance
bike trail'' means a continuous route, consisting of 1 or more
trails or rights-of-way, that--
(A) is not less than 80 miles in length;
(B) primarily makes use of dirt or natural surface
trails;
(C) may require connections along paved or other
improved roads;
(D) does not include Federal recreational lands
where mountain biking or related activities are not
consistent with management requirements for those
Federal recreational lands; and
(E) to the maximum extent practicable, makes use of
trails and roads that were on Federal recreational
lands on or before the date of the enactment of this
Act.
(3) Secretaries.--The term ``Secretaries'' means the
Secretary of the Interior and the Secretary of Agriculture,
acting jointly.
(4) Secretary concerned.--The term ``Secretary concerned''
means the following:
(A) The Secretary of the Interior, with respect to
Federal recreational lands under the jurisdiction of
that Secretary.
(B) The Secretary of Agriculture, with respect to
Federal recreational lands under the jurisdiction of
that Secretary.
SEC. 3. LONG-DISTANCE BIKE TRAILS ON FEDERAL RECREATIONAL LANDS.
(a) Identification of Long-Distance Trails.--Not later than 18
months after the date of the enactment of this Act, the Secretaries
shall identify--
(1) not fewer than 10 long-distance bike trails that make
use of trails and roads in existence on the date of the
enactment of this Act; and
(2) not fewer than 10 areas in which there is an
opportunity to develop or complete a trail that would qualify
as a long-distance bike trail.
(b) Public Comment.--The Secretaries shall--
(1) develop a process to allow members of the public to
comment regarding the identification of trails and areas under
subsection (a); and
(2) consider the identification, development, and
completion of long-distance bike trails in a geographically
equitable manner.
(c) Maps, Signage, and Promotional Materials.--For any long-
distance bike trail identified under subsection (a), the Secretary
concerned may--
(1) publish and distribute maps, install signage, and issue
promotional materials; and
(2) coordinate with stakeholders to leverage any non-
Federal resources necessary for the stewardship, development,
or completion of trails.
(d) Report.--Not later than 2 years after the date of the enactment
of this Act, the Secretaries, in partnership with interested
organizations, shall prepare and publish a report that lists the trails
identified under subsection (a), including a summary of public comments
received in accordance with the process developed under subsection (b).
(e) Conflict Avoidance With Other Uses.--The Secretary concerned
shall ensure that each long-distance bike trail or area identified
under subsection (a)--
(1) does not conflict with--
(A) the uses, before the date of the enactment of
this Act, of any trail or road that is part of that
long-distance bike trail;
(B) multiple-use areas where biking, hiking,
horseback riding, or use by pack and saddle stock are
existing uses on the date of the enactment of this Act;
(C) the purposes for which any trail was or is
established under the National Trails System Act (16
U.S.C. 1241 et seq.); and
(D) any area managed under the Wilderness Act (16
U.S.C. 1131 et seq.); and
(2) complies with land use and management plans of the
Federal recreational lands that are part of that long-distance
bike trail.
<all>
</pre></body></html>
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118HR132 | Protecting Local Communities from Harmful Algal Blooms Act | [
[
"B001260",
"Rep. Buchanan, Vern [R-FL-16]",
"sponsor"
],
[
"S001200",
"Rep. Soto, Darren [D-FL-9]",
"cosponsor"
],
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"C001066",
"Rep. Castor, Kathy [D-FL-14]",
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],
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"Rep. Kelly, Mike [R-PA-16]",
"cosponsor"
],
[
"W000808",
"Rep. Wilson, Frederica S. [D-FL-24]",
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]
] | <p><b>Protecting Local Communities from Harmful Algal Blooms Act</b></p> <p>This bill amends the Robert T. Stafford Disaster Relief and Emergency Assistance Act to include algal blooms in the definition of a <i>major disaster</i>.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 132 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 132
To amend the Robert T. Stafford Disaster Relief and Emergency
Assistance Act to include algal blooms in the definition of a major
disaster, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 9, 2023
Mr. Buchanan (for himself and Mr. Soto) introduced the following bill;
which was referred to the Committee on Transportation and
Infrastructure
_______________________________________________________________________
A BILL
To amend the Robert T. Stafford Disaster Relief and Emergency
Assistance Act to include algal blooms in the definition of a major
disaster, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Protecting Local Communities from
Harmful Algal Blooms Act''.
SEC. 2. ALGAL BLOOMS.
Section 102(2) of the Robert T. Stafford Disaster Relief and
Emergency Assistance Act (42 U.S.C. 5122) is amended by striking ``or
drought'' and inserting ``drought, or algal blooms''.
<all>
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118HR1320 | COAST Anti-Drilling Act | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1320 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1320
To amend the Outer Continental Shelf Lands Act to permanently prohibit
the conduct of offshore drilling on the outer Continental Shelf in the
Mid-Atlantic, South Atlantic, North Atlantic, and Straits of Florida
planning areas.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Pallone (for himself, Mr. Grijalva, Mr. Connolly, Mr. Swalwell, Mr.
Pascrell, Mr. Panetta, Ms. Pingree, Ms. Bonamici, Mr. Scott of
Virginia, Mrs. Watson Coleman, Ms. Ross, Mr. Case, Mr. Blumenauer, Mr.
Nadler, Mr. Van Drew, Mr. Payne, Mr. Huffman, Mr. Cicilline, Mr. Kim of
New Jersey, Mr. Evans, Ms. Blunt Rochester, Ms. Tokuda, Mr.
Fitzpatrick, Mr. Kean of New Jersey, Mr. Gottheimer, Ms. Porter, Mr.
Schiff, Mr. Norcross, Ms. Sherrill, Mr. Menendez, and Ms. Lee of
California) introduced the following bill; which was referred to the
Committee on Natural Resources
_______________________________________________________________________
A BILL
To amend the Outer Continental Shelf Lands Act to permanently prohibit
the conduct of offshore drilling on the outer Continental Shelf in the
Mid-Atlantic, South Atlantic, North Atlantic, and Straits of Florida
planning areas.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Clean Ocean And Safe Tourism Anti-
Drilling Act'' or the ``COAST Anti-Drilling Act''.
SEC. 2. PROHIBITION OF OIL AND GAS LEASING IN CERTAIN AREAS OF THE
OUTER CONTINENTAL SHELF.
Section 8 of the Outer Continental Shelf Lands Act (43 U.S.C. 1337)
is amended by adding at the end the following:
``(q) Prohibition of Oil and Gas Leasing in Certain Areas of the
Outer Continental Shelf.--Notwithstanding any other provision of this
section or any other law, the Secretary of the Interior shall not issue
a lease or any other authorization for the exploration, development, or
production of oil, natural gas, or any other mineral in--
``(1) the Mid-Atlantic planning area;
``(2) the South Atlantic planning area;
``(3) the North Atlantic planning area; or
``(4) the Straits of Florida planning area,''.
<all>
</pre></body></html>
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118HR1321 | More Homes on the Market Act | [
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] | <p> <strong>More Homes on the Market Act </strong></p> <p>This bill increases the tax exclusion of gain from the sale of a principal residence and requires an annual inflation adjustment to such increased amount.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1321 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1321
To amend the Internal Revenue Code of 1986 to increase the exclusion of
gain from the sale of a principal residence, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Panetta (for himself and Mr. Kelly of Pennsylvania) introduced the
following bill; which was referred to the Committee on Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to increase the exclusion of
gain from the sale of a principal residence, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``More Homes on the Market Act''.
SEC. 2. INCREASE OF EXCLUSION OF GAIN FROM SALE OF PRINCIPAL RESIDENCE.
(a) In General.--Section 121(b) of the Internal Revenue Code of
1986 is amended--
(1) by striking ``$250,000'' and inserting ``$500,000''
each place it appears,
(2) by striking ``500,000'' and inserting ``$1,000,000''
each place it appears,
(3) in paragraph (2)(A), in the heading, by striking
``$500,000'' and inserting ``$1,000,000'', and
(4) by adding at the end the following new paragraph:
``(5) Adjustment for inflation.--In the case of a taxable
year beginning after 2023, the $500,000 and $1,000,000 amounts
in paragraphs (1), (2), and (4) shall be increased by an amount
equal to--
``(A) such dollar amount, multiplied by
``(B) the cost-of-living adjustment determined
under section 1(f)(3) for the calendar year in which
the taxable year begins, determined by substituting
`2022' for `2016' in subparagraph (A)(ii) thereof.
If any increase under this clause is not a multiple of $100,
such increase shall be rounded to the next lowest multiple of
$100.''.
(b) Effective Date.--The amendments made by this section shall
apply to sales and exchanges after the date of the enactment of this
Act.
<all>
</pre></body></html>
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118HR1322 | Law Enforcement Officers Equity Act | [
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] | <p><STRONG>Law Enforcement Officers Equity Act</STRONG></p> <p>This bill expands the definition of <i>law enforcement officer</i> under provisions of the Federal Employees Retirement System (FERS) and the Civil Service Retirement System (CSRS).</p> <p>Specifically, the bill expands the definition to include (1) federal employees whose duties encompass the investigation or apprehension of suspected or convicted criminals and who are authorized to carry a firearm; (2) Internal Revenue Service employees whose duties are primarily the collection of delinquent taxes and the securing of delinquent returns; (3) U.S. Postal Inspection Service employees; (4) Department of Veterans Affairs police officers; and (5) certain U.S. Customs and Border Protection employees who are seized-property specialists with duties relating to custody, management, and disposition of seized and forfeited property. </p> <p>The bill deems service performed by an incumbent law enforcement officer on or after the enactment date of this bill to be service performed as a law enforcement officer for retirement purposes. The past service of such incumbents shall be treated as service performed by a law enforcement officer for retirement purposes only if a written election is submitted to the Office of Personnel Management within five years after the enactment of this bill or before separation from government service, whichever is earlier. An incumbent who makes an election before the enactment of this bill may pay a deposit into the Civil Service Retirement and Disability Fund to cover prior service. </p> <p>A law enforcement officer shall not be subject to mandatory separation during the three-year period beginning on the enactment of this bill.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1322 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1322
To amend title 5, United States Code, to include certain Federal
positions within the definition of law enforcement officer for
retirement purposes, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Pascrell (for himself, Mr. Fitzpatrick, Mr. Garbarino, and Mr.
Connolly) introduced the following bill; which was referred to the
Committee on Oversight and Accountability
_______________________________________________________________________
A BILL
To amend title 5, United States Code, to include certain Federal
positions within the definition of law enforcement officer for
retirement purposes, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Law Enforcement Officers Equity
Act''.
SEC. 2. INCLUDING CERTAIN POSITIONS WITHIN THE DEFINITION OF LAW
ENFORCEMENT OFFICER FOR PURPOSES OF RETIREMENT.
(a) Federal Employees Retirement System.--Section 8401(17) of title
5, United States Code, is amended--
(1) in subparagraph (C)--
(A) by striking ``subparagraph (A) and (B)'' and
inserting ``subparagraphs (A), (B), (E), (F), (G), (H),
and (I)''; and
(B) by striking ``and'' at the end; and
(2) by adding at the end the following:
``(E) an employee not otherwise covered by this
paragraph--
``(i) the duties of whose position include
the investigation or apprehension of
individuals suspected or convicted of offenses
against the criminal laws of the United States;
and
``(ii) who is authorized to carry a
firearm;
``(F) an employee of the Internal Revenue Service,
the duties of whose position are primarily the--
``(i) collection of delinquent taxes; and
``(ii) securing of delinquent returns;
``(G) an employee of the United States Postal
Inspection Service;
``(H) an employee of the Department of Veterans
Affairs who is a Department police officer under
section 902 of title 38; and
``(I) an employee of U.S. Customs and Border
Protection--
``(i) who is a seized property specialist
in the GS-1801 job series; and
``(ii) the duties of whose position include
activities relating to the efficient and
effective custody, management, and disposition
of seized and forfeited property;''.
(b) Civil Service Retirement System.--Section 8331(20) of title 5,
United States Code, is amended, in the matter preceding subparagraph
(A)--
(1) by inserting ``and an individual described in any of
subparagraphs (E) through (I) of section 8401(17)'' after
``United States''; and
(2) by striking ``this activity'' and inserting ``such
activity or described in any such subparagraph''.
(c) Application.--The amendments made by this section shall apply
to any--
(1) individual who is appointed as a law enforcement
officer--
(A) as defined in section 8331(20) or 8401(17) of
title 5, United States Code (as amended by this
section); and
(B) on or after the date of enactment of this Act;
and
(2) incumbent (as defined in section 3(a)(3)), consistent
with the requirements of section 3.
SEC. 3. INCUMBENT LAW ENFORCEMENT OFFICERS.
(a) Definitions.--In this section--
(1) the term ``Director'' means the Director of the Office
of Personnel Management;
(2) the term ``Fund'' means the Civil Service Retirement
and Disability Fund;
(3) the term ``incumbent'' means an individual who--
(A) was appointed as a law enforcement officer
before the date of enactment of this Act; and
(B) is serving as a law enforcement officer on the
date of enactment of this Act;
(4) the term ``law enforcement officer'' means an
individual who satisfies the requirements of section 8331(20)
or 8401(17) of title 5, United States Code, by virtue of the
amendments made by section 2;
(5) the term ``prior service'' means, with respect to an
incumbent who makes an election under subsection (b)(2),
service performed by the incumbent before the date on which
appropriate retirement deductions begin to be made under the
election; and
(6) the term ``service'' means service performed by an
individual as a law enforcement officer.
(b) Treatment of Service Performed by Incumbents.--
(1) Service on or after date of enactment.--Service
performed by an incumbent on or after the date of enactment of
this Act shall be treated as service performed as a law
enforcement officer.
(2) Service before date of enactment.--Service performed by
an incumbent before the date of enactment of this Act shall,
for purposes of subchapter III of chapter 83 and chapter 84 of
title 5, United States Code, be treated as service performed as
a law enforcement officer only if the incumbent submits a
written election to the Director by the earlier of--
(A) the date that is 5 years after the date of
enactment of this Act; or
(B) the day before the date on which the incumbent
separates from the service.
(c) Individual Contributions for Prior Service.--
(1) In general.--An incumbent who makes an election under
subsection (b)(2) may, with respect to prior service performed
by the incumbent, pay a deposit into the Fund equal to the sum
of--
(A) the difference between--
(i) the amount that would have been
deducted during the period of prior service
under section 8334 or 8422 of title 5, United
States Code, from the pay of the incumbent if
the amendments made by section 2 had been in
effect during the prior service; and
(ii) the amount that was deducted during
the period of prior service under section 8334
or 8422 of title 5, United States Code; and
(B) interest on the amount described in
subparagraph (A)(i), as computed under--
(i) paragraphs (2) and (3) of section
8334(e) of title 5, United States Code; and
(ii) regulations promulgated by the
Director.
(2) Effect of not contributing.--If an incumbent does not
pay the full amount of the deposit described in paragraph (1),
all prior service of the incumbent--
(A) shall remain fully creditable as a law
enforcement officer; and
(B) the resulting annuity shall be reduced--
(i) in a manner similar to that described
in section 8334(d)(2) of title 5, United States
Code; and
(ii) to the extent necessary to make up the
amount unpaid.
(d) Government Contributions for Prior Service.--
(1) In general.--If an incumbent makes an election under
subsection (b)(2), an agency that employed the incumbent during
any prior service of the incumbent shall remit to the Director,
for deposit in the Fund, an amount equal to the sum of--
(A) the difference between--
(i) the total amount of Government
contributions that would have been paid under
section 8334 or 8423 of title 5, United States
Code, if the amendments made by section 2 had
been in effect during the prior service; and
(ii) the total amount of Government
contributions paid under section 8334 or 8423
of title 5, United States Code; and
(B) interest on the amount described in
subparagraph (A)(i), as computed in accordance with--
(i) paragraphs (2) and (3) of section
8334(e) of title 5, United States Code; and
(ii) regulations promulgated by the
Director.
(2) Contributions to be made ratably.--Government
contributions under this subsection on behalf of an incumbent
shall be made by the agency ratably (not less frequently than
annually) over the 10-year period beginning on the date
described in subsection (a)(5).
(e) Exemption From Mandatory Separation.--Notwithstanding section
8335(b) or 8425(b) of title 5, United States Code, a law enforcement
officer shall not be subject to mandatory separation during the 3-year
period beginning on the date of enactment of this Act.
(f) Regulations.--The Director shall prescribe regulations to carry
out this Act, including regulations for the application of this section
in the case of any individual entitled to a survivor annuity (based on
the service of an incumbent who dies before making an election under
subsection (b)(2)), to the extent of any rights that would have been
available to the decedent if still living.
(g) Rule of Construction.--Nothing in this section shall be
considered to apply in the case of a reemployed annuitant.
<all>
</pre></body></html>
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118HR1323 | LEO Fair Retirement Act of 2023 | [
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] | <p><b>LEO Fair Retirement Act of </b><b>2023</b></p> <p>This bill makes a series of changes to certain retirement and premium pay calculations for federal law enforcement officers (LEOs).</p> <p>Specifically, the bill provides that for purposes of computing the annuity of an LEO under the Civil Service Retirement System and the Federal Employees Retirement System, any premium pay earned by such LEO in excess of limitations imposed on such pay shall be included in the LEO's average pay, contingent on the payment of a specified lump sum by the LEO to the Office of Personnel Management. The bill allows for a nonrefundable tax credit with respect to such lump-sum payments.</p> <p>The bill also makes postal inspectors, federal air marshals, and other specified personnel eligible for availability pay (i.e., premium pay paid to LEOs who are criminal investigators).</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1323 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1323
To amend title 5, United States Code, to provide that for purposes of
computing the annuity of certain law enforcement officers, any hours
worked in excess of the limitation applicable to law enforcement
premium pay shall be included in such computation, and for other
purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Pascrell (for himself, Mr. Bacon, Mr. Fitzpatrick, and Mr.
Connolly) introduced the following bill; which was referred to the
Committee on Oversight and Accountability, and in addition to the
Committee on Ways and Means, for a period to be subsequently determined
by the Speaker, in each case for consideration of such provisions as
fall within the jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To amend title 5, United States Code, to provide that for purposes of
computing the annuity of certain law enforcement officers, any hours
worked in excess of the limitation applicable to law enforcement
premium pay shall be included in such computation, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE; FINDINGS.
(a) Short Title.--This Act may be cited as the ``LEO Fair
Retirement Act of 2023''.
(b) Findings.--Congress finds the following:
(1) Federal law enforcement officers are never ``off-
duty''. They are counted on to respond at any time of the day
or night, regardless of their official duty status, to protect
the public safety. Outside of our Nation's Armed Forces, theirs
is the only profession comprised of individuals who are
routinely called upon to put their lives on the line to keep
America safe.
(2) Though the Federal Government may house the largest
variety of occupations of any U.S. employer across its panoply
of agencies and entities, Federal law enforcement is absolutely
unique among them, and the Federal law enforcement officer has
no counterpart in the private sector. It is one of the most
stressful, most dangerous, and most rewarding careers for those
who meet the rigorous requirements of the job.
(3) It was in recognition of the unique nature of the
occupation, and the demanding schedules required of those who
fill its ranks, that Congress established distinct pay and
benefit systems for Federal law enforcement positions. This
includes basic pay, retirement, and even overtime compensation.
(4) Under current law, however, the payment of overtime
compensation is limited, and is only payable to the extent that
the payments do not cause the aggregate of the law enforcement
officer's biweekly or annual pay to exceed the pay caps
established under section 5547 of title 5, United States Code.
This often results in a law enforcement officer working
significant amounts of overtime hours year after year for which
the officer is never compensated.
(5) In light of the continuing homeland and national
security threats facing our Nation, it is in the interest of
the Federal Government to ensure that it can continue to
recruit and retain the highest caliber personnel by allowing
Federal law enforcement officers the opportunity to reclaim
full credit in retirement for overtime hours worked but never
paid.
SEC. 2. COMPUTATION OF ANNUITY FOR HOURS WORKED IN EXCESS OF LAW
ENFORCEMENT PREMIUM PAY LIMITATIONS.
(a) CSRS.--
(1) In general.--Section 8339 of title 5, United States
Code, is amended by adding at the end the following:
``(v)(1) Notwithstanding any other provision of this title,
including sections 5545a and 5547, and consistent with the requirements
of paragraph (2), any premium pay described in section 5547(a) that
would have been received by a law enforcement officer but for the
limitation provided in such section shall be included in the average
pay of such officer for purposes of computing the annuity of such
officer under this section.
``(2)(A) Paragraph (1) shall not apply unless the law enforcement
officer makes a lump-sum payment to the Office in the manner prescribed
under this paragraph.
``(B) The officer may--
``(i) not later than 180 days before the date that the
officer's annuity will commence, request from the Office an
estimate (expressed as a dollar figure) of--
``(I) the lump-sum payment described under
subparagraph (C);
``(II) the amount of the officer's monthly annuity
payment if the officer elects to make the lump-sum
payment and receive an amended annuity that includes
the application of paragraph (1); and
``(III) the amount of such officer's monthly
annuity payment if the officer does not make such an
election; and
``(ii) consistent with the requirements of subparagraph
(D), not later than 90 days after receipt of the estimate under
clause (i), irrevocably elect to make the lump-sum payment to
the Office.
``(C) If a law enforcement officer makes an election pursuant to
subparagraph (B)(ii), such officer shall make a lump-sum payment to the
Office equal to the difference between--
``(i) the amount that would have been contributed by the
officer and the employer under section 8334 during the 3
consecutive years used to determine average pay (as described
under section 8331(4)) if the rate of basic pay of the officer
during such period of years included any premium pay described
in section 5547(a) that would have been received by a law
enforcement officer but for the limitation provided in such
section; and
``(ii) the amount that was so contributed during such
period of years.
``(D) The officer may elect an actuarial annuity reduction,
consistent with regulations prescribed by the Office, in lieu of the
lump-sum payment required under subparagraphs (B) and (C).
``(3) In this subsection, the term `law enforcement officer' has
the meaning given the term `qualified public safety employee' in
section 72(t)(10) of the Internal Revenue Code of 1986.''.
(2) Clarification with respect to annuity limit.--The
limitation provided in section 8339(f) of title 5, United
States Code, shall apply to any annuity calculated pursuant to
subsection (v) of such section (as added by paragraph (1)).
(b) FERS.--Section 8415 of title 5, United States Code, is amended
by adding at the end the following:
``(o)(1) Notwithstanding any other provision of this title,
including sections 5545a and 5547, and consistent with the requirements
of paragraph (2), any premium pay described in section 5547(a) that
would have been received by a law enforcement officer but for the
limitation provided in such section shall be included in the average
pay of such officer for purposes of computing the annuity of such
officer under this section.
``(2) Paragraph (1) shall not apply unless the law enforcement
officer makes a lump-sum payment to the Office in the same manner as
prescribed under section 8339(v)(2).
``(3) In this subsection, the term `law enforcement officer' has
the meaning given the term `qualified public safety employee' in
section 72(t)(10) of the Internal Revenue Code of 1986.''.
(c) Application.--The amendments made by subsections (a) and (b)
shall apply to any applicable annuity calculated on or after the date
that is one year after the date of enactment of this Act.
(d) Regulations.--
(1) In general.--Not later than 1 year after the date of
enactment of this Act, the Director of the Office of Personnel
Management shall promulgate regulations to carry out sections
8339(v) and 8415(o) of title 5, United States Code, as added by
subsections (a) and (b).
(2) Lump-sum payment.--Such regulations shall include--
(A) procedures under which any law enforcement
officer covered by such sections may make the lump-sum
payment as described under sections 8339(v)(2) and
8415(o)(2) of title 5, United States Code, as added by
subsections (a) and (b), from amounts within the
officer's Thrift Savings Fund account; and
(B) procedures, promulgated in consultation with
the Thrift Savings Board, under which a transfer may be
made from such account to the Office of Personnel
Management.
(3) Solicitation of payroll information.--Such regulations
shall include--
(A) guidance for agencies employing law enforcement
officers for proper retention of payroll information
required to carry out the amendments made by
subsections (a) and (b), including, for each creditable
year of service, the difference between the amount the
law enforcement officer received in gross compensation
and the amount that would have been received as gross
compensation but for the application of the premium pay
caps in section 5547 of title 5, United States Code;
and
(B) procedures for the Director to solicit
sufficient payroll information from the head of each
applicable agency to provide for the computations
required by the amendments made by this Act.
SEC. 3. ELIGIBILITY FOR AVAILABILITY PAY.
(a) In General.--Section 5545a of title 5, United States Code, is
amended by adding at the end the following:
``(l)(1) The provisions of subsections (a)-(h) providing for
availability pay shall apply to a covered employee. For the purpose of
this section, section 5542(d) of this title, and section 13(a)(16) and
(b)(30) of the Fair Labor Standards Act of 1938 (29 U.S.C. 213(a)(16)
and (b)(30)), a covered employee shall be deemed to be a criminal
investigator as defined in this section.
``(2) In this subsection, the term `covered employee' means--
``(A) a Postal Inspector (referred to in section 1003(c) of
title 39);
``(B) a criminal investigator classified under the GS-1811
series (or any successor series);
``(C) a Federal air marshal;
``(D) a special agent in the Diplomatic Security Service;
``(E) a probation officer (referred to in section 3672 of
title 18); and
``(F) a pretrial services officer (referred to in section
3153 of title 18).''.
(b) Conforming Amendment.--Section 410(b)(11) of title 39, United
States Code, is amended by striking ``section 5520a'' and inserting
``sections 5520a and 5545a''.
SEC. 4. CREDIT FOR CERTAIN LUMP-SUM PAYMENTS OF UNCOMPENSATED LAW
ENFORCEMENT PREMIUM PAY.
(a) In General.--In the case of an individual, there shall be
allowed as a credit against the tax imposed by chapter 1 of the
Internal Revenue Code of 1986 for the taxable year an amount equal to
the sum of the lump-sum payments made by the individual during such
taxable year pursuant to section 8339(v)(2) or 8415(o)(2) of title 5,
United States Code, with respect to an annuity of such individual.
(b) Treated as Non-Refundable Personal Credit.--For purposes of the
Internal Revenue Code of 1986, the credit allowed under subsection (a)
shall be treated as a credit allowed under subpart A of part IV of
subchapter A of chapter 1 of such Code.
<all>
</pre></body></html>
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118HR1324 | Uyghur Human Rights Sanctions Review Act | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1324 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1324
To require a determination of whether certain Chinese entities meet the
criteria for the imposition of sanctions, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Pfluger introduced the following bill; which was referred to the
Committee on Foreign Affairs, and in addition to the Committees on the
Judiciary, Financial Services, and Ways and Means, for a period to be
subsequently determined by the Speaker, in each case for consideration
of such provisions as fall within the jurisdiction of the committee
concerned
_______________________________________________________________________
A BILL
To require a determination of whether certain Chinese entities meet the
criteria for the imposition of sanctions, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Uyghur Human Rights Sanctions Review
Act''.
SEC. 2. DETERMINATION OF WHETHER CERTAIN CHINESE ENTITIES MEET CRITERIA
FOR IMPOSITION OF SANCTIONS.
(a) In General.--Not later than 60 days after the date of the
enactment of this Act, the Secretary of the Treasury, in consultation
with the Secretary of State and the Attorney General, shall--
(1) determine whether any entity specified in subsection
(b)--
(A) is responsible for or complicit in, or has
directly or indirectly engaged in, serious human rights
abuses against Uyghurs or other predominantly Muslim
ethnic groups in the Xinjiang Uyghur Autonomous Region
of the People's Republic of China; or
(B) meets the criteria for the imposition of
sanctions under--
(i) the Global Magnitsky Human Rights
Accountability Act (22 U.S.C. 10101 et seq.);
(ii) section 6 of the Uyghur Human Rights
Policy Act of 2020 (Public Law 116-145; 22
U.S.C. 6901 note);
(iii) section 105, 105A, 105B, or 105C of
the Comprehensive Iran Sanctions,
Accountability, and Divestment Act of 2010 (22
U.S.C. 8514, 8514a, 8514b, and 8514c);
(iv) Executive Order 13818 (50 U.S.C. 1701
note; relating to blocking the property of
persons involved in serious human rights abuse
or corruption), as amended on or after the date
of the enactment of this Act; or
(v) Executive Order 13553 (50 U.S.C. 1701
note; relating to blocking property of certain
persons with respect to serious human rights
abuses by the Government of Iran and taking
certain other actions), as amended on or after
the date of the enactment of this Act;
(2) if the Secretary of the Treasury determines under
paragraph (1) that an entity is responsible for or complicit
in, or has directly or indirectly engaged in, serious human
rights abuses described in subparagraph (A) of that paragraph
or meets the criteria for the imposition of sanctions described
in subparagraph (B) of that paragraph, the Secretary shall
include the entity on the list of specially designated
nationals and blocked persons maintained by the Office of
Foreign Assets Control; and
(3) submit to Congress a report on that determination that
includes the reasons for the determination.
(b) Entities Specified.--An entity specified in this subsection is
any of the following:
(1) Hangzhou Hikvision Digital Technology Co., Ltd.
(2) Shenzhen Huada Gene Technology Co., Ltd. (BGI Group).
(3) Tiandy Technologies Co., Ltd.
(4) Zhejiang Dahua Technology Co., Ltd.
(5) China Electronics Technology Group Co.
(6) Zhejiang Uniview Technologies Co., Ltd.
(7) Alibaba Group Holding, Ltd.
(8) Baidu, Inc.
(9) ByteDance Ltd.
(10) China TransInfo Technology Co., Ltd.
(c) Form of Report.--The report required by subsection (a)(3) shall
be submitted in unclassified form, but may include a classified annex.
<all>
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118HR1325 | Asylum Seeker Work Authorization Act of 2023 | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1325 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1325
To permit aliens seeking asylum to be eligible for employment in the
United States, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Ms. Pingree introduced the following bill; which was referred to the
Committee on the Judiciary
_______________________________________________________________________
A BILL
To permit aliens seeking asylum to be eligible for employment in the
United States, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Asylum Seeker Work Authorization Act
of 2023''.
SEC. 2. EMPLOYMENT AUTHORIZATION FOR ALIENS SEEKING ASYLUM.
Paragraph (2) of section 208(d) of the Immigration and Nationality
Act (8 U.S.C. 1158(d)) is amended to read as follows:
``(2) Employment authorization.--
``(A) Eligibility.--The Secretary of Homeland
Security shall authorize employment for an applicant
for asylum who is not in detention and whose
application for asylum has not been determined
frivolous.
``(B) Application.--An applicant for asylum who is
not otherwise eligible for employment authorization
shall not be granted such authorization prior to 30
days after the date of filing of the application for
asylum.
``(C) Term.--Employment authorization for an
applicant for asylum shall be valid until the date on
which an applicant is issued a final denial of the
applicable application, including administrative and
judicial review.''.
<all>
</pre></body></html>
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118HR1326 | SALT Act | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1326 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1326
To modify the limitation on the deduction by individuals of certain
State and local taxes and to provide coverage for hearing and vision
care under the Medicare program.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Ms. Porter introduced the following bill; which was referred to the
Committee on Ways and Means, and in addition to the Committee on Energy
and Commerce, for a period to be subsequently determined by the
Speaker, in each case for consideration of such provisions as fall
within the jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To modify the limitation on the deduction by individuals of certain
State and local taxes and to provide coverage for hearing and vision
care under the Medicare program.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Supporting Americans with Lower
Taxes Act'' or as the ``SALT Act''.
SEC. 2. MODIFICATION OF LIMITATION ON THE DEDUCTION BY INDIVIDUALS OF
CERTAIN STATE AND LOCAL, ETC., TAXES.
(a) In General.--Section 164(b)(6) of the Internal Revenue Code of
1986 is amended to read as follows:
``(6) Limitation on deduction by certain high-income
individuals.--
``(A) In general.--In the case of a taxpayer with
adjusted gross income which equals or exceeds $400,000
for any taxable year--
``(i) foreign real property taxes shall not
be taken into account under subsection (a)(1)
(or section 216(a)) for such taxable year, and
``(ii) the aggregate amount of taxes taken
into account under paragraphs (1), (2), and (3)
of subsection (a) and paragraph (5) of this
subsection (and any tax described in any such
paragraph taken into account under section
216(a)(1)) for such taxable year shall not
exceed $60,000.
``(B) Phasedown of limitation based on adjusted
gross income.--The $60,000 amount in subparagraph
(A)(ii) shall be reduced (but not below zero) by the
dollar amount which bears the same ratio to $60,000
as--
``(i) the excess of the taxpayer's adjusted
gross income over $400,000, bears to
``(ii) $600,000.
``(C) Application restricted to certain taxpayers
and taxes.--
``(i) Application to individuals.--
Subparagraph (A) shall only apply to
individuals, estates, and trusts.
``(ii) Exclusion of certain business
taxes.--Subparagraph (A) shall not apply to any
foreign taxes described in subsection (a)(3) or
to any taxes described in paragraph (1) and (2)
of subsection (a) which are paid or accrued in
carrying on a trade or business or an activity
described in section 212.
``(D) Married individuals filing a separate
return.--In the case of a married individual filing a
separate return, subparagraphs (A) and (B) shall be
applied--
``(i) by substituting `$200,000' for
`$400,000' each place it appears,
``(ii) by substituting `$30,000' for
`$60,000' each place it appears, and
``(iii) by substituting `$300,000' for
`$600,000' in subparagraph (B)(ii).
``(E) Estates and trusts.--In the case of an estate
or trust, adjusted gross income shall be determined as
provided in section 67(e).
``(F) Denial of deduction to billionaires.--Unless
the taxpayer has less than $1,000,000,000 ($500,000,000
in the case of a married individual filing a separate
return) in assets as of the close of the taxable year
(and attests to such fact under penalty of perjury at
such time and in such manner as the Secretary may
provide)--
``(i) subparagraph (A) shall be applied--
``(I) by substituting `zero' for
`$400,000', and
``(II) by substituting `zero' for
`$60,000', and
``(ii) subparagraphs (B) and (D) shall not
apply.
For purposes of this subparagraph, the term `assets'
means all property, real or personal, tangible or
intangible, wherever situated (within the meaning of
section 2031) and such property shall be valued in the
same manner as for purposes of part III of subchapter A
of chapter 11.''.
(b) Effective Date.--The amendment made by subsection (a) shall
apply to taxable years beginning after the date of the enactment of
this Act.
(c) Appropriations to Federal Supplementary Medical Insurance Trust
Fund.--
(1) In general.--There are hereby appropriated to the
Federal Supplementary Medical Insurance Trust Fund amounts
equivalent to the amounts received in the Treasury by reason of
the amendment made by subsection (a). Rules similar to the
rules of section 9601 of the Internal Revenue Code of 1986
shall apply with respect to transfers made by reason of the
preceding sentence.
(2) Conforming amendment.--Section 1841(a) of the Social
Security Act (42 U.S.C. 1395t) is amended by inserting ``, or
section 2(b) of the SALT Act,'' after ``this part''.
SEC. 3. PROVIDING COVERAGE FOR HEARING CARE UNDER THE MEDICARE PROGRAM.
(a) Provision of Audiology Services by Qualified Audiologists and
Qualified Hearing Aid Professionals.--
(1) In general.--Section 1861(ll) of the Social Security
Act (42 U.S.C. 1395x(ll)) is amended--
(A) in paragraph (3)--
(i) by inserting ``(and, beginning January
1, 2025, such aural rehabilitation and
treatment services)'' after ``assessment
services'';
(ii) by inserting ``, and, beginning on
January 1, 2025, such hearing assessment
services furnished by a qualified hearing aid
professional,'' after ``by a qualified
audiologist''; and
(iii) by striking ``the audiologist'' and
inserting ``the audiologist or qualified
hearing aid professional''; and
(B) in paragraph (4), by adding at the end the
following new subparagraph:
``(C) The term `qualified hearing aid professional' means,
with respect to hearing assessment services described in
paragraph (3), an individual who--
``(i) is licensed or registered as a hearing aid
dispenser, hearing aid specialist, hearing instrument
dispenser, or related professional by the State in
which the individual furnishes such services; and
``(ii) meets such other requirements as the
Secretary determines appropriate (including
requirements relating to educational certifications or
accreditations), taking into account any additional
requirements for hearing aid specialists, hearing aid
dispensers, and hearing instrument dispensers
established by Medicare Advantage organizations under
part C, State plans (or waivers of such plans) under
title XIX, and the group health plans and health
insurance issuers (as such terms are defined in section
2791 of the Public Health Service Act).''.
(2) Payment for qualified hearing aid professionals.--
Section 1833(a)(1) of the Social Security Act (42 U.S.C.
1395l(a)(1)) is amended--
(A) by striking ``and'' before ``(HH)''; and
(B) by inserting before the semicolon at the end
the following: ``and (II) with respect to hearing
assessment services (as described in paragraph (3) of
section 1861(ll)) furnished by a qualified hearing aid
professional (as defined in paragraph (4)(C) of such
section), the amounts paid shall be equal to 80 percent
of the lesser of the actual charge for such services or
85 percent of the amount for such services determined
under the payment basis determined under section
1848''.
(b) Coverage of Hearing Aids.--
(1) Inclusion of hearing aids as prosthetic devices.--
Section 1861(s)(8) of the Social Security Act (42 U.S.C.
1395x(s)(8)) is amended by inserting ``, and including hearing
aids (as described in section 1834(h)(7)) furnished on or after
January 1, 2025, to individuals diagnosed with moderately
severe, severe, or profound hearing loss'' before the semicolon
at the end.
(2) Payment limitations for hearing aids.--Section 1834(h)
of the Social Security Act (42 U.S.C. 1395m(h)) is amended by
adding at the end the following new paragraphs:
``(6) Payment only on an assignment-related basis.--Payment
for hearing aids for which payment may be made under this part
may be made only on an assignment-related basis. The provisions
of section 1842(b)(18)(B) shall apply to hearing aids in the
same manner as they apply to services furnished by a
practitioner described in subsection (b)(18)(C).
``(7) Limitations for hearing aids.--Payment may be made
under this part with respect to an individual, with respect to
hearing aids furnished on or after January 1, 2025--
``(A) not more than once per ear during a 5-year
period;
``(B) only for types of such hearing aids that are
determined appropriate by the Secretary; and
``(C) only if furnished pursuant to a written order
of a physician, qualified audiologist (as defined in
section 1861(ll)(4)), qualified hearing aid
professional (as so defined), physician assistant,
nurse practitioner, or clinical nurse specialist.''.
(3) Application of competitive acquisition.--
(A) In general.--Section 1834(h)(1)(H) of the
Social Security Act (42 U.S.C. 1395m(h)(1)(H)) is
amended--
(i) in the header, by inserting ``and
hearing aids'' after ``orthotics'';
(ii) by inserting ``, or of hearing aids
described in paragraph (2)(D) of such
section,'' after ``2011,''; and
(iii) in clause (i), by inserting ``or such
hearing aids'' after ``such orthotics''.
(B) Conforming amendment.--
(i) In general.--Section 1847(a)(2) of the
Social Security Act (42 U.S.C. 1395w-3(a)(2))
is amended by adding at the end the following
new subparagraph:
``(D) Hearing aids.--Hearing aids described in
section 1861(s)(8) for which payment would otherwise be
made under section 1834(h).''.
(ii) Exemption of certain items from
competitive acquisition.--Section 1847(a)(7) of
the Social Security Act (42 U.S.C. 1395w-
3(a)(7)) is amended by adding at the end the
following new subparagraph:
``(C) Certain hearing aids.--Those items and
services described in paragraph (2)(D) if furnished by
a physician or other practitioner (as defined by the
Secretary) to the physician's or practitioner's own
patients as part of the physician's or practitioner's
professional service.''.
(4) Inclusion of qualified audiologists and qualified
hearing aid professionals as certain practitioners to receive
payment on an assignment-related basis.--Section 1842(b)(18)(C)
of the Social Security Act (42 U.S.C. 1395u(b)(18)(C)), is
amended by adding at the end the following new clauses:
``(ix) Beginning on January 1, 2025, a
qualified audiologist (as defined in section
1861(ll)(4)(B)).
``(x) A qualified hearing aid professional
(as defined in section 1861(ll)(4)(C)).''.
(c) Exclusion Modification.--Section 1862(a)(7) of the Social
Security Act (42 U.S.C. 1395y(a)(7)) is amended by inserting ``(except
such hearing aids or examinations therefor as described in and
otherwise allowed under section 1861(s)(8))'' after ``hearing aids or
examinations therefor''.
(d) Inclusion as Excepted Medical Treatment.--Section 1821(b)(5)(A)
of the Social Security Act (42 U.S.C. 1395i-5(b)(5)(A)) is amended--
(1) in clause (i), by striking ``or'';
(2) in clause (ii), by striking the period and inserting
``, or''; and
(3) by adding at the end the following new clause:
``(iii) consisting of audiology services
described in subsection (ll)(3) of section
1861, or hearing aids described in subsection
(s)(8) of such section, that are payable under
part B as a result of the amendments made by
the SALT Act.''.
(e) Rural Health Clinics and Federally Qualified Health Centers.--
(1) Clarifying coverage of audiology services as
physicians' services.--Section 1861(aa)(1)(A) of the Social
Security Act (42 U.S.C. 1395x(aa)(1)(A)) is amended by
inserting ``(including audiology services (as defined in
subsection (ll)(3)))'' after ``physicians' services''.
(2) Inclusion of qualified audiologists and qualified
hearing aid professionals as rhc and fqhc practitioners.--
Section 1861(aa)(1)(B) of the Social Security Act (42 U.S.C.
1395x(aa)(1)(B)) is amended by inserting ``or by a qualified
audiologist or a qualified hearing aid professional (as such
terms are defined in subsection (ll)),'' after ``(as defined in
subsection (hh)(1)),''.
(3) Temporary payment rates for certain services under the
rhc air and fqhc pps.--
(A) AIR.--Section 1833 of the Social Security Act
(42 U.S.C. 1395l) is amended--
(i) in subsection (a)(3)(A), by inserting
``(which shall, in the case of audiology
services (as defined in section 1861(ll)(3)),
in lieu of any limits on reasonable charges
otherwise applicable, be based on the rates
payable for such services under the payment
basis determined under section 1848 until such
time as the Secretary determines sufficient
data has been collected to otherwise apply such
limits (or January 1, 2031, if no such
determination has been made as of such date))''
after ``may prescribe in regulations''; and
(ii) by adding at the end the following new
subsection:
``(ee) Disregard of Costs Attributable to Certain Services From
Calculation of RHC AIR.--Payments for rural health clinic services
other than audiology services (as defined in section 1861(ll)(3)) under
the methodology for all-inclusive rates (established by the Secretary)
under subsection (a)(3) shall not take into account the costs of such
services while rates for such services are based on rates payable for
such services under the payment basis established under section
1848.''.
(B) PPS.--Section 1834(o) of the Social Security
Act (42 U.S.C. 1395m(o)) is amended by adding at the
end the following new paragraph:
``(5) Temporary payment rates based on pfs for certain
services.--The Secretary shall, in establishing payment rates
for audiology services (as defined in section 1861(ll)(3)) that
are Federally qualified health center services under the
prospective payment system established under this subsection,
in lieu of the rates otherwise applicable under such system,
base such rates on rates payable for such services under the
payment basis established under section 1848 until such time as
the Secretary determines sufficient data has been collected to
otherwise establish rates for such services under such system
(or January 1, 2031, if no such determination has been made as
of such date). Payments for Federally qualified health center
services other than such audiology services under such system
shall not take into account the costs of such services while
rates for such services are based on rates payable for such
services under the payment basis established under section
1848.''.
(f) Implementation.--
(1) In general.--In addition to amounts otherwise
available, the Secretary of Health and Human Services shall
provide for the transfer from the Federal Supplementary Medical
Insurance Trust Fund established under section 1841 of the
Social Security Act (42 U.S.C. 1395t) to the Centers for
Medicare & Medicaid Services Program Management Account of--
(A) $20,000,000 for each of fiscal years 2024 and
2025 for purposes of implementing the amendments made
by this section; and
(B) such sums as determined appropriate by the
Secretary for each subsequent fiscal year for purposes
of administering the provisions of such amendments.
(2) Availability and additional use of funds.--Funds
transferred pursuant to paragraph (1) shall remain available
until expended and may be used, in addition to the purposes
specified in paragraph (1), to implement the amendments made by
section 4.
(3) Administration.--The Secretary may implement, by
program instruction or otherwise, any of the provisions of, or
amendments made by, this section.
SEC. 4. PROVIDING COVERAGE FOR VISION CARE UNDER THE MEDICARE PROGRAM.
(a) Coverage.--Section 1861(s)(2) of the Social Security Act (42
U.S.C. 1395x(s)(2)) is amended--
(1) in subparagraph (II), by striking ``and'' after the
semicolon at the end;
(2) in subparagraph (JJ), by striking the period at the end
and adding ``; and''; and
(3) by adding at the end the following new subparagraph:
``(KK) vision services (as defined in subsection (nnn));''.
(b) Vision Services Defined.--Section 1861 of the Social Security
Act (42 U.S.C. 1395x) is amended by adding at the end the following new
subsection:
``(nnn) Vision Services.--The term `vision services' means--
``(1) routine eye examinations to determine the refractive
state of the eyes, including procedures performed during the
course of such examination; and
``(2) contact lens fitting services,
furnished on or after January 1, 2025, by or under the direct
supervision of an ophthalmologist or optometrist who is legally
authorized to furnish such examinations, procedures, or fitting
services (as applicable) under State law (or the State regulatory
mechanism provided by State law) of the State in which the
examinations, procedures, or fitting services are furnished.''.
(c) Payment Limitations.--Section 1834 of the Social Security Act
(42 U.S.C. 1395m) is amended by adding at the end the following new
subsection:
``(aa) Limitation for Vision Services.--With respect to vision
services (as defined in section 1861(nnn)) and an individual, payment
may be made under this part for only 1 routine eye examination
described in paragraph (1) of such section and 1 contact lens fitting
service described in paragraph (2) of such section during a 2-year
period.''.
(d) Payment Under Physician Fee Schedule.--Section 1848(j)(3) of
the Social Security Act (42 U.S.C. 1395w-4(j)(3)) is amended by
inserting ``(2)(KK),'' before ``(3)''.
(e) Coverage of Conventional Eyeglasses and Contact Lenses.--
(1) In general.--Section 1861(s)(8) of the Social Security
Act (42 U.S.C. 1395x(s)(8)) is amended by striking ``, and
including one pair of conventional eyeglasses or contact lenses
furnished subsequent to each cataract surgery with insertion of
an intraocular lens'' and inserting ``, including one pair of
conventional eyeglasses or contact lenses furnished subsequent
to each cataract surgery with insertion of an intraocular lens,
if furnished before January 1, 2025, and including conventional
eyeglasses or contact lenses (as described in section
1834(h)(8)), whether or not furnished subsequent to such a
surgery, if furnished on or after January 1, 2025''.
(2) Conforming amendment.--Section 1842(b)(11)(A) of the
Social Security Act (42 U.S.C. 1395u(b)(11)(A)) is amended by
inserting ``furnished prior to January 1, 2025,'' after
``relating to them,''.
(f) Special Payment Rules for Eyeglasses and Contact Lenses.--
(1) Limitations.--Section 1834(h) of the Social Security
Act (42 U.S.C. 1395m(h)), as amended by section 3, is further
amended by adding at the end the following new paragraph:
``(8) Payment limitations for eyeglasses and contact
lenses.--
``(A) In general.--With respect to eyeglasses and
contact lenses furnished to an individual on or after
January 1, 2025, subject to subparagraph (B), payment
may be made under this part only--
``(i) during a 2-year period, for either 1
pair of eyeglasses (including lenses and
frames) or not more than a 2-year supply of
contact lenses;
``(ii) with respect to amounts attributable
to the lenses and frames of such a pair of
eyeglasses or amounts attributable to such a 2-
year supply of contact lenses, in an amount not
greater than--
``(I) for a pair of eyeglasses
furnished in, or a 2-year supply of
contact lenses beginning in, 2025--
``(aa) $85 for the lenses
of such pair of eyeglasses and
$85 for the frames of such pair
of eyeglasses; or
``(bb) $85 for such 2-year
supply of contact lenses; and
``(II) for the lenses and frames of
a pair of eyeglasses furnished in, or a
2-year supply of contact lenses
beginning in, a subsequent year, the
dollar amounts specified under this
subparagraph for the previous year,
increased by the percentage change in
the consumer price index for all urban
consumers (United States city average)
for the 12-month period ending with
June of the previous year;
``(iii) if furnished pursuant to a written
order of an ophthalmologist or optometrist
described in subsection (nnn); and
``(iv) if during the 2-year period
described in clause (i), the individual did not
already receive (as described in subparagraph
(B)) one pair of conventional eyeglasses or
contact lenses subsequent to a cataract surgery
with insertion of an intraocular lens furnished
during such period.
``(B) Exception.--With respect to a 2-year period
described in subparagraph (A)(i), in the case of an
individual who receives cataract surgery with insertion
of an intraocular lens, notwithstanding subparagraph
(A), payment may be made under this part for one pair
of conventional eyeglasses or contact lenses furnished
subsequent to such cataract surgery during such period.
``(C) Limitation on judicial review.--There shall
be no administrative or judicial review under section
1869 or otherwise of--
``(i) the determination of the types of
eyeglasses and contact lenses covered under
this paragraph; or
``(ii) the determination of fee schedule
rates under this subsection for eyeglasses and
contact lenses.''.
(2) Application of competitive acquisition.--
(A) In general.--Section 1834(h)(1)(H) of the
Social Security Act (42 U.S.C. 1395m(h)(1)(H)), as
amended by section 3, is further amended--
(i) in the header, by striking ``and
hearing aids'' and inserting ``hearing aids,
eyeglasses, and contact lenses'';
(ii) by inserting ``and of eyeglasses and
contact lenses described in paragraph (2)(E) of
such section,'' after ``paragraph (2)(D) of
such section,''; and
(iii) in clause (i), by inserting ``, or
such eyeglasses and contact lenses'' after
``such hearing aids''.
(B) Conforming amendment.--
(i) In general.--Section 1847(a)(2) of the
Social Security Act (42 U.S.C. 1395w-3(a)(2)),
as amended by section 3, is further amended by
adding at the end the following new
subparagraph:
``(E) Eyeglasses and contact lenses.--Eyeglasses
and contact lenses described in section 1861(s)(8) for
which payment would otherwise be made under section
1834(h).''.
(ii) Exemption of certain items from
competitive acquisition.--Section 1847(a)(7) of
the Social Security Act (42 U.S.C. 1395w-
3(a)(7)), as amended by section 3, is further
amended by adding at the end the following new
subparagraph:
``(D) Certain eyeglasses and contact lenses.--Those
items and services described in paragraph (2)(E) if
furnished by a physician or other practitioner (as
defined by the Secretary) to the physician's or
practitioner's own patients as part of the physician's
or practitioner's professional service.''.
(g) Exclusion Modifications.--Section 1862(a) of the Social
Security Act (42 U.S.C. 1395y(a)) is amended--
(1) in paragraph (1)--
(A) in subparagraph (O), by striking ``and'' at the
end;
(B) in subparagraph (P), by striking the semicolon
at the end and inserting ``, and''; and
(C) by adding at the end the following new
subparagraph:
``(Q) in the case of vision services (as defined in section
1861(nnn)) that are routine eye examinations and contact lens
fitting services (as described in paragraph (1) or (2),
respectively, of such section), which are furnished more
frequently than once during a 2-year period;''; and
(2) in paragraph (7)--
(A) by inserting ``(other than such an examination
that is a vision service that is covered under section
1861(s)(2)(KK))'' after ``eye examinations''; and
(B) by inserting ``(other than such a procedure
that is a vision service that is covered under section
1861(s)(2)(KK))'' after ``refractive state of the
eyes''.
(h) Implementation.--
(1) Funding.--
(A) In general.--In addition to amounts otherwise
available, the Secretary of Health and Human Services
(in this subsection referred to as the ``Secretary'')
shall provide for the transfer from the Federal
Supplementary Medical Insurance Trust Fund under
section 1841 of the Social Security Act (42 U.S.C.
1395t) to the Centers for Medicare & Medicaid Services
Program Management Account of--
(i) $20,000,000 for each of fiscal years
2024 and 2025 for purposes of implementing the
amendments made by this section; and
(ii) such sums as determined appropriate by
the Secretary for each subsequent fiscal year
for purposes of administering the provisions of
such amendments.
(B) Availability and additional use of funds.--
Funds transferred pursuant to subparagraph (A) shall
remain available until expended and may be used, in
addition to the purpose specified in subparagraph
(A)(i), to implement the amendments made by section 3.
(2) Administration.--The Secretary may implement, by
program instruction or otherwise, any of the provisions of, or
amendments made by, this section.
<all>
</pre></body></html>
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|
118HR1327 | Defend our Coast Act | [
[
"R000305",
"Rep. Ross, Deborah K. [D-NC-2]",
"sponsor"
],
[
"C001078",
"Rep. Connolly, Gerald E. [D-VA-11]",
"cosponsor"
],
[
"B001292",
"Rep. Beyer, Donald S., Jr. [D-VA-8]",
"cosponsor"
],
[
"A000370",
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"cosponsor"
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[
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[
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] | <p><b>Defend our Coast Act </b></p> <p>This bill prohibits the Department of the Interior from issuing a lease for the exploration, development, or production of oil or gas in the Mid-Atlantic planning area of the Outer Continental Shelf.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1327 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1327
To amend the Outer Continental Shelf Lands Act to withdraw the outer
Continental Shelf in the Mid-Atlantic planning area from disposition,
and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Ms. Ross (for herself, Mr. Connolly, Mr. Beyer, Ms. Adams, Mr. Scott of
Virginia, and Mr. Nickel) introduced the following bill; which was
referred to the Committee on Natural Resources
_______________________________________________________________________
A BILL
To amend the Outer Continental Shelf Lands Act to withdraw the outer
Continental Shelf in the Mid-Atlantic planning area from disposition,
and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Defend our Coast Act''.
SEC. 2. WITHDRAWAL FROM DISPOSITION OF MID-ATLANTIC OUTER CONTINENTAL
SHELF.
Section 12 of the Outer Continental Shelf Lands Act (43 U.S.C.
1341) is amended by adding at the end the following:
``(g) Withdrawal From Disposition of Mid-Atlantic Outer Continental
Shelf.--The Secretary may not issue a lease for the exploration,
development, or production of oil or gas on the outer Continental Shelf
in the Mid-Atlantic planning area.''.
<all>
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[From the U.S. Government Publishing Office]
[H.R. 1328 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1328
To amend the Federal Food, Drug, and Cosmetic Act to establish
nonvisual accessibility standards for certain devices with digital
interfaces, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Ms. Schakowsky (for herself, Mr. Trone, Mr. Veasey, Mr. Bishop of
Georgia, Mr. Panetta, Mr. Sarbanes, Mr. Pocan, Mr. Quigley, Mr. Smith
of Washington, Mr. Ruppersberger, Ms. Bush, Mr. Sessions, Mr. Larson of
Connecticut, Ms. Lee of California, Mr. Grijalva, Mr. Casten, Mr.
Garcia of Illinois, Mr. Rutherford, Mr. Lynch, Ms. Titus, Ms. Blunt
Rochester, Mrs. Cherfilus-McCormick, Mr. Connolly, Mr. Case, Mr.
Keating, Mr. Fitzpatrick, Mr. Davis of Illinois, Ms. Tlaib, Ms. Craig,
Ms. Sewell, Mrs. Hayes, Mr. Kildee, and Ms. Kuster) introduced the
following bill; which was referred to the Committee on Energy and
Commerce
_______________________________________________________________________
A BILL
To amend the Federal Food, Drug, and Cosmetic Act to establish
nonvisual accessibility standards for certain devices with digital
interfaces, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Medical Device Nonvisual
Accessibility Act of 2023''.
SEC. 2. FINDINGS.
Congress finds the following:
(1) Rapid advances in digital technology have led to
increasingly complex user interfaces for everyday products,
such as life-sustaining medical devices and technologies.
(2) Many of these new devices utilize displays that can
only be operated visually and require user interaction with on-
screen menus and other interfaces that are inaccessible to
consumers who are blind or have low-vision.
(3) Medical devices designed for use in the home are being
increasingly utilized to lessen the cost of inpatient care for
consumers.
(4) Devices such as blood pressure monitors, sleep apnea
machines, in-home chemotherapy treatments, and many others
generally lack nonvisual accessibility.
(5) If a medical device is not accessible in a nonvisual
manner, a blind or low-vision individual is unable to use it
privately, independently, and safely.
(6) Many technology companies have incorporated screen
access technology functions, such as text to speech software,
into products developed and sold by such companies.
(7) Screen access technology is not the only mechanism by
which medical devices can be made accessible to blind or low-
vision consumers.
(8) Devices that utilize these mechanisms will be more
user-friendly in general by including multiple methods to
confirm readings and other data, leading to less waste and
fewer mistakes.
(9) Devices can be designed to work with nonvisual access
technology used by individuals who are blind or have low-vision
at little or no extra cost as long as such compatibility is
taken into consideration at the beginning of the design
process.
(10) Consumers who are blind or have low-vision must be
able to operate medical devices in an equally effective and
equally integrated manner and with equivalent ease of use as
consumers without disabilities.
SEC. 3. NONVISUAL ACCESSIBILITY STANDARDS FOR CERTAIN DEVICES.
(a) In General.--Section 501 of the Federal Food, Drug, and
Cosmetic Act (21 U.S.C. 351) is amended by adding at the end the
following:
``(k)(1) Beginning on the effective date specified in section
515D(d), if it is a covered device, unless the device meets the
nonvisual accessibility standard specified under section 515D or the
Secretary issues a waiver with respect to the device under subparagraph
(2).
``(2) The Secretary may waive the application of subparagraph (1)
with respect to a covered device if, based on clear and convincing
evidence (as determined by the Secretary) provided by the manufacturer
involved, the Secretary determines that the application of such
subparagraph to the device would result in a fundamental alteration to
the nature of the product or an undue hardship for the manufacturer.
``(3) In this paragraph:
``(A) The term `covered device' means a device that--
``(i) is classified under section 513 into class II
or III;
``(ii) is cleared under section 510(k), granted
marketing authorization under section 513(f)(2), or
approved under section 515 after the effective date
specified in section 515D(d);
``(iii) has a user interface; and
``(iv) is not intended solely for use by a health
care provider or in a setting outside the home.
``(B) The term `fundamental alteration' means an alteration
to the nature of a covered device that would render it unusable
or incapable of performing an essential function.
``(C)(i) The term `undue hardship' means an action
requiring significant difficulty or expense, when considered in
light of the factors set forth in clause (ii).
``(ii) In determining whether application of this
subparagraph would impose an undue hardship on a manufacturer
of a covered device, factors to be considered may include--
``(I) the nature and cost of compliance with the
standard under section 515D; and
``(II) the overall financial resources of the
manufacturer of a covered device.
``(D) The term `user interface' means a screen or mobile
application through which a human user interacts or
communicates with the device by inputting or receiving
information.''.
(b) Recognition of Standard.--The Federal Food, Drug, and Cosmetic
Act is amended by inserting after section 515C (as added by Public Law
117-328) the following:
``SEC. 515D. NONVISUAL ACCESSIBILITY STANDARDS FOR CERTAIN DEVICES.
``(a) Standard.--The nonvisual accessibility standard specified in
this section is, with respect to a user interface of a device described
in section 501(k), that the user interface is as effective in allowing
blind or low-vision individuals to access information, engage in
interactions, and enjoy services with the same privacy, independence,
and ease of use as the user interface of the device enables individuals
who do not have low-vision or are not blind.
``(b) Training.--The Secretary shall conduct training to educate
manufacturers of a user interface of a device described in section
501(k) or of a device described in such section on the standards
developed under subsection (a) and how to comply with such standard.
``(c) Stakeholders.--In developing the standard under subsection
(a) and the training to be conducted under subsection (b), the
Secretary shall consult with--
``(1) the Architectural and Transportation Barriers
Compliance Board established under section 504 of the
Rehabilitation Act of 1973; and
``(2) individuals who are blind or who have low-vision.
``(d) Regulations.--
``(1) In general.--The Secretary shall, in consultation
with the Architectural and Transportation Barriers Compliance
Board referred to in subsection (b)--
``(A) not later than 1 year after the date of the
enactment of this section, issue proposed regulations
to implement the standard specified under subsection
(a); and
``(B) not later than 2 years after the date of the
enactment of this section, publish a final rule with
respect to such proposed regulations.
``(2) Effective date.--The final rule published under
paragraph (1)(B) shall take effect on the date that is 1 year
after the date on which such rule is published.
``(e) Authorization of Appropriations.--There is authorized to be
appropriated to carry out this section $1,500,000 the period of fiscal
years 2024 through 2025.''.
<all>
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118HR1329 | To amend title 38, United States Code, to provide for an increase in the maximum number of judges who may be appointed to the United States Court of Appeals for Veterans Claims. | [
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] | <p>This bill increases the maximum possible number of judges presiding over the U.S. Court of Appeals for Veterans Claims to nine judges.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1329 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1329
To amend title 38, United States Code, to provide for an increase in
the maximum number of judges who may be appointed to the United States
Court of Appeals for Veterans Claims.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Self introduced the following bill; which was referred to the
Committee on Veterans' Affairs
_______________________________________________________________________
A BILL
To amend title 38, United States Code, to provide for an increase in
the maximum number of judges who may be appointed to the United States
Court of Appeals for Veterans Claims.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. INCREASE IN MAXIMUM NUMBER OF JUDGES APPOINTED TO UNITED
STATES COURT OF APPEALS FOR VETERANS CLAIMS.
Section 7253(a) of title 38, United States Code, is amended by
striking ``seven'' and inserting ``nine''.
<all>
</pre></body></html>
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118HR133 | Mandating Exclusive Review of Individual Treatments (MERIT) Act | [
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] | <p><b>Mandating Exclusive Review of Individual Treatments (MERIT) Act</b></p> <p>This bill specifies that coverage determinations for drugs and biologics under Medicare must be made with respect to each drug or biologic, rather than with respect to a class of drugs or biologics.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 133 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 133
To amend title XVIII of the Social Security Act to clarify the use of
the national coverage determination process under the Medicare program.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 9, 2023
Mr. Buchanan (for himself, Ms. Barragan, and Ms. Salazar) introduced
the following bill; which was referred to the Committee on Energy and
Commerce, and in addition to the Committee on Ways and Means, for a
period to be subsequently determined by the Speaker, in each case for
consideration of such provisions as fall within the jurisdiction of the
committee concerned
_______________________________________________________________________
A BILL
To amend title XVIII of the Social Security Act to clarify the use of
the national coverage determination process under the Medicare program.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Mandating Exclusive Review of
Individual Treatments (MERIT) Act''.
SEC. 2. CLARIFICATION ON MEDICARE NATIONAL COVERAGE DETERMINATION
PROCESS.
Section 1862(a) of the Social Security Act (42 U.S.C. 1395y(a)) is
amended by adding at the end the following new sentence: ``For purposes
of paragraph (1)(E), in the case of research conducted pursuant to
section 1142, the determination of whether a drug or biological is
reasonable and necessary to carry out the purposes of section 1142
shall be made with respect to each drug or biological involved and not
with respect to a class of drugs or biologicals.''.
<all>
</pre></body></html>
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118HR1330 | Taiwan Democracy Defense Lend-Lease Act of 2023 | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1330 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1330
To provide for the loan and lease of defense articles to the Government
of Taiwan, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mrs. Steel (for herself, Mr. Panetta, Mr. Crenshaw, Mr. Veasey, Mr.
Wittman, Ms. Strickland, Mr. Fallon, Mr. Golden of Maine, Mrs. Lesko,
Mr. Owens, Mr. Mills, Mr. Mann, and Mr. Lamborn) introduced the
following bill; which was referred to the Committee on Foreign Affairs
_______________________________________________________________________
A BILL
To provide for the loan and lease of defense articles to the Government
of Taiwan, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Taiwan Democracy Defense Lend-Lease
Act of 2023''.
SEC. 2. LOAN AND LEASE OF DEFENSE ARTICLES TO GOVERNMENT OF TAIWAN.
(a) Sense of Congress.--It is the sense of Congress that steps
taken to bolster the security relations between the United States and
Taiwan should include the following:
(1) The increased conduct of relevant joint military
training and bilateral exercises, or multilateral exercises,
with the armed forces of Taiwan.
(2) The prioritization of capacity building in Taiwan, to
ensure the protection of sensitive technology lent or leased to
the Government of Taiwan by the United States Government.
(b) Authority To Lend or Lease Defense Articles to Government of
Taiwan.--
(1) Authority.--Notwithstanding section 503(b)(3) of the
Foreign Assistance Act of 1961 (22 U.S.C. 2311(b)(3)) or
section 61 of the Arms Export Control Act (22 U.S.C. 2796), the
President may lend or lease defense articles to the Government
of Taiwan to assist in the bolstering of the defensive
capabilities of such Government or the protection of the
citizen population of Taiwan from potential aggression carried
out by the People's Liberation Army of China against Taiwan
(including through one or more of the means described in
paragraph (2)) if, as a condition of such loan or lease, the
President requires--
(A) the payment by the Government of Taiwan of the
cost of restoring or replacing the defense article, in
the case that the defense article is damaged; and
(B) the payment by the Government of Taiwan of an
amount equal to the replacement cost (less any
depreciation in the value) of the defense article, in
the case that the defense article is lost or destroyed.
(2) Means of aggression by people's liberation army.--The
means described in this paragraph are the following:
(A) The full or partial naval blockade of Taiwan.
(B) An amphibious assault and ground invasion of
Taiwan.
(C) A missile strike (whether conducted alone or as
a part of a broader campaign).
(D) Kinetic or non-kinetic operations against
military targets or critical infrastructure in Taiwan.
(E) A seizure, or attempted seizure, of one or more
of the outlying islands controlled by Taiwan.
(3) Defense services and defense construction services.--
(A) In general.--The President may finance the
procurement of defense services and design and
construction services by the Government of Taiwan in
connection with a loan or lease of a defense article to
such Government under paragraph (1), if, as a condition
of such financing, the President requires that, not
later than 12 years after the date on which the
agreement with the Government of Taiwan for such
financing is signed on behalf of the United States
Government, the Government of Taiwan pay to the United
States Government (in United States dollars) an amount
equal to the sum of--
(i) the value of such services; and
(ii) any interest on the unpaid balance of
the obligation for payment under clause (i), at
a rate that, except as provided in subparagraph
(B), is equivalent to the average interest
rate, as of the last day of the month preceding
the date on which such agreement is signed,
that the United States Government pays on
outstanding marketable obligations of
comparable maturity.
(B) Exception to interest rate requirement.--If the
President submits to Congress a certification
containing a determination that national security
requires a lesser rate of interest than the rate
calculated pursuant to subparagraph (A)(ii), a
justification for such determination, and an
identification of such lesser rate, the lesser rate so
identified shall apply in lieu of the rate calculated
pursuant to subparagraph (A)(ii).
(c) Delegation of Authority.--The President may delegate the
authority under subsection (b) only to an official appointed by the
President by and with the advice and consent of the Senate.
(d) Procedures for Delivery of Defense Articles.--Not later than 60
days after the date of the enactment of this Act, the President shall
establish expedited procedures for the delivery of any defense article
loaned or leased to the Government of Taiwan under subsection (b) to
ensure the timely delivery of the defense article to such Government.
(e) Report on Determination of Defense Needs of Taiwan.--
(1) Report.--Not later than 90 days after the date of the
enactment of this Act, the Secretary of Defense, in
collaboration with the Commander of the United States Indo-
Pacific Command, shall submit to Congress a report on the
potential loan and lease of defense articles to the Government
of Taiwan under subsection (b). Such report shall include the
following:
(A) An initial assessment of the defense articles
that are appropriate for such loan or lease.
(B) An assessment of any supply chain or other
logistical challenges associated with the loan or lease
of defense articles identified pursuant to subparagraph
(A).
(C) A discussion of expected timeframes for the
provision to the Government of Taiwan of defense
articles identified pursuant to subparagraph (A),
including--
(i) expected timelines for the delivery of
such defense articles; and
(ii) expected timelines for the full
integration of such defense articles by the
military of Taiwan, such that the military of
Taiwan is able to effectively use defense
articles so delivered in the event of a
conflict with the People's Republic of China.
(D) Such other matters as the Secretary may
consider appropriate.
(2) Form.--The report under paragraph (1) shall be
submitted in unclassified form, but may include a classified
annex.
(f) Definitions.--In this section, the terms ``defense article'',
``defense service'', and ``design and construction services'' have the
meanings given those terms in section 47 of the Arms Export Control Act
(22 U.S.C. 2794).
<all>
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|
118HR1331 | To treat Hurricane Ian as a qualified disaster for purposes of determining the tax treatment of certain disaster-related personal casualty losses. | [
[
"S001214",
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"sponsor"
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] | <p>This bill treats Hurricane Ian (occurring on and after September 22, 2022) as a qualified disaster area for purposes of the disaster-related personal casualty loss tax deduction.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1331 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1331
To treat Hurricane Ian as a qualified disaster for purposes of
determining the tax treatment of certain disaster-related personal
casualty losses.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Steube introduced the following bill; which was referred to the
Committee on Ways and Means
_______________________________________________________________________
A BILL
To treat Hurricane Ian as a qualified disaster for purposes of
determining the tax treatment of certain disaster-related personal
casualty losses.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. HURRICANE IAN TREATED AS QUALIFIED DISASTER FOR PURPOSES OF
TAX TREATMENT OF CERTAIN DISASTER-RELATED PERSONAL
CASUALTY LOSSES.
In the case of any taxable year ending after August 31, 2022, for
purposes of section 304(b) of the Taxpayer Certainty and Disaster Tax
Relief Act of 2020, the term ``qualified disaster area'' shall include
any area with respect to which a major disaster was declared, during
the period beginning on September 22, 2022, and ending on the date of
the enactment of this Act, by the President under section 401 of the
Robert T. Stafford Disaster Relief and Emergency Assistance Act by
reason of Hurricane Ian.
<all>
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118HR1332 | Thirty-Two Hour Workweek Act | [
[
"T000472",
"Rep. Takano, Mark [D-CA-39]",
"sponsor"
],
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"J000298",
"Rep. Jayapal, Pramila [D-WA-7]",
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[
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"Rep. Grijalva, Raúl M. [D-AZ-7]",
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] | <p><strong>Thirty-Two Hour Workweek Act</strong></p> <p>This bill shortens the standard workweek under federal law from 40 hours to 32 hours over a three-year phase in period. It also requires specified overtime pay for workdays longer than eight hours.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1332 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1332
To amend the Fair Labor Standards Act of 1938 to reduce the standard
workweek from 40 hours per week to 32 hours per week, and for other
purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Mr. Takano (for himself, Ms. Jayapal, and Ms. Schakowsky) introduced
the following bill; which was referred to the Committee on Education
and the Workforce
_______________________________________________________________________
A BILL
To amend the Fair Labor Standards Act of 1938 to reduce the standard
workweek from 40 hours per week to 32 hours per week, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Thirty-Two Hour Workweek Act''.
SEC. 2. FAIR LABOR STANDARDS ACT.
The Fair Labor Standards Act of 1938 (29 U.S.C. 201 et seq.) is
amended--
(1) in section 7(a) (29 U.S.C. 207(a))--
(A) in paragraph (1)--
(i) by striking ``commerce, for a workweek
longer than forty hours'' and all that follows
through the period and inserting ``commerce--
''; and
(ii) by adding at the end the following:
``(A) for a workweek longer than thirty-two hours
unless such employee receives compensation for his
employment in excess of the hours above specified at a
rate not less than one and one-half times the regular
rate at which he is employed; and
``(B) for a workday longer than--
``(i) eight hours unless such employee
receives compensation for his employment in
excess of the hours above specified at a rate
not less than one and one-half times the
regular rate at which he is employed; and
``(ii) twelve hours unless such employee
receives compensation for his employment in
excess of the hours above specified at a rate
not less than double times the regular rate at
which he is employed.''; and
(B) in paragraph (2)--
(i) in the matter that precedes
subparagraph (A), by striking ``Fair Labor
Standards Amendments of 1966'' and inserting
``Thirty-Two Hour Workweek Act''; and
(ii) by striking subparagraphs (A) through
(C) and inserting the following:
``(A) for a workweek longer than thirty-eight hours
during the 1-year period beginning not less than 180
days after the date of the enactment of the Thirty-Two
Hour Workweek Act,
``(B) for a workweek longer than thirty-six hours
during the second year after the first day of such
period,
``(C) for a workweek longer than thirty-four hours
during the third year after the first day of such
period, or
``(D) for a workweek longer than thirty-two hours
after the expiration of the third year after the first
day of such period,''; and
(2) in section 18(a) (29 U.S.C. 218(a)) by inserting ``or
workday'' after ``workweek'' in each place it occurs.
<all>
</pre></body></html>
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118HR1333 | Safe Temperature Act of 2023 | [
[
"W000808",
"Rep. Wilson, Frederica S. [D-FL-24]",
"sponsor"
]
] | <p><b>Safe Temperature Act of 2023</b></p> <p>This bill allows the Department of Housing and Urban Development to require units in public housing, supportive housing for the elderly, and dwellings receiving low-income housing choice voucher assistance to maintain a temperature level ranging from 71 to 81 degrees Fahrenheit.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1333 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1333
To provide for a comfortable and safe temperature level in dwelling
units receiving certain Federal housing assistance, and for other
purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Ms. Wilson of Florida introduced the following bill; which was referred
to the Committee on Financial Services
_______________________________________________________________________
A BILL
To provide for a comfortable and safe temperature level in dwelling
units receiving certain Federal housing assistance, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Safe Temperature Act of 2023''.
SEC. 2. COMFORTABLE AND SAFE TEMPERATURE LEVEL IN FEDERALLY ASSISTED
HOUSING.
(a) Public Housing and Project-Based Assistance.--The United States
Housing Act of 1937 (42 U.S.C. 1437 et seq.) is amended--
(1) in section 8(o)(13) (42 U.S.C. 1437f(o)(13)), by adding
at the end the following:
``(P) Maintaining temperature level in units.--The
Secretary may require the owner of a dwelling unit
receiving assistance under a housing assistance payment
under this paragraph to ensure that the dwelling unit
maintains a comfortable and safe temperature level
ranging from 71 degrees to 81 degrees Fahrenheit.'';
and
(2) in section 9 (42 U.S.C. 1437g), by adding at the end
the following:
``(p) Use of Funds To Maintain Temperate Level in Units.--With
respect to a public housing dwelling unit, the Secretary may use
amounts in the Capital Fund or the Operating Fund to ensure that the
dwelling unit maintains a comfortable and safe temperature level
ranging from 71 degrees to 81 degrees Fahrenheit.''.
(b) Supportive Housing for the Elderly.--Section 202 of the Housing
Act of 1959 (12 U.S.C. 1701q) is amended by striking the last two
subsections (each designated as subsection (m)) and inserting the
following:
``(m) Maintaining Temperature in Units.--The Secretary may require
the owner of housing assisted under this section to ensure that each
unit in that housing maintains a comfortable and safe temperature level
ranging from 71 degrees to 81 degrees Fahrenheit.''.
<all>
</pre></body></html>
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118HR1334 | Liberty City Rising Act | [
[
"W000808",
"Rep. Wilson, Frederica S. [D-FL-24]",
"sponsor"
]
] | <p><strong>Liberty City Rising Act</strong></p> <p>This bill requires the Department of Housing and Urban Development (HUD) to establish standards to ensure the safety and security of federally assisted housing in high-crime areas. Public housing agencies serving high-crime areas must also establish anonymous hotlines for tenants to report suspicious activity and crimes in the community. In addition, HUD must prioritize public housing projects located in high-crime areas when awarding certain public housing grants for safety and security measures.</p> <p>Under the bill, a high-crime area is designated by HUD based on the most recent violent crime data available.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1334 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1334
To reform the requirements regarding the safety and security of
families living in public and federally assisted housing in high-crime
areas.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 1, 2023
Ms. Wilson of Florida introduced the following bill; which was referred
to the Committee on Financial Services
_______________________________________________________________________
A BILL
To reform the requirements regarding the safety and security of
families living in public and federally assisted housing in high-crime
areas.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Liberty City Rising Act''.
SEC. 2. SAFETY STANDARDS FOR FEDERALLY ASSISTED HOUSING IN HIGH-CRIME
AREAS.
(a) Public Housing.--Section 6(f)(2) of the United States Housing
Act of 1937 (42 U.S.C. 1437d(f)(2)) is amended--
(1) by striking ``The Secretary shall'' and inserting the
following:
``(A) Safe and habitable.--The Secretary shall'';
and
(2) by adding at the end the following:
``(B) High-crime areas.--
``(i) Definition.--In this subparagraph,
the term `high-crime area' means a neighborhood
or other small geographic area that the
Secretary determines has a high incidence of
violent crime, based on the most recent violent
crime data available from a State, unit of
local government, or other source determined
appropriate by the Secretary, that lists the
types of crimes and number of offenses
committed in the area.
``(ii) Additional safety and security
standards.--In addition to the standards under
subparagraph (A), the Secretary shall establish
standards to ensure the safety and security of
dwellings located in a high-crime area.
``(iii) Contents.--The standards
established under clause (ii)--
``(I) shall require a public
housing agency to consider security
measures that meet the specific needs
of a property or building; and
``(II) may include requirements
related to security cameras, locks,
lighting, or other security measures.
``(iv) Anonymous hotline.--A public housing
agency that operates a public housing project
in a high-crime area shall establish an
anonymous hotline for tenants to report
suspicious activity and crimes that occur in
the community in which the public housing
project is located.''.
(b) Project-Based Assisted Housing.--
(1) In general.--Section 8(o)(13) of the United States
Housing Act of 1937 (42 U.S.C. 1437f(o)(13)) is amended by
adding at the end the following:
``(P) Safety and security standards for high-crime
areas.--
``(i) Definition.--In this subparagraph,
the term `high-crime area' means a neighborhood
or other small geographic area that the
Secretary determines has a high incidence of
violent crime, based on the most recent violent
crime data available from a State, unit of
local government, or other source determined
appropriate by the Secretary, that lists the
types of crimes and number of offenses
committed in the area.
``(ii) Contract requirement.--An assistance
contract for project-based assistance entered
into under this paragraph with respect to a
structure shall require that the owner maintain
the structure, if determined to be in a high-
crime area, in a condition that complies with
standards that meet or exceed the safety and
security standards established under clause
(iii).
``(iii) Safety and security standards.--The
Secretary shall establish standards to ensure
the safety and security of structures located
in a high-crime area.
``(iv) Contents.--The standards established
under clause (iii)--
``(I) shall require the owner of a
structure that receives project-based
assistance under this paragraph to
consider security measures that meet
the specific needs of the structure;
and
``(II) may include requirements
related to security cameras, locks,
lighting, or other security measures.
``(v) Inspections.--When determining
whether a dwelling unit that is in a high-crime
area meets the housing quality standards under
paragraph (8)(A), a public housing agency shall
also determine whether the dwelling unit meets
the standards established under this
subparagraph.
``(vi) Anonymous hotline.--A public housing
agency that provides project-based assistance
under this paragraph with respect to a
structure in a high-crime area shall establish
an anonymous hotline for tenants to report
suspicious activity and crimes that occur in
the community in which the structure is
located.''.
(2) Conforming amendment.--Section 8(d)(2) of the United
States Housing Act of 1937 (42 U.S.C. 1437f(d)(2)) is amended
by adding at the end the following:
``(E)(i) Subsection (o)(13)(P) (relating to safety and security
standards for high-crime areas) shall apply to a contract for project-
based assistance under this paragraph and to a public housing agency
that enters into such a contract.
``(ii) When determining whether a structure assisted under this
paragraph that is in a high-crime area, as defined in subsection
(o)(13)(P), meets any applicable housing quality standards, a public
housing agency shall also determine whether the structure meets the
safety and security standards established under that subsection.''.
(c) Deadlines.--
(1) Determination of high-crime areas.--Not later than 90
days after the date of enactment of this Act, the Secretary of
Housing and Urban Development shall make an initial
determination as to which areas of the United States are high-
crime areas for purposes of sections 6(f)(2)(B), 8(d)(2)(E),
and 8(o)(13)(P) of the United States Housing Act of 1937, as
added by this section.
(2) Safety and security standards.--Not later than 1 year
after the date of enactment of this Act, the Secretary of
Housing and Urban Development shall establish the safety and
security standards for public housing projects and other
assisted structures located in high-crime areas required under
sections 6(f)(2)(B), 8(d)(2)(E), and 8(o)(13)(P) of the United
States Housing Act of 1937, as added by this section.
SEC. 3. GRANT PRIORITY FOR PUBLIC HOUSING PROJECTS IN HIGH-CRIME AREAS.
Section 9(d) of the United States Housing Act of 1937 (42 U.S.C.
1437g(d)) is amended by adding at the end the following:
``(4) Emergency safety and security funding priority for
high-crime areas.--In awarding grants for safety and security
measures using amounts from the Capital Fund, the Secretary
shall give priority to an application from a public housing
agency that proposes to use the grant for a public housing
project located in a high-crime area (as defined in section
6(f)(2)(B)).''.
<all>
</pre></body></html>
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118HR1335 | Transparency, Accountability, Permitting, and Production of American Resources Act | [
[
"W000821",
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"sponsor"
],
[
"G000577",
"Rep. Graves, Garret [R-LA-6]",
"cosponsor"
],
[
"S001212",
"Rep. Stauber, Pete [R-MN-8]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1335 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1335
To restart onshore and offshore oil, gas, and coal leasing, streamline
permitting for energy infrastructure, ensure transparency in energy
development on Federal lands, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 3, 2023
Mr. Westerman (for himself, Mr. Graves of Louisiana, and Mr. Stauber)
introduced the following bill; which was referred to the Committee on
Natural Resources, and in addition to the Committees on Agriculture,
and the Budget, for a period to be subsequently determined by the
Speaker, in each case for consideration of such provisions as fall
within the jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To restart onshore and offshore oil, gas, and coal leasing, streamline
permitting for energy infrastructure, ensure transparency in energy
development on Federal lands, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE; TABLE OF CONTENTS.
(a) Short Title.--This Act may be cited as the ``Transparency,
Accountability, Permitting, and Production of American Resources Act''
or the ``TAPP American Resources Act''.
(b) Table of Contents.--The table of contents for this Act is as
follows:
Sec. 1. Short title; table of contents.
TITLE I--ONSHORE AND OFFSHORE LEASING AND OVERSIGHT
Sec. 101. Onshore oil and gas leasing.
Sec. 102. Lease reinstatement.
Sec. 103. Protested lease sales.
Sec. 104. Suspension of operations.
Sec. 105. Administrative protest process reform.
Sec. 106. Leasing and permitting transparency.
Sec. 107. Offshore oil and gas leasing.
Sec. 108. Five-year plan for offshore oil and gas leasing.
Sec. 109. Geothermal leasing.
Sec. 110. Leasing for certain qualified coal applications.
Sec. 111. Future coal leasing.
Sec. 112. Staff planning report.
TITLE II--PERMITTING STREAMLINING
Sec. 201. Definitions.
Sec. 202. BUILDER Act.
Sec. 203. Codification of National Environmental Policy Act
regulations.
Sec. 204. Non-major Federal actions.
Sec. 205. No net loss determination for existing rights-of-way.
Sec. 206. Determination of National Environmental Policy Act adequacy.
Sec. 207. Determination regarding rights-of-way.
Sec. 208. Terms of rights-of-way.
Sec. 209. Funding to process permits and develop information
technology.
Sec. 210. Offshore geological and geophysical survey licensing.
Sec. 211. Deferral of applications for permits to drill.
Sec. 212. Processing and terms of applications for permits to drill.
Sec. 213. Amendments to the Energy Policy Act of 2005.
Sec. 214. Access to Federal energy resources from non-Federal surface
estate.
Sec. 215. Scope of environmental reviews for oil and gas leases.
Sec. 216. Expediting approval of gathering lines.
Sec. 217. Lease sale litigation.
Sec. 218. Limitation on claims.
Sec. 219. Government Accountability Office report on permits to drill.
TITLE III--PERMITTING FOR MINING NEEDS
Sec. 301. Definitions.
Sec. 302. Minerals supply chain and reliability.
Sec. 303. Federal register process improvement.
Sec. 304. Designation of mining as a covered sector for Federal
permitting improvement purposes.
Sec. 305. Treatment of actions under presidential determination 2022-11
for Federal permitting improvement
purposes.
Sec. 306. Notice for mineral exploration activities with limited
surface disturbance.
Sec. 307. Use of mining claims for ancillary activities.
Sec. 308. Ensuring consideration of uranium as a critical mineral.
TITLE IV--FEDERAL LAND USE PLANNING
Sec. 401. Federal land use planning and withdrawals.
Sec. 402. Prohibitions on delay of mineral development of certain
Federal land.
Sec. 403. Definitions.
TITLE V--ENSURING COMPETITIVENESS ON FEDERAL LANDS
Sec. 501. Incentivizing domestic production.
TITLE VI--ENERGY REVENUE SHARING
Sec. 601. Gulf of Mexico Outer Continental Shelf revenue.
Sec. 602. Parity in offshore wind revenue sharing.
Sec. 603. Elimination of administrative fee under the Mineral Leasing
Act.
TITLE I--ONSHORE AND OFFSHORE LEASING AND OVERSIGHT
SEC. 101. ONSHORE OIL AND GAS LEASING.
(a) Requirement To Immediately Resume Onshore Oil and Gas Lease
Sales.--
(1) In general.--The Secretary of the Interior shall
immediately resume quarterly onshore oil and gas lease sales in
compliance with the Mineral Leasing Act (30 U.S.C. 181 et
seq.).
(2) Requirement.--The Secretary of the Interior shall
ensure--
(A) that any oil and gas lease sale pursuant to
paragraph (1) is conducted immediately on completion of
all applicable scoping, public comment, and
environmental analysis requirements under the Mineral
Leasing Act (30 U.S.C. 181 et seq.) and the National
Environmental Policy Act of 1969 (42 U.S.C. 4321 et
seq.); and
(B) that the processes described in subparagraph
(A) are conducted in a timely manner to ensure
compliance with subsection (b)(1).
(3) Lease of oil and gas lands.--Section 17(b)(1)(A) of the
Mineral Leasing Act (30 U.S.C. 226(b)(1)(A)) is amended by
inserting ``Eligible lands comprise all lands subject to
leasing under this Act and not excluded from leasing by a
statutory or regulatory prohibition. Available lands are those
lands that have been designated as open for leasing under a
land use plan developed under section 202 of the Federal Land
Policy and Management Act of 1976 and that have been nominated
for leasing through the submission of an expression of
interest, are subject to drainage in the absence of leasing, or
are otherwise designated as available pursuant to regulations
adopted by the Secretary.'' after ``sales are necessary.''.
(b) Quarterly Lease Sales.--
(1) In general.--In accordance with the Mineral Leasing Act
(30 U.S.C. 181 et seq.), each fiscal year, the Secretary of the
Interior shall conduct a minimum of four oil and gas lease
sales in each of the following States:
(A) Wyoming.
(B) New Mexico.
(C) Colorado.
(D) Utah.
(E) Montana.
(F) North Dakota.
(G) Oklahoma.
(H) Nevada.
(I) Alaska.
(J) Any other State in which there is land
available for oil and gas leasing under the Mineral
Leasing Act (30 U.S.C. 181 et seq.) or any other
mineral leasing law.
(2) Requirement.--In conducting a lease sale under
paragraph (1) in a State described in that paragraph, the
Secretary of the Interior shall offer all parcels nominated and
eligible pursuant to the requirements of the Mineral Leasing
Act (30 U.S.C. 181 et seq.) for oil and gas exploration,
development, and production under the resource management plan
in effect for the State.
(3) Replacement sales.--The Secretary of the Interior shall
conduct a replacement sale during the same fiscal year if--
(A) a lease sale under paragraph (1) is canceled,
delayed, or deferred, including for a lack of eligible
parcels; or
(B) during a lease sale under paragraph (1) the
percentage of acreage that does not receive a bid is
equal to or greater than 25 percent of the acreage
offered.
(4) Notice regarding missed sales.--Not later than 30 days
after a sale required under this subsection is canceled,
delayed, deferred, or otherwise missed the Secretary of the
Interior shall submit to the Committee on Natural Resources of
the House of Representatives and the Committee on Energy and
Natural Resources of the Senate a report that states what sale
was missed and why it was missed.
SEC. 102. LEASE REINSTATEMENT.
The reinstatement of a lease entered into under the Mineral Leasing
Act (30 U.S.C. 181 et seq.) or the Geothermal Steam Act of 1970 (30
U.S.C. 1001 et seq.) by the Secretary shall be not considered a major
Federal action under section 102(2)(C) of the National Environmental
Policy Act of 1969 (42 U.S.C. 4332(2)(C)).
SEC. 103. PROTESTED LEASE SALES.
Section 17(b)(1)(A) of the Mineral Leasing Act (30 U.S.C.
226(b)(1)(A)) is amended by inserting ``The Secretary shall resolve any
protest to a lease sale not later than 60 days after such payment.''
after ``annual rental for the first lease year.''.
SEC. 104. SUSPENSION OF OPERATIONS.
Section 17 of the Mineral Leasing Act (30 U.S.C. 226) is amended by
adding at the end the following:
``(r) Suspension of Operations Permits.--In the event that an oil
and gas lease owner has submitted an expression of interest for
adjacent acreage that is part of the nature of the geological play and
has yet to be offered in a lease sale by the Secretary, they may
request a suspension of operations from the Secretary of the Interior
and upon request, the Secretary shall grant the suspension of
operations within 15 days. Any payment of acreage rental or of minimum
royalty prescribed by such lease likewise shall be suspended during
such period of suspension of operations and production; and the term of
such lease shall be extended by adding any such suspension period
thereto.''.
SEC. 105. ADMINISTRATIVE PROTEST PROCESS REFORM.
Section 17 of the Mineral Leasing Act (30 U.S.C. 226) is further
amended by adding at the end the following:
``(s) Protest Filing Fee.--
``(1) In general.--Before processing any protest filed
under this section, the Secretary shall collect a filing fee in
the amount described in paragraph (2) from the protestor to
recover the cost for processing documents filed for each
administrative protest.
``(2) Amount.--The amount described in this paragraph is
calculated as follows:
``(A) For each protest filed in a submission not
exceeding 10 pages in length, the base filing fee shall
be $150.
``(B) For each submission exceeding 10 pages in
length, in addition to the base filing fee, an
assessment of $5 per page in excess of 10 pages shall
apply.
``(C) For protests that include more than one oil
and gas lease parcel, right-of-way, or application for
permit to drill in a submission, an additional
assessment of $10 per additional lease parcel, right-
of-way, or application for permit to drill shall apply.
``(3) Adjustment.--
``(A) In general.--Beginning on January 1, 2022,
and annually thereafter, the Secretary shall adjust the
filing fees established in this subsection to whole
dollar amounts to reflect changes in the Producer Price
Index, as published by the Bureau of Labor Statistics,
for the previous 12 months.
``(B) Publication of adjusted filing fees.--At
least 30 days before the filing fees as adjusted under
this paragraph take effect, the Secretary shall publish
notification of the adjustment of such fees in the
Federal Register.''.
SEC. 106. LEASING AND PERMITTING TRANSPARENCY.
(a) Report.--Not later than 30 days after the date of the enactment
of this section, and annually thereafter, the Secretary of the Interior
shall submit to the Committee on Natural Resources of the House of
Representatives and the Committee on Energy and Natural Resources of
the Senate a report that describes--
(1) the status of nominated parcels for future onshore oil
and gas and geothermal lease sales, including--
(A) the number of expressions of interest received
each month during the period of 365 days that ends on
the date on which the report is submitted with respect
to which the Bureau of Land Management--
(i) has not taken any action to review;
(ii) has not completed review; or
(iii) has completed review and determined
that the relevant area meets all applicable
requirements for leasing, but has not offered
the relevant area in a lease sale;
(B) how long expressions of interest described in
subparagraph (A) have been pending; and
(C) a plan, including timelines, for how the
Secretary of the Interior plans to--
(i) work through future expressions of
interest to prevent delays;
(ii) put expressions of interest described
in subparagraph (A) into a lease sale; and
(iii) complete review for expressions of
interest described in clauses (i) and (ii) of
subparagraph (A);
(2) the status of each pending application for permit to
drill received during the period of 365 days that ends on the
date on which the report is submitted, including the number of
applications received each month, by each Bureau of Land
Management office, including--
(A) a description of the cause of delay for pending
applications, including as a result of staffing
shortages, technical limitations, incomplete
applications, and incomplete review pursuant to the
National Environmental Policy Act of 1969 (42 U.S.C.
4321 et seq.) or other applicable laws;
(B) the number of days an application has been
pending in violation of section 17(p)(2) of the Mineral
Leasing Act (30 U.S.C. 226(p)(2)); and
(C) a plan for how the office intends to come into
compliance with the requirements of section 17(p)(2) of
the Mineral Leasing Act (30 U.S.C. 226(p)(2));
(3) the number of permits to drill issued each month by
each Bureau of Land Management office during the 5-year period
ending on the date on which the report is submitted;
(4) the status of each pending application for a license
for offshore geological and geophysical surveys received during
the period of 365 days that ends on the date on which the
report is submitted, including the number of applications
received each month, by each Bureau of Ocean Energy management
regional office, including--
(A) a description of any cause of delay for pending
applications, including as a result of staffing
shortages, technical limitations, incomplete
applications, and incomplete review pursuant to the
National Environmental Policy Act of 1969 (42 U.S.C.
4321 et seq.) or other applicable laws;
(B) the number of days an application has been
pending; and
(C) a plan for how the Bureau of Ocean Energy
Management intends to complete review of each
application;
(5) the number of licenses for offshore geological and
geophysical surveys issued each month by each Bureau of Ocean
Energy Management regional office during the 5-year period
ending on the date on which the report is submitted;
(6) the status of each pending application for a permit to
drill received during the period of 365 days that ends on the
date on which the report is submitted, including the number of
applications received each month, by each Bureau of Safety and
Environmental Enforcement regional office, including--
(A) a description of any cause of delay for pending
applications, including as a result of staffing
shortages, technical limitations, incomplete
applications, and incomplete review pursuant to the
National Environmental Policy Act of 1969 (42 U.S.C.
4321 et seq.) or other applicable laws;
(B) the number of days an application has been
pending; and
(C) steps the Bureau of Safety and Environmental
Enforcement is taking to complete review of each
application;
(7) the number of permits to drill issued each month by
each Bureau of Safety and Environmental Enforcement regional
office during the period of 365 days that ends on the date on
which the report is submitted;
(8) how, as applicable, the Bureau of Land Management, the
Bureau of Ocean Energy Management, and the Bureau of Safety and
Environmental Enforcement determines whether to--
(A) issue a license for geological and geophysical
surveys;
(B) issue a permit to drill; and
(C) issue, extend, or suspend an oil and gas lease;
(9) when determinations described in paragraph (8) are sent
to the national office of the Bureau of Land Management, the
Bureau of Ocean Energy Management, or the Bureau of Safety and
Environmental Enforcement for final approval;
(10) the degree to which Bureau of Land Management, Bureau
of Ocean Energy Management, and Bureau of Safety and
Environmental Enforcement field, State, and regional offices
exercise discretion on such final approval;
(11) during the period of 365 days that ends on the date on
which the report is submitted, the number of auctioned leases
receiving accepted bids that have not been issued to winning
bidders and the number of days such leases have not been
issued; and
(12) a description of the uses of application for permit to
drill fees paid by permit holders during the 5-year period
ending on the date on which the report is submitted.
(b) Pending Applications for Permits To Drill.--Not later than 30
days after the date of the enactment of this section, the Secretary of
the Interior shall--
(1) complete all requirements under the National
Environmental Policy Act of 1969 (42 U.S.C. 4321 et seq.) and
other applicable law that must be met before issuance of a
permit to drill described in paragraph (2); and
(2) issue a permit for all completed applications to drill
that are pending on the date of the enactment of this Act.
(c) Public Availability of Data.--
(1) Mineral leasing act.--Section 17 of the Mineral Leasing
Act (30 U.S.C. 226) is further amended by adding at the end the
following:
``(t) Public Availability of Data.--
``(1) Expressions of interest.--Not later than 30 days
after the date of the enactment of this subsection, and each
month thereafter, the Secretary shall publish on the website of
the Department of the Interior the number of pending, approved,
and not approved expressions of interest in nominated parcels
for future onshore oil and gas lease sales in the preceding
month.
``(2) Applications for permits to drill.--Not later than 30
days after the date of the enactment of this subsection, and
each month thereafter, the Secretary shall publish on the
website of the Department of the Interior the number of pending
and approved applications for permits to drill in the preceding
month in each State office.
``(3) Past data.--Not later than 30 days after the date of
the enactment of this subsection, the Secretary shall publish
on the website of the Department of the Interior, with respect
to each month during the 5-year period ending on the date of
the enactment of this subsection--
``(A) the number of approved and not approved
expressions of interest for onshore oil and gas lease
sales during such 5-year period; and
``(B) the number of approved and not approved
applications for permits to drill during such 5-year
period.''.
(2) Outer continental shelf lands act.--Section 8 of the
Outer Continental Shelf Lands Act (43 U.S.C. 1337) is amended
by adding at the end the following:
``(q) Public Availability of Data.--
``(1) Offshore geological and geophysical survey
licenses.--Not later than 30 days after the date of the
enactment of this subsection, and each month thereafter, the
Secretary shall publish on the website of the Department of the
Interior the number of pending and approved applications for
licenses for offshore to geological and geophysical surveys in
the preceding month.
``(2) Applications for permits to drill.--Not later than 30
days after the date of the enactment of this subsection, and
each month thereafter, the Secretary shall publish on the
website of the Department of the Interior the number of pending
and approved applications for permits to drill on the outer
Continental Shelf in the preceding month in each regional
office.
``(3) Past data.--Not later than 30 days after the date of
the enactment of this subsection, the Secretary shall publish
on the website of the Department of the Interior, with respect
each month during the 5-year period ending on the date of the
enactment of this subsection--
``(A) the number of approved applications for
licenses for offshore geological and geophysical
surveys; and
``(B) the number of approved applications for
permits to drill on the outer Continental Shelf.''.
(d) Requirement To Submit Documents and Communications.--
(1) In general.--Not later than 60 days after the date of
the enactment of this section, the Secretary of the Interior
shall submit to the Committee on Energy and Natural Resources
of the Senate and the Committee on Natural Resources of the
House of Representatives all documents and communications
relating to the comprehensive review of Federal oil and gas
permitting and leasing practices required under section 208 of
Executive Order 14008 (86 Fed. Reg. 7624; relating to tackling
the climate crisis at home and abroad).
(2) Inclusions.--The submission under paragraph (1) shall
include all documents and communications submitted to the
Secretary of the Interior by members of the public in response
to any public meeting or forum relating to the comprehensive
review described in that paragraph.
SEC. 107. OFFSHORE OIL AND GAS LEASING.
(a) In General.--The Secretary shall conduct all lease sales
described in the 2017-2022 Outer Continental Shelf Oil and Gas Leasing
Proposed Final Program (November 2016) that have not been conducted as
of the date of the enactment of this Act by not later than September
30, 2023.
(b) Gulf of Mexico Region Annual Lease Sales.--Notwithstanding any
other provision of law, and except within areas subject to existing oil
and gas leasing moratoria beginning in fiscal year 2023, the Secretary
of the Interior shall annually conduct a minimum of 2 region-wide oil
and gas lease sales in the following planning areas of the Gulf of
Mexico region, as described in the 2017-2022 Outer Continental Shelf
Oil and Gas Leasing Proposed Final Program (November 2016):
(1) The Central Gulf of Mexico Planning Area.
(2) The Western Gulf of Mexico Planning Area.
(c) Alaska Region Annual Lease Sales.--Notwithstanding any other
provision of law, beginning in fiscal year 2023, the Secretary of the
Interior shall annually conduct a minimum of 2 region-wide oil and gas
lease sales in the Alaska region of the Outer Continental Shelf, as
described in the 2017-2022 Outer Continental Shelf Oil and Gas Leasing
Proposed Final Program (November 2016).
(d) Requirements.--In conducting lease sales under subsections (b)
and (c), the Secretary of the Interior shall--
(1) issue such leases in accordance with the Outer
Continental Shelf Lands Act (43 U.S.C. 1332 et seq.); and
(2) include in each such lease sale all unleased areas that
are not subject to a moratorium as of the date of the lease
sale.
SEC. 108. FIVE-YEAR PLAN FOR OFFSHORE OIL AND GAS LEASING.
Section 18 of the Outer Continental Shelf Lands Act (43 U.S.C.
1344) is amended--
(1) in subsection (a)--
(A) by striking ``subsections (c) and (d) of this
section, shall prepare and periodically revise,'' and
inserting ``this section, shall issue every five
years'';
(B) by adding at the end the following:
``(5) Each five-year program shall include at least two
Gulf of Mexico region-wide lease sales per year.''; and
(C) in paragraph (3), by inserting ``domestic
energy security,'' after ``between'';
(2) by redesignating subsections (f) through (i) as
subsections (h) through (k), respectively; and
(3) by inserting after subsection (e) the following:
``(f) Five-Year Program for 2023-2028.--The Secretary shall issue
the five-year oil and gas leasing program for 2023 through 2028 and
issue the Record of Decision on the Final Programmatic Environmental
Impact Statement by not later than July 1, 2023.
``(g) Subsequent Leasing Programs.--
``(1) In general.--Not later than 36 months after
conducting the first lease sale under an oil and gas leasing
program prepared pursuant to this section, the Secretary shall
begin preparing the subsequent oil and gas leasing program
under this section.
``(2) Requirement.--Each subsequent oil and gas leasing
program under this section shall be approved by not later than
180 days before the expiration of the previous oil and gas
leasing program.''.
SEC. 109. GEOTHERMAL LEASING.
(a) Annual Leasing.--Section 4(b) of the Geothermal Steam Act of
1970 (30 U.S.C. 1003(b)) is amended--
(1) in paragraph (2), by striking ``2 years'' and inserting
``year'';
(2) by redesignating paragraphs (3) and (4) as paragraphs
(5) and (6), respectively; and
(3) after paragraph (2), by inserting the following:
``(3) Replacement sales.--If a lease sale under paragraph
(1) for a year is canceled or delayed, the Secretary of the
Interior shall conduct a replacement sale during the same year.
``(4) Requirement.--In conducting a lease sale under
paragraph (2) in a State described in that paragraph, the
Secretary of the Interior shall offer all nominated parcels
eligible for geothermal development and utilization under the
resource management plan in effect for the State.''.
(b) Deadlines for Consideration of Geothermal Drilling Permits.--
Section 4 of the Geothermal Steam Act of 1970 (30 U.S.C. 1003) is
amended by adding at the end the following:
``(h) Deadlines for Consideration of Geothermal Drilling Permits.--
``(1) Notice.--Not later than 30 days after the date on
which the Secretary receives an application for any geothermal
drilling permit, the Secretary shall--
``(A) provide written notice to the applicant that
the application is complete; or
``(B) notify the applicant that information is
missing and specify any information that is required to
be submitted for the application to be complete.
``(2) Issuance of decision.--If the Secretary determines
that an application for a geothermal drilling permit is
complete under paragraph (1)(A), the Secretary shall issue a
final decision on the application not later than 30 days after
the Secretary notifies the applicant that the application is
complete.''.
SEC. 110. LEASING FOR CERTAIN QUALIFIED COAL APPLICATIONS.
(a) Definitions.--In this section:
(1) Coal lease.--The term ``coal lease'' means a lease
entered into by the United States as lessor, through the Bureau
of Land Management, and the applicant on Bureau of Land
Management Form 3400-012.
(2) Qualified application.--The term ``qualified
application'' means any application pending under the lease by
application program administered by the Bureau of Land
Management pursuant to the Mineral Leasing Act (30 U.S.C. 181
et seq.) and subpart 3425 of title 43, Code of Federal
Regulations (as in effect on the date of the enactment of this
Act), for which the environmental review process under the
National Environmental Policy Act of 1969 (42 U.S.C. 4321 et
seq.) has commenced.
(b) Mandatory Leasing and Other Required Approvals.--As soon as
practicable after the date of the enactment of this Act, the Secretary
shall promptly--
(1) with respect to each qualified application--
(A) if not previously published for public comment,
publish a draft environmental assessment, as required
under the National Environmental Policy Act of 1969 (42
U.S.C. 4321 et seq.) and any applicable implementing
regulations;
(B) finalize the fair market value of the coal
tract for which a lease by application is pending;
(C) take all intermediate actions necessary to
grant the qualified application; and
(D) grant the qualified application; and
(2) with respect to previously awarded coal leases, grant
any additional approvals of the Department of the Interior or
any bureau, agency, or division of the Department of the
Interior required for mining activities to commence.
SEC. 111. FUTURE COAL LEASING.
Notwithstanding any judicial decision to the contrary or a
departmental review of the Federal coal leasing program, Secretarial
Order 3338, issued by the Secretary of the Interior on January 15,
2016, shall have no force or effect.
SEC. 112. STAFF PLANNING REPORT.
The Secretary of the Interior and the Secretary of Agriculture
shall each annually submit to the Committee on Natural Resources of the
House of Representatives and the Committee on Energy and Natural
Resources of the Senate a report on the staffing capacity of each
respective agency with respect to issuing oil, gas, hardrock mining,
coal, and renewable energy leases, rights-of-way, claims, easements,
and permits. Each such report shall include--
(1) the number of staff assigned to process and issue oil,
gas, hardrock mining, coal, and renewable energy leases,
rights-of-way, claims, easements, and permits;
(2) a description of how many staff are needed to meet
statutory requirements for such oil, gas, hardrock mining,
coal, and renewable energy leases, rights-of-way, claims,
easements, and permits; and
(3) how, as applicable, the Department of the Interior or
the Department of Agriculture plans to address staffing
shortfalls and turnover to ensure adequate staffing to process
and issue such oil, gas, hardrock mining, coal, and renewable
energy leases, rights-of-way, claims, easements, and permits.
TITLE II--PERMITTING STREAMLINING
SEC. 201. DEFINITIONS.
In this title:
(1) Energy facility.--The term ``energy facility'' means a
facility the primary purpose of which is the exploration for,
or the development, production, conversion, gathering, storage,
transfer, processing, or transportation of, any energy
resource.
(2) Energy storage device.--The term ``energy storage
device''--
(A) means any equipment that stores energy,
including electricity, compressed air, pumped water,
heat, and hydrogen, which may be converted into, or
used to produce, electricity; and
(B) includes a battery, regenerative fuel cell,
flywheel, capacitor, superconducting magnet, and any
other equipment the Secretary concerned determines may
be used to store energy which may be converted into, or
used to produce, electricity.
(3) Public lands.--The term ``public lands'' means any land
and interest in land owned by the United States within the
several States and administered by the Secretary of the
Interior or the Secretary of Agriculture without regard to how
the United States acquired ownership, except--
(A) lands located on the Outer Continental Shelf;
and
(B) lands held in trust by the United States for
the benefit of Indians, Indian Tribes, Aleuts, and
Eskimos.
(4) Right-of-way.--The term ``right-of-way'' means--
(A) a right-of-way issued, granted, or renewed
under section 501 of the Federal Land Policy and
Management Act of 1976 (43 U.S.C. 1761); or
(B) a right-of-way granted under section 28 of the
Mineral Leasing Act (30 U.S.C. 185).
(5) Secretary concerned.--The term ``Secretary concerned''
means--
(A) with respect to public lands, the Secretary of
the Interior; and
(B) with respect to National Forest System lands,
the Secretary of Agriculture.
(6) Land use plan.--The term ``land use plan'' means--
(A) a land and resource management plan prepared by
the Forest Service for a unit of the National Forest
System pursuant to section 6 of the Forest and
Rangeland Renewable Resources Planning Act of 1974 (16
U.S.C. 1604);
(B) a Land Management Plan developed by the Bureau
of Land Management under the Federal Land Policy and
Management Act of 1976 (43 U.S.C. 1701 et seq.); or
(C) a comprehensive conservation plan developed by
the United States Fish and Wildlife Service under
section 4(e)(1)(A) of the National Wildlife Refuge
System Administration Act of 1966 (16 U.S.C.
668dd(e)(1)(A)).
SEC. 202. BUILDER ACT.
(a) Paragraph (2) of Section 102.--Section 102(2) of the National
Environmental Policy Act of 1969 (42 U.S.C. 4332(2)) is amended--
(1) in subparagraph (A), by striking ``insure'' and
inserting ``ensure'';
(2) in subparagraph (B), by striking ``insure'' and
inserting ``ensure'';
(3) in subparagraph (C)--
(A) by inserting ``consistent with the provisions
of this Act and except as provided by other provisions
of law,'' before ``include in every'';
(B) by striking clauses (i) through (v) and
inserting the following:
``(i) reasonably foreseeable environmental effects
with a reasonably close causal relationship to the
proposed agency action;
``(ii) any reasonably foreseeable adverse
environmental effects which cannot be avoided should
the proposal be implemented;
``(iii) a reasonable number of alternatives to the
proposed agency action, including an analysis of any
negative environmental impacts of not implementing the
proposed agency action in the case of a no action
alternative, that are technically and economically
feasible, are within the jurisdiction of the agency,
meet the purpose and need of the proposal, and, where
applicable, meet the goals of the applicant;
``(iv) the relationship between local short-term
uses of man's environment and the maintenance and
enhancement of long-term productivity; and
``(v) any irreversible and irretrievable
commitments of Federal resources which would be
involved in the proposed agency action should it be
implemented.''; and
(C) by striking ``the responsible Federal
official'' and inserting ``the head of the lead
agency'';
(4) in subparagraph (D), by striking ``Any'' and inserting
``any'';
(5) by redesignating subparagraphs (D) through (I) as
subparagraphs (F) through (K), respectively;
(6) by inserting after subparagraph (C) the following:
``(D) ensure the professional integrity, including
scientific integrity, of the discussion and analysis in an
environmental document;
``(E) make use of reliable existing data and resources in
carrying out this Act;'';
(7) by amending subparagraph (G), as redesignated, to read
as follows:
``(G) consistent with the provisions of this Act, study,
develop, and describe technically and economically feasible
alternatives within the jurisdiction and authority of the
agency;''; and
(8) in subparagraph (H), as amended, by inserting
``consistent with the provisions of this Act,'' before
``recognize''.
(b) New Sections.--Title I of the National Environmental Policy Act
of 1969 (42 U.S.C. 4321 et seq.) is amended by adding at the end the
following:
``SEC. 106. PROCEDURE FOR DETERMINATION OF LEVEL OF REVIEW.
``(a) Threshold Determinations.--An agency is not required to
prepare an environmental document with respect to a proposed agency
action if--
``(1) the proposed agency action is not a final agency
action within the meaning of such term in chapter 5 of title 5,
United States Code;
``(2) the proposed agency action is covered by a
categorical exclusion established by a Federal agency or by
another provision of law;
``(3) the preparation of such document would clearly and
fundamentally conflict with the requirements of another
provision of law;
``(4) the proposed agency action is, in whole or in part, a
nondiscretionary action with respect to which such agency does
not have authority to take environmental factors into
consideration in determining whether to take the proposed
action;
``(5) the proposed agency action is a rulemaking that is
subject to section 553 of title 5, United States Code; or
``(6) the proposed agency action is an action for which
such agency's compliance with another statute's requirements
serve the same or similar function as the requirements of this
Act with respect to such action.
``(b) Levels of Review.--
``(1) Environmental impact statement.--An agency shall
issue an environmental impact statement with respect to a
proposed agency action that has a significant effect on the
quality of the human environment.
``(2) Environmental assessment.--An agency shall prepare an
environmental assessment with respect to a proposed agency
action that is not likely to have a significant effect on the
quality of the human environment, or if the significance of
such effect is unknown. Such environmental assessment shall be
a concise public document prepared by a Federal agency to set
forth the basis of such agency's finding of no significant
impact.
``(3) Sources of information.--In making a determination
under this subsection, an agency--
``(A) may make use of any reliable data source; and
``(B) is not required to undertake new scientific
or technical research.
``SEC. 107. TIMELY AND UNIFIED FEDERAL REVIEWS.
``(a) Lead Agency.--
``(1) Designation.--
``(A) In general.--If there are two or more
involved Federal agencies, such agencies shall
determine, by letter or memorandum, which agency shall
be the lead agency based on consideration of the
following factors:
``(i) Magnitude of agency's involvement.
``(ii) Project approval or disapproval
authority.
``(iii) Expertise concerning the action's
environmental effects.
``(iv) Duration of agency's involvement.
``(v) Sequence of agency's involvement.
``(B) Joint lead agencies.--In making a
determination under subparagraph (A), the involved
Federal agencies may, in addition to a Federal agency,
appoint such Federal, State, Tribal, or local agencies
as joint lead agencies as the involved Federal agencies
shall determine appropriate. Joint lead agencies shall
jointly fulfill the role described in paragraph (2).
``(C) Mineral projects.--This paragraph shall not
apply with respect to a mineral exploration or mine
permit.
``(2) Role.--A lead agency shall, with respect to a
proposed agency action--
``(A) supervise the preparation of an environmental
document if, with respect to such proposed agency
action, there is more than one involved Federal agency;
``(B) request the participation of each cooperating
agency at the earliest practicable time;
``(C) in preparing an environmental document, give
consideration to any analysis or proposal created by a
cooperating agency with jurisdiction by law or a
cooperating agency with special expertise;
``(D) develop a schedule, in consultation with each
involved cooperating agency, the applicant, and such
other entities as the lead agency determines
appropriate, for completion of any environmental
review, permit, or authorization required to carry out
the proposed agency action;
``(E) if the lead agency determines that a review,
permit, or authorization will not be completed in
accordance with the schedule developed under
subparagraph (D), notify the agency responsible for
issuing such review, permit, or authorization of the
discrepancy and request that such agency take such
measures as such agency determines appropriate to
comply with such schedule; and
``(F) meet with a cooperating agency that requests
such a meeting.
``(3) Cooperating agency.--The lead agency may, with
respect to a proposed agency action, designate any involved
Federal agency or a State, Tribal, or local agency as a
cooperating agency. A cooperating agency may, not later than a
date specified by the lead agency, submit comments to the lead
agency. Such comments shall be limited to matters relating to
the proposed agency action with respect to which such agency
has special expertise or jurisdiction by law with respect to an
environmental issue.
``(4) Request for designation.--Any Federal, State, Tribal,
or local agency or person that is substantially affected by the
lack of a designation of a lead agency with respect to a
proposed agency action under paragraph (1) may submit a written
request for such a designation to an involved Federal agency.
An agency that receives a request under this paragraph shall
transmit such request to each involved Federal agency and to
the Council.
``(5) Council designation.--
``(A) Request.--Not earlier than 45 days after the
date on which a request is submitted under paragraph
(4), if no designation has been made under paragraph
(1), a Federal, State, Tribal, or local agency or
person that is substantially affected by the lack of a
designation of a lead agency may request that the
Council designate a lead agency. Such request shall
consist of--
``(i) a precise description of the nature
and extent of the proposed agency action; and
``(ii) a detailed statement with respect to
each involved Federal agency and each factor
listed in paragraph (1) regarding which agency
should serve as lead agency.
``(B) Transmission.--The Council shall transmit a
request received under subparagraph (A) to each
involved Federal agency.
``(C) Response.--An involved Federal agency may,
not later than 20 days after the date of the submission
of a request under subparagraph (A), submit to the
Council a response to such request.
``(D) Designation.--Not later than 40 days after
the date of the submission of a request under
subparagraph (A), the Council shall designate the lead
agency with respect to the relevant proposed agency
action.
``(b) One Document.--
``(1) Document.--To the extent practicable, if there are 2
or more involved Federal agencies with respect to a proposed
agency action and the lead agency has determined that an
environmental document is required, such requirement shall be
deemed satisfied with respect to all involved Federal agencies
if the lead agency issues such an environmental document.
``(2) Consideration timing.--In developing an environmental
document for a proposed agency action, no involved Federal
agency shall be required to consider any information that
becomes available after the sooner of, as applicable--
``(A) receipt of a complete application with
respect to such proposed agency action; or
``(B) publication of a notice of intent or decision
to prepare an environmental impact statement for such
proposed agency action.
``(3) Scope of review.--In developing an environmental
document for a proposed agency action, the lead agency and any
other involved Federal agencies shall only consider the effects
of the proposed agency action that--
``(A) occur on Federal land; or
``(B) are subject to Federal control and
responsibility.
``(c) Request for Public Comment.--Each notice of intent to prepare
an environmental impact statement under section 102 shall include a
request for public comment on alternatives or impacts and on relevant
information, studies, or analyses with respect to the proposed agency
action.
``(d) Statement of Purpose and Need.--Each environmental impact
statement shall include a statement of purpose and need that briefly
summarizes the underlying purpose and need for the proposed agency
action.
``(e) Estimated Total Cost.--The cover sheet for each environmental
impact statement shall include a statement of the estimated total cost
of preparing such environmental impact statement, including the costs
of agency full-time equivalent personnel hours, contractor costs, and
other direct costs.
``(f) Page Limits.--
``(1) Environmental impact statements.--
``(A) In general.--Except as provided in
subparagraph (B), an environmental impact statement
shall not exceed 150 pages, not including any citations
or appendices.
``(B) Extraordinary complexity.--An environmental
impact statement for a proposed agency action of
extraordinary complexity shall not exceed 300 pages,
not including any citations or appendices.
``(2) Environmental assessments.--An environmental
assessment shall not exceed 75 pages, not including any
citations or appendices.
``(g) Sponsor Preparation.--A lead agency shall allow a project
sponsor to prepare an environmental assessment or an environmental
impact statement upon request of the project sponsor. Such agency may
provide such sponsor with appropriate guidance and assist in the
preparation. The lead agency shall independently evaluate the
environmental document and shall take responsibility for the contents
upon adoption.
``(h) Deadlines.--
``(1) In general.--Except as provided in paragraph (2),
with respect to a proposed agency action, a lead agency shall
complete, as applicable--
``(A) the environmental impact statement not later
than the date that is 2 years after the sooner of, as
applicable--
``(i) the date on which such agency
determines that section 102(2)(C) requires the
issuance of an environmental impact statement
with respect to such action;
``(ii) the date on which such agency
notifies the applicant that the application to
establish a right-of-way for such action is
complete; and
``(iii) the date on which such agency
issues a notice of intent to prepare the
environmental impact statement for such action;
and
``(B) the environmental assessment not later than
the date that is 1 year after the sooner of, as
applicable--
``(i) the date on which such agency
determines that section 106(b)(2) requires the
preparation of an environmental assessment with
respect to such action;
``(ii) the date on which such agency
notifies the applicant that the application to
establish a right-of-way for such action is
complete; and
``(iii) the date on which such agency
issues a notice of intent to prepare the
environmental assessment for such action.
``(2) Delay.--A lead agency that determines it is not able
to meet the deadline described in paragraph (1) may extend such
deadline with the approval of the applicant. If the applicant
approves such an extension, the lead agency shall establish a
new deadline that provides only so much additional time as is
necessary to complete such environmental impact statement or
environmental assessment.
``(3) Expenditures for delay.--If a lead agency is unable
to meet the deadline described in paragraph (1) or extended
under paragraph (2), the lead agency must pay $100 per day, to
the extent funding is provided in advance in an appropriations
Act, out of the office of the head of the department of the
lead agency to the applicant starting on the first day
immediately following the deadline described in paragraph (1)
or extended under paragraph (2) up until the date that an
applicant approves a new deadline. This paragraph does not
apply when the lead agency misses a deadline solely due to
delays caused by litigation.
``(i) Report.--
``(1) In general.--The head of each lead agency shall
annually submit to the Committee on Natural Resources of the
House of Representatives and the Committee on Environment and
Public Works of the Senate a report that--
``(A) identifies any environmental assessment and
environmental impact statement that such lead agency
did not complete by the deadline described in
subsection (h); and
``(B) provides an explanation for any failure to
meet such deadline.
``(2) Inclusions.--Each report submitted under paragraph
(1) shall identify, as applicable--
``(A) the office, bureau, division, unit, or other
entity within the Federal agency responsible for each
such environmental assessment and environmental impact
statement;
``(B) the date on which--
``(i) such lead agency notified the
applicant that the application to establish a
right-of-way for the major Federal action is
complete;
``(ii) such lead agency began the scoping
for the major Federal action; or
``(iii) such lead agency issued a notice of
intent to prepare the environmental assessment
or environmental impact statement for the major
Federal action; and
``(C) when such environmental assessment and
environmental impact statement is expected to be
complete.
``SEC. 108. JUDICIAL REVIEW.
``(a) Limitations on Claims.--Notwithstanding any other provision
of law, a claim arising under Federal law seeking judicial review of
compliance with this Act, of a determination made under this Act, or of
Federal action resulting from a determination made under this Act,
shall be barred unless--
``(1) in the case of a claim pertaining to a proposed
agency action for which--
``(A) an environmental document was prepared and an
opportunity for comment was provided;
``(B) the claim is filed by a party that
participated in the administrative proceedings
regarding such environmental document; and
``(C) the claim--
``(i) is filed by a party that submitted a
comment during the public comment period for
such administrative proceedings and such
comment was sufficiently detailed to put the
lead agency on notice of the issue upon which
the party seeks judicial review; and
``(ii) is related to such comment;
``(2) except as provided in subsection (b), such claim is
filed not later than 120 days after the date of publication of
a notice in the Federal Register of agency intent to carry out
the proposed agency action;
``(3) such claim is filed after the issuance of a record of
decision or other final agency action with respect to the
relevant proposed agency action;
``(4) such claim does not challenge the establishment or
use of a categorical exclusion under section 102; and
``(5) such claim concerns--
``(A) an alternative included in the environmental
document; or
``(B) an environmental effect considered in the
environmental document.
``(b) Supplemental Environmental Impact Statement.--
``(1) Separate final agency action.--The issuance of a
Federal action resulting from a final supplemental
environmental impact statement shall be considered a final
agency action for the purposes of chapter 5 of title 5, United
States Code, separate from the issuance of any previous
environmental impact statement with respect to the same
proposed agency action.
``(2) Deadline for filing a claim.--A claim seeking
judicial review of a Federal action resulting from a final
supplemental environmental review issued under section
102(2)(C) shall be barred unless--
``(A) such claim is filed within 120 days of the
date on which a notice of the Federal agency action
resulting from a final supplemental environmental
impact statement is issued; and
``(B) such claim is based on information contained
in such supplemental environmental impact statement
that was not contained in a previous environmental
document pertaining to the same proposed agency action.
``(c) Prohibition on Injunctive Relief.--Notwithstanding any other
provision of law, a violation of this Act shall not constitute the
basis for injunctive relief.
``(d) Rule of Construction.--Nothing in this section shall be
construed to create a right of judicial review or place any limit on
filing a claim with respect to the violation of the terms of a permit,
license, or approval.
``(e) Remand.--Notwithstanding any other provision of law, no
proposed agency action for which an environmental document is required
shall be vacated or otherwise limited, delayed, or enjoined unless a
court concludes allowing such proposed action will pose a risk of an
imminent and substantial environmental harm and there is no other
equitable remedy available as a matter of law.
``SEC. 109. DEFINITIONS.
``In this title:
``(1) Categorical exclusion.--The term `categorical
exclusion' means a category of actions that a Federal agency
has determined normally does not significantly affect the
quality of the human environment within the meaning of section
102(2)(C).
``(2) Cooperating agency.--The term `cooperating agency'
means any Federal, State, Tribal, or local agency that has been
designated as a cooperating agency under section 107(a)(3).
``(3) Council.--The term `Council' means the Council on
Environmental Quality established in title II.
``(4) Environmental assessment.--The term `environmental
assessment' means an environmental assessment prepared under
section 106(b)(2).
``(5) Environmental document.--The term `environmental
document' means an environmental impact statement, an
environmental assessment, or a finding of no significant
impact.
``(6) Environmental impact statement.--The term
`environmental impact statement' means a detailed written
statement that is required by section 102(2)(C).
``(7) Finding of no significant impact.--The term `finding
of no significant impact' means a determination by a Federal
agency that a proposed agency action does not require the
issuance of an environmental impact statement.
``(8) Involved federal agency.--The term `involved Federal
agency' means an agency that, with respect to a proposed agency
action--
``(A) proposed such action; or
``(B) is involved in such action because such
action is directly related, through functional
interdependence or geographic proximity, to an action
such agency has taken or has proposed to take.
``(9) Lead agency.--
``(A) In general.--Except as provided in
subparagraph (B), the term `lead agency' means, with
respect to a proposed agency action--
``(i) the agency that proposed such action;
or
``(ii) if there are 2 or more involved
Federal agencies with respect to such action,
the agency designated under section 107(a)(1).
``(B) Specification for mineral exploration or mine
permits.--With respect to a proposed mineral
exploration or mine permit, the term `lead agency' has
the meaning given such term in section 40206(a) of the
Infrastructure Investment and Jobs Act.
``(10) Major federal action.--
``(A) In general.--The term `major Federal action'
means an action that the agency carrying out such
action determines is subject to substantial Federal
control and responsibility.
``(B) Exclusion.--The term `major Federal action'
does not include--
``(i) a non-Federal action--
``(I) with no or minimal Federal
funding;
``(II) with no or minimal Federal
involvement where a Federal agency
cannot control the outcome of the
project; or
``(III) that does not include
Federal land;
``(ii) funding assistance solely in the
form of general revenue sharing funds which do
not provide Federal agency compliance or
enforcement responsibility over the subsequent
use of such funds;
``(iii) loans, loan guarantees, or other
forms of financial assistance where a Federal
agency does not exercise sufficient control and
responsibility over the effect of the action;
``(iv) farm ownership and operating loan
guarantees by the Farm Service Agency pursuant
to sections 305 and 311 through 319 of the
Consolidated Farmers Home Administration Act of
1961 (7 U.S.C. 1925 and 1941 through 1949);
``(v) business loan guarantees provided by
the Small Business Administration pursuant to
section 7(a) or (b) and of the Small Business
Act (15 U.S.C. 636(a)), or title V of the Small
Business Investment Act of 1958 (15 U.S.C. 695
et seq.);
``(vi) bringing judicial or administrative
civil or criminal enforcement actions; or
``(vii) extraterritorial activities or
decisions, which means agency activities or
decisions with effects located entirely outside
of the jurisdiction of the United States.
``(C) Additional exclusions.--An agency action may
not be determined to be a major Federal action on the
basis of--
``(i) an interstate effect of the action or
related project; or
``(ii) the provision of Federal funds for
the action or related project.
``(11) Mineral exploration or mine permit.--The term
`mineral exploration or mine permit' has the meaning given such
term in section 40206(a) of the Infrastructure Investment and
Jobs Act.
``(12) Proposal.--The term `proposal' means a proposed
action at a stage when an agency has a goal, is actively
preparing to make a decision on one or more alternative means
of accomplishing that goal, and can meaningfully evaluate its
effects.
``(13) Reasonably foreseeable.--The term `reasonably
foreseeable' means likely to occur--
``(A) not later than 10 years after the lead agency
begins preparing the environmental document; and
``(B) in an area directly affected by the proposed
agency action such that an individual of ordinary
prudence would take such occurrence into account in
reaching a decision.
``(14) Special expertise.--The term `special expertise'
means statutory responsibility, agency mission, or related
program experience.''.
SEC. 203. CODIFICATION OF NATIONAL ENVIRONMENTAL POLICY ACT
REGULATIONS.
The revisions to the Code of Federal Regulations made pursuant to
the final rule of the Council on Environmental Quality titled ``Update
to the Regulations Implementing the Procedural Provisions of the
National Environmental Policy Act'' and published on July 16, 2020 (85
Fed. Reg. 43304), shall have the same force and effect of law as if
enacted by an Act of Congress.
SEC. 204. NON-MAJOR FEDERAL ACTIONS.
(a) Exemption.--An action by the Secretary concerned with respect
to a covered activity shall be not considered a major Federal action
under section 102(2)(C) of the National Environmental Policy Act of
1969 (42 U.S.C. 4332(2)(C)).
(b) Covered Activity.--In this section, the term ``covered
activity'' includes--
(1) geotechnical investigations;
(2) off-road travel in an existing right-of-way;
(3) construction of meteorological towers where the total
surface disturbance at the location is less than 5 acres;
(4) adding a battery or other energy storage device to an
existing or planned energy facility, if that storage resource
is located within the physical footprint of the existing or
planned energy facility;
(5) drilling temperature gradient wells and other
geothermal exploratory wells, including construction or making
improvements for such activities, where--
(A) the last cemented casing string is less than 12
inches in diameter; and
(B) the total unreclaimed surface disturbance at
any one time within the project area is less than 5
acres;
(6) any repair, maintenance, upgrade, optimization, or
minor addition to existing transmission and distribution
infrastructure, including--
(A) operation, maintenance, or repair of power
equipment and structures within existing substations,
switching stations, transmission, and distribution
lines;
(B) the addition, modification, retirement, or
replacement of breakers, transmission towers,
transformers, bushings, or relays;
(C) the voltage uprating, modification,
reconductoring with conventional or advanced
conductors, and clearance resolution of transmission
lines;
(D) activities to minimize fire risk, including
vegetation management, routine fire mitigation,
inspection, and maintenance activities, and removal of
hazard trees and other hazard vegetation within or
adjacent to an existing right-of-way;
(E) improvements to or construction of structure
pads for such infrastructure; and
(F) access and access route maintenance and repairs
associated with any activity described in subparagraph
(A) through (E);
(7) approval of and activities conducted in accordance with
operating plans or agreements for transmission and distribution
facilities or under a special use authorization for an electric
transmission and distribution facility right-of-way; and
(8) construction, maintenance, realignment, or repair of an
existing permanent or temporary access road--
(A) within an existing right-of-way or within a
transmission or utility corridor established by
Congress or in a land use plan;
(B) that serves an existing transmission line,
distribution line, or energy facility; or
(C) activities conducted in accordance with
existing onshore oil and gas leases.
SEC. 205. NO NET LOSS DETERMINATION FOR EXISTING RIGHTS-OF-WAY.
(a) In General.--Upon a determination by the Secretary concerned
that there will be no overall long-term net loss of vegetation, soil,
or habitat, as defined by acreage and function, resulting from a
proposed action, decision, or activity within an existing right-of-way,
within a right-of-way corridor established in a land use plan, or in an
otherwise designated right-of-way, that action, decision, or activity
shall not be considered a major Federal action under section 102(2)(C)
of the National Environmental Policy Act of 1969 (42 U.S.C.
4332(2)(C)).
(b) Inclusion of Remediation.--In making a determination under
subsection (a), the Secretary concerned shall consider the effect of
any remediation work to be conducted during the lifetime of the action,
decision, or activity when determining whether there will be any
overall long-term net loss of vegetation, soil, or habitat.
SEC. 206. DETERMINATION OF NATIONAL ENVIRONMENTAL POLICY ACT ADEQUACY.
The Secretary concerned shall use previously completed
environmental assessments and environmental impact statements to
satisfy the requirements of section 102 of the National Environmental
Policy Act of 1969 (42 U.S.C. 4332) with respect to any major Federal
action, if such Secretary determines that--
(1) the new proposed action is substantially the same as a
previously analyzed proposed action or alternative analyzed in
a previous environmental assessment or environmental impact
statement; and
(2) the effects of the proposed action are substantially
the same as the effects analyzed in such existing environmental
assessments or environmental impact statements.
SEC. 207. DETERMINATION REGARDING RIGHTS-OF-WAY.
Not later than 60 days after the Secretary concerned receives an
application to grant a right-of-way, the Secretary concerned shall
notify the applicant as to whether the application is complete or
deficient. If the Secretary concerned determines the application is
complete, the Secretary concerned may not consider any other
application to grant a right-of-way on the same or any overlapping
parcels of land while such application is pending.
SEC. 208. TERMS OF RIGHTS-OF-WAY.
(a) Fifty-Year Terms for Rights-of-Way.--
(1) In general.--Any right-of-way for pipelines for the
transportation or distribution of oil or gas granted, issued,
amended, or renewed under Federal law may be limited to a term
of not more than 50 years before such right-of-way is subject
to renewal or amendment.
(2) Federal land policy and management act of 1976.--
Section 501 of the Federal Land Policy and Management Act of
1976 (43 U.S.C. 1761) is amended by adding at the end the
following:
``(e) Any right-of-way granted, issued, amended, or renewed under
subsection (a)(4) may be limited to a term of not more than 50 years
before such right-of-way is subject to renewal or amendment.''.
(b) Mineral Leasing Act.--Section 28(n) of the Mineral Leasing Act
(30 U.S.C. 185(n)) is amended by striking ``thirty'' and inserting
``50''.
SEC. 209. FUNDING TO PROCESS PERMITS AND DEVELOP INFORMATION
TECHNOLOGY.
(a) In General.--In fiscal years 2023 through 2025, the Secretary
of Agriculture (acting through the Forest Service) and the Secretary of
the Interior, after public notice, may accept and expend funds
contributed by non-Federal entities for dedicated staff, information
resource management, and information technology system development to
expedite the evaluation of permits, biological opinions, concurrence
letters, environmental surveys and studies, processing of applications,
consultations, and other activities for the leasing, development, or
expansion of an energy facility under the jurisdiction of the
respective Secretaries.
(b) Effect on Permitting.--In carrying out this section, the
Secretary of the Interior shall ensure that the use of funds accepted
under subsection (a) will not impact impartial decision making with
respect to permits, either substantively or procedurally.
(c) Statement for Failure To Accept or Expend Funds.--Not later
than 60 days after the end of the applicable fiscal year, if the
Secretary of Agriculture (acting through the Forest Service) or the
Secretary of the Interior does not accept funds contributed under
subsection (a) or accepts but does not expend such funds, that
Secretary shall submit to the Committee on Natural Resources of the
House of Representatives and the Committee on Energy and Natural
Resources of the Senate a statement explaining why such funds were not
accepted, were not expended, or both, as the case may be.
SEC. 210. OFFSHORE GEOLOGICAL AND GEOPHYSICAL SURVEY LICENSING.
The Secretary of the Interior shall authorize geological and
geophysical surveys related to oil and gas activities on the Gulf of
Mexico Outer Continental Shelf, except within areas subject to existing
oil and gas leasing moratoria. Such authorizations shall be issued
within 30 days of receipt of a completed application and shall, as
applicable to survey type, comply with the mitigation and monitoring
measures in subsections (a), (b), (c), (d), (f), and (g) of section
217.184 of title 50, Code of Federal Regulations (as in effect on
January 1, 2022), and section 217.185 of title 50, Code of Federal
Regulations (as in effect on January 1, 2022). Geological and
geophysical surveys authorized pursuant to this section are deemed to
be in full compliance with the Marine Mammal Protection Act of 1972 (16
U.S.C. 1361 et seq.) and the Endangered Species Act of 1973 (16 U.S.C.
1531 et seq.), and their implementing regulations.
SEC. 211. DEFERRAL OF APPLICATIONS FOR PERMITS TO DRILL.
Section 17(p)(3) of the Mineral Leasing Act (30 U.S.C. 226(p)(3))
is amended by adding at the end the following:
``(D) Deferral based on formatting issues.--A
decision on an application for a permit to drill may
not be deferred under paragraph (2)(B) as a result of a
formatting issue with the permit, unless such
formatting issue results in missing information.''.
SEC. 212. PROCESSING AND TERMS OF APPLICATIONS FOR PERMITS TO DRILL.
(a) Effect of Pending Civil Actions.--Section 17(p) of the Mineral
Leasing Act (30 U.S.C. 226(p)) is amended by adding at the end the
following:
``(4) Effect of pending civil action on processing
applications for permits to drill.--Pursuant to the
requirements of paragraph (2), notwithstanding the existence of
any pending civil actions affecting the application or related
lease, the Secretary shall process an application for a permit
to drill or other authorizations or approvals under a valid
existing lease, unless a United States Federal court vacated
such lease. Nothing in this paragraph shall be construed as
providing authority to a Federal court to vacate a lease.''.
(b) Term of Permit To Drill.--Section 17 of the Mineral Leasing Act
(30 U.S.C. 226) is further amended by adding at the end the following:
``(u) Term of Permit To Drill.--A permit to drill issued under this
section after the date of the enactment of this subsection shall be
valid for one four-year term from the date that the permit is approved,
or until the lease regarding which the permit is issued expires,
whichever occurs first.''.
SEC. 213. AMENDMENTS TO THE ENERGY POLICY ACT OF 2005.
Section 390 of the Energy Policy Act of 2005 (42 U.S.C. 15942) is
amended to read as follows:
``SEC. 390. NATIONAL ENVIRONMENTAL POLICY ACT REVIEW.
``(a) National Environmental Policy Act Review.--Action by the
Secretary of the Interior, in managing the public lands, or the
Secretary of Agriculture, in managing National Forest System lands,
with respect to any of the activities described in subsection (c),
shall not be considered a major Federal action for the purposes of
section 102(2)(C) of the National Environmental Policy Act of 1969, if
the activity is conducted pursuant to the Mineral Leasing Act (30
U.S.C. 181 et seq.) for the purpose of exploration or development of
oil or gas.
``(b) Application.--This section shall not apply to an action of
the Secretary of the Interior or the Secretary of Agriculture on Indian
lands or resources managed in trust for the benefit of Indian Tribes.
``(c) Activities Described.--The activities referred to in
subsection (a) are as follows:
``(1) Reinstating a lease pursuant to section 31 of the
Mineral Leasing Act (30 U.S.C. 188).
``(2) The following activities, provided that any new
surface disturbance is contiguous with the footprint of the
original authorization and does not exceed 20 acres or the
acreage has previously been evaluated in a document previously
prepared under section 102(2)(C) of the National Environmental
Policy Act of 1969 (42 U.S.C. 4332(2)(C)) with respect to such
activity:
``(A) Drilling an oil or gas well at a well pad
site at which drilling has occurred previously.
``(B) Expansion of an existing oil or gas well pad
site to accommodate an additional well.
``(C) Expansion or modification of an existing oil
or gas well pad site, road, pipeline, facility, or
utility submitted in a sundry notice.
``(3) Drilling of an oil or gas well at a new well pad
site, provided that the new surface disturbance does not exceed
20 acres and the acreage evaluated in a document previously
prepared under section 102(2)(C) of the National Environmental
Policy Act of 1969 (42 U.S.C. 4332(2)(C)) with respect to such
activity, whichever is greater.
``(4) Construction or realignment of a road, pipeline, or
utility within an existing right-of-way or within a right-of-
way corridor established in a land use plan.
``(5) The following activities when conducted from non-
Federal surface into federally owned minerals, provided that
the operator submits to the Secretary concerned certification
of a surface use agreement with the non-Federal landowner:
``(A) Drilling an oil or gas well at a well pad
site at which drilling has occurred previously.
``(B) Expansion of an existing oil or gas well pad
site to accommodate an additional well.
``(C) Expansion or modification of an existing oil
or gas well pad site, road, pipeline, facility, or
utility submitted in a sundry notice.
``(6) Drilling of an oil or gas well from non-Federal
surface and non-Federal subsurface into Federal mineral estate.
``(7) Construction of up to 1 mile of new road on Federal
or non-Federal surface, not to exceed 2 miles in total.
``(8) Construction of up to 3 miles of individual pipelines
or utilities, regardless of surface ownership.''.
SEC. 214. ACCESS TO FEDERAL ENERGY RESOURCES FROM NON-FEDERAL SURFACE
ESTATE.
(a) Oil and Gas Permits.--Section 17 of the Mineral Leasing Act (30
U.S.C. 226) is further amended by adding at the end the following:
``(v) No Federal Permit Required for Oil and Gas Activities on
Certain Land.--
``(1) In general.--The Secretary shall not require an
operator to obtain a Federal drilling permit for oil and gas
exploration and production activities conducted on non-Federal
surface estate, provided that--
``(A) the United States holds an ownership interest
of less than 50 percent of the subsurface mineral
estate to be accessed by the proposed action; and
``(B) the operator submits to the Secretary a State
permit to conduct oil and gas exploration and
production activities on the non-Federal surface
estate.
``(2) No federal action.--An oil and gas exploration and
production activity carried out under paragraph (1)--
``(A) shall not be considered a major Federal
action for the purposes of section 102(2)(C) of the
National Environmental Policy Act of 1969;
``(B) shall require no additional Federal action;
``(C) may commence 30 days after submission of the
State permit to the Secretary; and
``(D) shall not be subject to--
``(i) section 306108 of title 54, United
States Code (commonly known as the National
Historic Preservation Act of 1966); and
``(ii) section 7 of the Endangered Species
Act of 1973 (16 U.S.C. 1536).
``(3) Royalties and production accountability.--(A) Nothing
in this subsection shall affect the amount of royalties due to
the United States under this Act from the production of oil and
gas, or alter the Secretary's authority to conduct audits and
collect civil penalties pursuant to the Federal Oil and Gas
Royalty Management Act of 1982 (30 U.S.C. 1701 et seq.).
``(B) The Secretary may conduct onsite reviews and
inspections to ensure proper accountability, measurement, and
reporting of production of Federal oil and gas, and payment of
royalties.
``(4) Exceptions.--This subsection shall not apply to
actions on Indian lands or resources managed in trust for the
benefit of Indian Tribes.
``(5) Indian land.--In this subsection, the term `Indian
land' means--
``(A) any land located within the boundaries of an
Indian reservation, pueblo, or rancheria; and
``(B) any land not located within the boundaries of
an Indian reservation, pueblo, or rancheria, the title
to which is held--
``(i) in trust by the United States for the
benefit of an Indian tribe or an individual
Indian;
``(ii) by an Indian tribe or an individual
Indian, subject to restriction against
alienation under laws of the United States; or
``(iii) by a dependent Indian community.''.
(b) Geothermal Permits.--The Geothermal Steam Act of 1970 (30
U.S.C. 1001 et seq.) is amended by adding at the end the following:
``SEC. 30. NO FEDERAL PERMIT REQUIRED FOR GEOTHERMAL ACTIVITIES ON
CERTAIN LAND.
``(a) In General.--The Secretary shall not require an operator to
obtain a Federal drilling permit for geothermal exploration and
production activities conducted on a non-Federal surface estate,
provided that--
``(1) the United States holds an ownership interest of less
than 50 percent of the subsurface geothermal estate to be
accessed by the proposed action; and
``(2) the operator submits to the Secretary a State permit
to conduct geothermal exploration and production activities on
the non-Federal surface estate.
``(b) No Federal Action.--A geothermal exploration and production
activity carried out under paragraph (1)--
``(1) shall not be considered a major Federal action for
the purposes of section 102(2)(C) of the National Environmental
Policy Act of 1969;
``(2) shall require no additional Federal action;
``(3) may commence 30 days after submission of the State
permit to the Secretary; and
``(4) shall not be subject to--
``(A) section 306108 of title 54, United States
Code (commonly known as the National Historic
Preservation Act of 1966); and
``(B) section 7 of the Endangered Species Act of
1973 (16 U.S.C. 1536).
``(c) Royalties and Production Accountability.--(1) Nothing in this
section shall affect the amount of royalties due to the United States
under this Act from the production of electricity using geothermal
resources (other than direct use of geothermal resources) or the
production of any byproducts.
``(2) The Secretary may conduct onsite reviews and inspections to
ensure proper accountability, measurement, and reporting of the
production described in paragraph (1), and payment of royalties.
``(d) Exceptions.--This section shall not apply to actions on
Indian lands or resources managed in trust for the benefit of Indian
Tribes.
``(e) Indian Land.--In this section, the term `Indian land' means--
``(1) any land located within the boundaries of an Indian
reservation, pueblo, or rancheria; and
``(2) any land not located within the boundaries of an
Indian reservation, pueblo, or rancheria, the title to which is
held--
``(A) in trust by the United States for the benefit
of an Indian tribe or an individual Indian;
``(B) by an Indian tribe or an individual Indian,
subject to restriction against alienation under laws of
the United States; or
``(C) by a dependent Indian community.''.
SEC. 215. SCOPE OF ENVIRONMENTAL REVIEWS FOR OIL AND GAS LEASES.
An environmental review for an oil and gas lease or permit prepared
pursuant to the requirements of the National Environmental Policy Act
of 1969 (42 U.S.C. 4321 et seq.) and its implementing regulations--
(1) shall apply only to areas that are within or
immediately adjacent to the lease plot or plots and that are
directly affected by the proposed action; and
(2) shall not require consideration of downstream, indirect
effects of oil and gas consumption.
SEC. 216. EXPEDITING APPROVAL OF GATHERING LINES.
Section 11318(b)(1) of the Infrastructure Investment and Jobs Act
(42 U.S.C. 15943(b)(1)) is amended by striking ``to be an action that
is categorically excluded (as defined in section 1508.1 of title 40,
Code of Federal Regulations (as in effect on the date of enactment of
this Act))'' and inserting ``to not be a major Federal action''.
SEC. 217. LEASE SALE LITIGATION.
Notwithstanding any other provision of law, any oil and gas lease
sale held under section 17 of the Mineral Leasing Act (26 U.S.C. 226)
or the Outer Continental Shelf Lands Act (43 U.S.C. 1331 et seq.) shall
not be vacated and activities on leases awarded in the sale shall not
be otherwise limited, delayed, or enjoined unless the court concludes
allowing development of the challenged lease will pose a risk of an
imminent and substantial environmental harm and there is no other
equitable remedy available as a matter of law. No court, in response to
an action brought pursuant to the National Environmental Policy Act of
1969 (42 U.S.C. et seq.), may enjoin or issue any order preventing the
award of leases to a bidder in a lease sale conducted pursuant to
section 17 of the Mineral Leasing Act (26 U.S.C. 226) or the Outer
Continental Shelf Lands Act (43 U.S.C. 1331 et seq.) if the Department
of the Interior has previously opened bids for such leases or disclosed
the high bidder for any tract that was included in such lease sale.
SEC. 218. LIMITATION ON CLAIMS.
(a) In General.--Notwithstanding any other provision of law, a
claim arising under Federal law seeking judicial review of a permit,
license, or approval issued by a Federal agency for a mineral project,
energy facility, or energy storage device shall be barred unless--
(1) the claim is filed within 120 days after publication of
a notice in the Federal Register announcing that the permit,
license, or approval is final pursuant to the law under which
the agency action is taken, unless a shorter time is specified
in the Federal law pursuant to which judicial review is
allowed; and
(2) the claim is filed by a party that submitted a comment
during the public comment period for such permit, license, or
approval and such comment was sufficiently detailed to put the
agency on notice of the issue upon which the party seeks
judicial review.
(b) Savings Clause.--Nothing in this section shall create a right
to judicial review or place any limit on filing a claim that a person
has violated the terms of a permit, license, or approval.
(c) Transportation Projects.--Subsection (a) shall not apply to or
supersede a claim subject to section 139(l)(1) of title 23, United
States Code.
(d) Mineral Project.--In this section, the term ``mineral project''
means a project--
(1) located on--
(A) a mining claim, millsite claim, or tunnel site
claim for any mineral;
(B) lands open to mineral entry; or
(C) a Federal mineral lease; and
(2) for the purposes of exploring for or producing
minerals.
SEC. 219. GOVERNMENT ACCOUNTABILITY OFFICE REPORT ON PERMITS TO DRILL.
(a) Report.--Not later than 1 year after the date of enactment of
this Act, the Comptroller General of the United States shall issue a
report detailing--
(1) the approval timelines for applications for permits to
drill issued by the Bureau of Land Management from 2018 through
2022;
(2) the number of applications for permits to drill that
were not issued within 30 days of receipt of a completed
application; and
(3) the causes of delays resulting in applications for
permits to drill pending beyond the 30 day deadline required
under section 17(p)(2) of the Mineral Leasing Act (30 U.S.C.
226(p)(2)).
(b) Recommendations.--The report issued under subsection (a) shall
include recommendations with respect to--
(1) actions the Bureau of Land Management can take to
streamline the approval process for applications for permits to
drill to approve applications for permits to drill within 30
days of receipt of a completed application;
(2) aspects of the Federal permitting process carried out
by the Bureau of Land Management to issue applications for
permits to drill that can be turned over to States to expedite
approval of applications for permits to drill; and
(3) legislative actions that Congress must take to allow
States to administer certain aspects of the Federal permitting
process described in paragraph (2).
TITLE III--PERMITTING FOR MINING NEEDS
SEC. 301. DEFINITIONS.
In this title:
(1) Byproduct.--The term ``byproduct'' has the meaning
given such term in section 7002(a) of the Energy Act of 2020
(30 U.S.C. 1606(a)).
(2) Indian tribe.--The term ``Indian Tribe'' has the
meaning given such term in section 4 of the Indian Self-
Determination and Education Assistance Act (25 U.S.C. 5304).
(3) Mineral.--The term ``mineral'' means any mineral of a
kind that is locatable (including, but not limited to, such
minerals located on ``lands acquired by the United States'', as
such term is defined in section 2 of the Mineral Leasing Act
for Acquired Lands) under the Act of May 10, 1872 (Chapter 152;
17 Stat. 91).
(4) Secretary.--Except as otherwise provided, the term
``Secretary'' means the Secretary of the Interior.
(5) State.--The term ``State'' means--
(A) a State;
(B) the District of Columbia;
(C) the Commonwealth of Puerto Rico;
(D) Guam;
(E) American Samoa;
(F) the Commonwealth of the Northern Mariana
Islands; and
(G) the United States Virgin Islands.
SEC. 302. MINERALS SUPPLY CHAIN AND RELIABILITY.
Section 40206 of the Infrastructure Investment and Jobs Act (30
U.S.C. 1607) is amended--
(1) in the section heading, by striking ``critical
minerals'' and inserting ``minerals'';
(2) by amending subsection (a) to read as follows:
``(a) Definitions.--In this section:
``(1) Lead agency.--The term `lead agency' means the
Federal agency with primary responsibility for issuing a
mineral exploration or mine permit or lease for a mineral
project.
``(2) Mineral.--The term `mineral' has the meaning given
such term in section 301 of the TAPP American Resources Act.
``(3) Mineral exploration or mine permit.--The term
`mineral exploration or mine permit' means--
``(A) an authorization of the Bureau of Land
Management or the Forest Service, as applicable, for
exploration for minerals that requires analysis under
the National Environmental Policy Act of 1969;
``(B) a plan of operations for a mineral project
approved by the Bureau of Land Management or the Forest
Service; or
``(C) any other Federal permit or authorization for
a mineral project.
``(4) Mineral project.--The term `mineral project' means a
project--
``(A) located on--
``(i) a mining claim, millsite claim, or
tunnel site claim for any mineral;
``(ii) lands open to mineral entry; or
``(iii) a Federal mineral lease; and
``(B) for the purposes of exploring for or
producing minerals.'';
(3) in subsection (b), by striking ``critical'' each place
such term appears;
(4) in subsection (c)--
(A) by striking ``critical mineral production on
Federal land'' and inserting ``mineral projects'';
(B) by inserting ``, and in accordance with
subsection (h)'' after ``to the maximum extent
practicable'';
(C) by striking ``shall complete the'' and
inserting ``shall complete such'';
(D) in paragraph (1), by striking ``critical
mineral-related activities on Federal land'' and
inserting ``mineral projects'';
(E) in paragraph (8), by striking the ``and'' at
the end;
(F) in paragraph (9), by striking ``procedures.''
and inserting ``procedures; and''; and
(G) by adding at the end the following:
``(10) deferring to and relying on baseline data, analyses,
and reviews performed by State agencies with jurisdiction over
the environmental or reclamation permits for the proposed
mineral project.'';
(5) in subsection (d)--
(A) by striking ``critical'' each place such term
appears; and
(B) in paragraph (3), by striking ``mineral-related
activities on Federal land'' and inserting ``mineral
projects'';
(6) in subsection (e), by striking ``critical'';
(7) in subsection (f), by striking ``critical'' each place
such term appears;
(8) in subsection (g), by striking ``critical'' each place
such term appears; and
(9) by adding at the end the following:
``(h) Other Requirements.--
``(1) Memorandum of agreement.--For purposes of maximizing
efficiency and effectiveness of the Federal permitting and
review processes described under subsection (c), the lead
agency in the Federal permitting and review processes of a
mineral project shall (in consultation with any other Federal
agency involved in such Federal permitting and review
processes, and upon request of the project applicant, an
affected State government, local government, or an Indian
Tribe, or other entity such lead agency determines appropriate)
enter into a memorandum of agreement with a project applicant
where requested by applicant to carry out the activities
described in subsection (c).
``(2) Timelines and schedules for nepa reviews.--
``(A) Extension.--A project applicant may enter
into 1 or more agreements with a lead agency to extend
the deadlines described in subparagraphs (A) and (B) of
subsection (h)(1) of section 107 of title I of the
National Environmental Policy Act of 1969 by, with
respect to each such agreement, not more than 6 months.
``(B) Adjustment of timelines.--At the request of a
project applicant, the lead agency and any other entity
which is a signatory to a memorandum of agreement under
paragraph (1) may, by unanimous agreement, adjust--
``(i) any deadlines described in
subparagraph (A); and
``(ii) any deadlines extended under
subparagraph (B).
``(3) Effect on pending applications.--Upon a written
request by a project applicant, the requirements of this
subsection shall apply to any application for a mineral
exploration or mine permit or mineral lease that was submitted
before the date of the enactment of the TAPP American Resources
Act.''.
SEC. 303. FEDERAL REGISTER PROCESS IMPROVEMENT.
Section 7002(f) of the Energy Act of 2020 (30 U.S.C. 1606(f)) is
amended--
(1) in paragraph (2), by striking ``critical'' both places
such term appears; and
(2) by striking paragraph (4).
SEC. 304. DESIGNATION OF MINING AS A COVERED SECTOR FOR FEDERAL
PERMITTING IMPROVEMENT PURPOSES.
Section 41001(6)(A) of the FAST Act (42 U.S.C. 4370m(6)(A)) is
amended by inserting ``mineral production,'' before ``or any other
sector''.
SEC. 305. TREATMENT OF ACTIONS UNDER PRESIDENTIAL DETERMINATION 2022-11
FOR FEDERAL PERMITTING IMPROVEMENT PURPOSES.
(a) In General.--Except as provided by subsection (c), an action
described in subsection (b) shall be--
(1) treated as a covered project, as defined in section
41001(6) of the FAST Act (42 U.S.C. 4370m(6)), without regard
to the requirements of that section; and
(2) included in the Permitting Dashboard maintained
pursuant to section 41003(b) of that Act (42 13 U.S.C. 4370m-
2(b)).
(b) Actions Described.--An action described in this subsection is
an action taken by the Secretary of Defense pursuant to Presidential
Determination 2022-11 (87 Fed. Reg. 19775; relating to certain actions
under section 303 of the Defense Production Act of 1950) to create,
maintain, protect, expand, or restore sustainable and responsible
domestic production capabilities through--
(1) supporting feasibility studies for mature mining,
beneficiation, and value-added processing projects;
(2) byproduct and co-product production at existing mining,
mine waste reclamation, and other industrial facilities;
(3) modernization of mining, beneficiation, and value-added
processing to increase productivity, environmental
sustainability, and workforce safety; or
(4) any other activity authorized under section 303(a)(1)
of the Defense Production Act of 1950 15 (50 U.S.C.
4533(a)(1)).
(c) Exception.--An action described in subsection (b) may not be
treated as a covered project or be included in the Permitting Dashboard
under subsection (a) if the project sponsor (as defined in section
41001(18) of the FAST Act (42 U.S.C. 21 4370m(18))) requests that the
action not be treated as a covered project.
SEC. 306. NOTICE FOR MINERAL EXPLORATION ACTIVITIES WITH LIMITED
SURFACE DISTURBANCE.
(a) In General.--Not later than 15 days before commencing an
exploration activity with a surface disturbance of not more than 5
acres of public lands, the operator of such exploration activity shall
submit to the Secretary concerned a complete notice of such exploration
activity.
(b) Inclusions.--Notice submitted under subsection (a) shall
include such information the Secretary concerned may require, including
the information described in section 3809.301 of title 43, Code of
Federal Regulations (or any successor regulation).
(c) Review.--Not later than 15 days after the Secretary concerned
receives notice submitted under subsection (a), the Secretary concerned
shall--
(1) review and determine completeness of the notice; and
(2) allow exploration activities to proceed if--
(A) the surface disturbance of such exploration
activities on such public lands will not exceed 5
acres;
(B) the Secretary concerned determines that the
notice is complete; and
(C) the operator provides financial assurance that
the Secretary concerned determines is adequate.
(d) Definitions.--In this section:
(1) Exploration activity.--The term ``exploration
activity''--
(A) means creating surface disturbance greater than
casual use that includes sampling, drilling, or
developing surface or underground workings to evaluate
the type, extent, quantity, or quality of mineral
values present;
(B) includes constructing drill roads and drill
pads, drilling, trenching, excavating test pits, and
conducting geotechnical tests and geophysical surveys;
and
(C) does not include activities where material is
extracted for commercial use or sale.
(2) Secretary concerned.--The term ``Secretary concerned''
means--
(A) with respect to lands administered by the
Secretary of the Interior, the Secretary of the
Interior; and
(B) with respect to National Forest System lands,
the Secretary of Agriculture.
SEC. 307. USE OF MINING CLAIMS FOR ANCILLARY ACTIVITIES.
Section 10101 of the Omnibus Budget Reconciliation Act of 1993 (30
U.S.C. 28f) is amended by adding at the end the following:
``(e) Security of Tenure.--
``(1) In general.--
``(A) In general.--A claimant shall have the right
to use, occupy, and conduct operations on public land,
with or without the discovery of a valuable mineral
deposit, if--
``(i) such claimant makes a timely payment
of the location fee required by section 10102
and the claim maintenance fee required by
subsection (a); or
``(ii) in the case of a claimant who
qualifies for a waiver under subsection (d),
such claimant makes a timely payment of the
location fee and complies with the required
assessment work under the general mining laws.
``(B) Operations defined.--For the purposes of this
paragraph, the term `operations' means--
``(i) any activity or work carried out in
connection with prospecting, exploration,
processing, discovery and assessment,
development, or extraction with respect to a
locatable mineral;
``(ii) the reclamation of any disturbed
areas; and
``(iii) any other reasonably incident uses,
whether on a mining claim or not, including the
construction and maintenance of facilities,
roads, transmission lines, pipelines, and any
other necessary infrastructure or means of
access on public land for support facilities.
``(2) Fulfillment of federal land policy and management
act.--A claimant that fulfills the requirements of this section
and section 10102 shall be deemed to satisfy the requirements
of any provision of the Federal Land Policy and Management Act
that requires the payment of fair market value to the United
States for use of public lands and resources relating to use of
such lands and resources authorized by the general mining laws.
``(3) Savings clause.--Nothing in this subsection may be
construed to diminish the rights of entry, use, and occupancy,
or any other right, of a claimant under the general mining
laws.''.
SEC. 308. ENSURING CONSIDERATION OF URANIUM AS A CRITICAL MINERAL.
(a) In General.--Section 7002(a)(3)(B)(i) of the Energy Act of 2020
(30 U.S.C. 1606(a)(3)(B)(i)) is amended to read as follows:
``(i) oil, oil shale, coal, or natural
gas;''.
(b) Update.--Not later than 60 days after the date of the enactment
of this section, the Secretary, acting through the Director of the
United States Geological Survey, shall publish in the Federal Register
an update to the final list established in section 7002(c)(3) of the
Energy Act of 2020 (30 U.S.C. 1606(c)(3)) in accordance with subsection
(a) of this section.
TITLE IV--FEDERAL LAND USE PLANNING
SEC. 401. FEDERAL LAND USE PLANNING AND WITHDRAWALS.
(a) Resource Assessments Required.--Federal lands and waters may
not be withdrawn from entry under the mining laws or operation of the
mineral leasing and mineral materials laws unless--
(1) a quantitative and qualitative geophysical and
geological mineral resource assessment of the impacted area has
been completed during the 10-year period ending on the date of
such withdrawal;
(2) the Secretary, in consultation with the Secretary of
Commerce, the Secretary of Energy, and the Secretary of
Defense, conducts an assessment of the economic, energy,
strategic, and national security value of mineral deposits
identified in such mineral resource assessment;
(3) the Secretary conducts an assessment of the reduction
in future Federal revenues to the Treasury, States, the Land
and Water Conservation Fund, and the Historic Preservation Fund
resulting from the proposed mineral withdrawal;
(4) the Secretary, in consultation with the Secretary of
Defense, conducts an assessment of military readiness and
training activities in the proposed withdrawal area; and
(5) the Secretary submits a report to the Committees on
Natural Resources, Agriculture, Energy and Commerce, and
Foreign Affairs of the House of Representatives and the
Committees on Energy and Natural Resources, Agriculture, and
Foreign Affairs of the Senate, that includes the results of the
assessments completed pursuant to this subsection.
(b) Land Use Plans.--Before a resource management plan under the
Federal Land Policy and Management Act of 1976 (43 U.S.C. 1701 et seq.)
or a forest management plan under the National Forest Management Act is
updated or completed, the Secretary or Secretary of Agriculture, as
applicable, in consultation with the Director of the United States
Geological Survey, shall--
(1) review any quantitative and qualitative mineral
resource assessment that was completed or updated during the
10-year period ending on the date that the applicable land
management agency publishes a notice to prepare, revise, or
amend a land use plan by the Director of the United States
Geological Survey for the geographic area affected by the
applicable management plan;
(2) the Secretary, in consultation with the Secretary of
Commerce, the Secretary of Energy, and the Secretary of
Defense, conducts an assessment of the economic, energy,
strategic, and national security value of mineral deposits
identified in such mineral resource assessment; and
(3) submit a report to the Committees on Natural Resources,
Agriculture, Energy and Commerce, and Foreign Affairs of the
House of Representatives and the Committees on Energy and
Natural Resources, Agriculture, and Foreign Affairs of the
Senate, that includes the results of the assessment completed
pursuant to this subsection.
(c) New Information.--The Secretary shall provide recommendations
to the President on appropriate measures to reduce unnecessary impacts
that a withdrawal of Federal lands or waters from entry under the
mining laws or operation of the mineral leasing and mineral materials
laws may have on mineral exploration, development, and other mineral
activities (including authorizing exploration and development of such
mineral deposits) not later than 180 days after the Secretary has
notice that a resource assessment completed by the Director of the
United States Geological Survey, in coordination with the State
geological surveys, determines that a previously undiscovered mineral
deposit may be present in an area that has been withdrawn from entry
under the mining laws or operation of the mineral leasing and mineral
materials laws pursuant to--
(1) section 204 of the Federal Land Policy and Management
Act of 1976 (43 U.S.C. 1714), or
(2) chapter 3203 of title 54, United States Code.
SEC. 402. PROHIBITIONS ON DELAY OF MINERAL DEVELOPMENT OF CERTAIN
FEDERAL LAND.
(a) Prohibitions.--Notwithstanding any other provision of law, the
President shall not carry out any action that would pause, restrict, or
delay the process for or issuance of any of the following on Federal
land, unless such lands are withdrawn from disposition under the
mineral leasing laws, including by administrative withdrawal:
(1) New oil and gas lease sales, oil and gas leases, drill
permits, or associated approvals or authorizations of any kind
associated with oil and gas leases.
(2) New coal leases (including leases by application in
process, renewals, modifications, or expansions of existing
leases), permits, approvals, or authorizations.
(3) New leases, claims, permits, approvals, or
authorizations for development or exploration of minerals.
(b) Prohibition on Rescission of Leases, Permits, or Claims.--The
President, the Secretary, or Secretary of Agriculture as applicable,
may not rescind any existing lease, permit, or claim for the extraction
and production of any mineral under the mining laws or mineral leasing
and mineral materials laws on National Forest System land or land under
the jurisdiction of the Bureau of Land Management, unless specifically
authorized by Federal statute, or upon the lessee, permittee, or
claimant's failure to comply with any of the provisions of the
applicable lease, permit, or claim.
(c) Mineral Defined.--In subsection (a)(3), the term ``mineral''
means any mineral of a kind that is locatable (including such minerals
located on ``lands acquired by the United States'', as such term is
defined in section 2 of the Mineral Leasing Act for Acquired Lands)
under the Act of May 10, 1872 (Chapter 152; 17 Stat. 91).
SEC. 403. DEFINITIONS.
In this title:
(1) Federal land.--The term ``Federal land'' means--
(A) National Forest System land;
(B) public lands (as defined in section 103 of the
Federal Land Policy and Management Act of 1976 (43
U.S.C. 1702));
(C) the outer Continental Shelf (as defined in
section 2 of the Outer Continental Shelf Lands Act (43
U.S.C. 1331)); and
(D) land managed by the Secretary of Energy.
(2) President.--The term ``President'' means--
(A) the President; and
(B) any designee of the President, including--
(i) the Secretary of Agriculture;
(ii) the Secretary of Commerce;
(iii) the Secretary of Energy; and
(iv) the Secretary of the Interior.
(3) Previously undiscovered deposit.--The term ``previously
undiscovered mineral deposit'' means--
(A) a mineral deposit that has been previously
evaluated by the United States Geological Survey and
found to be of low mineral potential, but upon
subsequent evaluation is determined by the United
States Geological Survey to have significant mineral
potential, or
(B) a mineral deposit that has not previously been
evaluated by the United States Geological Survey.
(4) Secretary.--The term ``Secretary'' means the Secretary
of the Interior.
TITLE V--ENSURING COMPETITIVENESS ON FEDERAL LANDS
SEC. 501. INCENTIVIZING DOMESTIC PRODUCTION.
(a) Offshore Oil and Gas Royalty Rate.--Section 8(a)(1) of the
Outer Continental Shelf Lands Act (43 U.S.C. 1337(a)(1)) is amended--
(1) in subparagraph (A), by striking ``not less than 16\2/
3\ percent, but not more than 18\3/4\ percent, during the 10-
year period beginning on the date of enactment of the Act
titled `An Act to provide for reconciliation pursuant to title
II of S. Con. Res. 14', and not less than 16\2/3\ percent
thereafter,'' each place it appears and inserting ``not less
than 12.5 percent'';
(2) in subparagraph (C), by striking ``not less than 16\2/
3\ percent, but not more than 18\3/4\ percent, during the 10-
year period beginning on the date of enactment of the Act
titled `An Act to provide for reconciliation pursuant to title
II of S. Con. Res. 14', and not less than 16\2/3\ percent
thereafter,'' each place it appears and inserting ``not less
than 12.5 percent'';
(3) in subparagraph (F), by striking ``not less than 16\2/
3\ percent, but not more than 18\3/4\ percent, during the 10-
year period beginning on the date of enactment of the Act
titled `An Act to provide for reconciliation pursuant to title
II of S. Con. Res. 14', and not less than 16\2/3\ percent
thereafter,'' and inserting ``not less than 12.5 percent''; and
(4) in subparagraph (H), by striking ``not less than 16\2/
3\ percent, but not more than 18\3/4\ percent, during the 10-
year period beginning on the date of enactment of the Act
titled `An Act to provide for reconciliation pursuant to title
II of S. Con. Res. 14', and not less than 16\2/3\ percent
thereafter,'' and inserting ``not less than 12.5 percent''.
(b) Mineral Leasing Act.--
(1) Onshore oil and gas royalty rates.--
(A) Lease of oil and gas land.--Section 17 of the
Mineral Leasing Act (30 U.S.C. 226) is amended--
(i) in subsection (b)(1)(A)--
(I) by striking ``not less than
16\2/3\'' and inserting ``not less than
12.5''; and
(II) by striking ``or, in the case
of a lease issued during the 10-year
period beginning on the date of
enactment of the Act titled `An Act to
provide for reconciliation pursuant to
title II of S. Con. Res. 14', 16\2/3\
percent in amount or value of the
production removed or sold from the
lease''; and
(ii) by striking ``16\2/3\ percent'' each
place it appears and inserting ``12.5
percent''.
(B) Conditions for reinstatement.--Section 31(e)(3)
of the Mineral Leasing Act (30 U.S.C. 188(e)(3)) is
amended by striking ``20'' inserting ``16\2/3\''.
(2) Oil and gas minimum bid.--Section 17(b) of the Mineral
Leasing Act (30 U.S.C. 226(b)) is amended--
(A) in paragraph (1)(B), by striking ``$10 per acre
during the 10-year period beginning on the date of
enactment of the Act titled `An Act to provide for
reconciliation pursuant to title II of S. Con. Res.
14'.'' and inserting ``$2 per acre for a period of 2
years from the date of the enactment of the Federal
Onshore Oil and Gas Leasing Reform Act of 1987.''; and
(B) in paragraph (2)(C), by striking ``$10 per
acre'' and inserting ``$2 per acre''.
(3) Fossil fuel rental rates.--Section 17(d) of the Mineral
Leasing Act (30 U.S.C. 226(d)) is amended to read as follows:
``(d) All leases issued under this section, as amended by the
Federal Onshore Oil and Gas Leasing Reform Act of 1987, shall be
conditioned upon payment by the lessee of a rental of not less than
$1.50 per acre per year for the first through fifth years of the lease
and not less than $2 per acre per year for each year thereafter. A
minimum royalty in lieu of rental of not less than the rental which
otherwise would be required for that lease year shall be payable at the
expiration of each lease year beginning on or after a discovery of oil
or gas in paying quantities on the lands leased.''.
(4) Expression of interest fee.--Section 17 of the Mineral
Leasing Act (30 U.S.C. 226) is further amended by repealing
subsection (q).
(5) Elimination of noncompetitive leasing.--Section 17 of
the Mineral Leasing Act (30 U.S.C. 226) is further amended--
(A) in subsection (b)--
(i) in paragraph (1)(A)--
(I) in the first sentence, by
striking ``paragraph (2)'' and
inserting ``paragraphs (2) and (3)'';
and
(II) by adding at the end ``Lands
for which no bids are received or for
which the highest bid is less than the
national minimum acceptable bid shall
be offered promptly within 30 days for
leasing under subsection (c) of this
section and shall remain available for
leasing for a period of 2 years after
the competitive lease sale.''; and
(ii) by adding at the end the following:
``(3)(A) If the United States held a vested future interest
in a mineral estate that, immediately prior to becoming a
vested present interest, was subject to a lease under which oil
or gas was being produced, or had a well capable of producing,
in paying quantities at an annual average production volume per
well per day of either not more than 15 barrels per day of oil
or condensate, or not more than 60,000 cubic feet of gas, the
holder of the lease may elect to continue the lease as a
noncompetitive lease under subsection (c)(1).
``(B) An election under this paragraph is effective--
``(i) in the case of an interest which vested after
January 1, 1990, and on or before October 24, 1992, if
the election is made before the date that is 1 year
after October 24, 1992;
``(ii) in the case of an interest which vests
within 1 year after October 24, 1992, if the election
is made before the date that is 2 years after October
24, 1992; and
``(iii) in any case other than those described in
clause (i) or (ii), if the election is made prior to
the interest becoming a vested present interest.'';
(B) by striking subsection (c) and inserting the
following:
``(c) Lands Subject to Leasing Under Subsection (b); First
Qualified Applicant.--
``(1) If the lands to be leased are not leased under
subsection (b)(1) of this section or are not subject to
competitive leasing under subsection (b)(2) of this section,
the person first making application for the lease who is
qualified to hold a lease under this chapter shall be entitled
to a lease of such lands without competitive bidding, upon
payment of a non-refundable application fee of at least $75. A
lease under this subsection shall be conditioned upon the
payment of a royalty at a rate of 12.5 percent in amount or
value of the production removed or sold from the lease. Leases
shall be issued within 60 days of the date on which the
Secretary identifies the first responsible qualified applicant.
``(2)(A) Lands (i) which were posted for sale under
subsection (b)(1) of this section but for which no bids were
received or for which the highest bid was less than the
national minimum acceptable bid and (ii) for which, at the end
of the period referred to in subsection (b)(1) of this section
no lease has been issued and no lease application is pending
under paragraph (1) of this subsection, shall again be
available for leasing only in accordance with subsection (b)(1)
of this section.
``(B) The land in any lease which is issued under paragraph
(1) of this subsection or under subsection (b)(1) of this
section which lease terminates, expires, is cancelled or is
relinquished shall again be available for leasing only in
accordance with subsection (b)(1) of this section.''; and
(C) by striking subsection (e) and inserting the
following:
``(e) Primary Term.--Competitive and noncompetitive leases issued
under this section shall be for a primary term of 10 years: Provided,
however, That competitive leases issued in special tar sand areas shall
also be for a primary term of ten years. Each such lease shall continue
so long after its primary term as oil or gas is produced in paying
quantities. Any lease issued under this section for land on which, or
for which under an approved cooperative or unit plan of development or
operation, actual drilling operations were commenced prior to the end
of its primary term and are being diligently prosecuted at that time
shall be extended for two years and so long thereafter as oil or gas is
produced in paying quantities.''.
(6) Conforming amendments.--Section 31 of the Mineral
Leasing Act (30 U.S.C. 188) is amended--
(A) in subsection (d)(1), by striking ``section
17(b)'' and inserting ``subsection (b) or (c) of
section 17 of this Act'';
(B) in subsection (e)--
(i) in paragraph (2)--
(I) insert ``either'' after
``rentals and''; and
(II) insert ``or the inclusion in a
reinstated lease issued pursuant to the
provisions of section 17(c) of this Act
of a requirement that future rentals
shall be at a rate not less than $5 per
acre per year, all'' before ``as
determined by the Secretary''; and
(ii) by amending paragraph (3) to read as
follows:
``(3)(A) payment of back royalties and the inclusion in a
reinstated lease issued pursuant to the provisions of section
17(b) of this Act of a requirement for future royalties at a
rate of not less than 16\2/3\ percent computed on a sliding
scale based upon the average production per well per day, at a
rate which shall be not less than 4 percentage points greater
than the competitive royality schedule then in force and used
for royalty determination for competitive leases issued
pursuant to such section as determined by the Secretary:
Provided, That royalty on such reinstated lease shall be paid
on all production removed or sold from such lease subsequent to
the termination of the original lease;
``(B) payment of back royalties and inclusion in a
reinstated lease issued pursuant to the provisions of section
17(c) of this Act of a requirement for future royalties at a
rate not less than 16\2/3\ percent: Provided, That royalty on
such reinstated lease shall be paid on all production removed
or sold from such lease subsequent to the cancellation or
termination of the original lease; and'';
(C) in subsection (f)--
(i) in paragraph (1), strike ``in the same
manner as the original lease issued pursuant to
section 17'' and insert ``as a competitive or a
noncompetitive oil and gas lease in the same
manner as the original lease issued pursuant to
subsection (b) or (c) of section 17 of this
Act'';
(ii) by redesignating paragraphs (2) and
(3) as paragraphs (3) and (4), respectively;
and
(iii) by inserting after paragraph (1) the
following:
``(2) Except as otherwise provided in this section, the
issuance of a lease in lieu of an abandoned patented oil placer
mining claim shall be treated as a noncompetitive oil and gas
lease issued pursuant to section 17(c) of this Act.'';
(D) in subsection (g), by striking ``subsection
(d)'' and inserting ``subsections (d) and (f)'';
(E) by amending subsection (h) to read as follows:
``(h) Royalty Reductions.--
``(1) In acting on a petition to issue a noncompetitive oil
and gas lease, under subsection (f) of this section or in
response to a request filed after issuance of such a lease, or
both, the Secretary is authorized to reduce the royalty on such
lease if in his judgment it is equitable to do so or the
circumstances warrant such relief due to uneconomic or other
circumstances which could cause undue hardship or premature
termination of production.
``(2) In acting on a petition for reinstatement pursuant to
subsection (d) of this section or in response to a request
filed after reinstatement, or both, the Secretary is authorized
to reduce the royalty in that reinstated lease on the entire
leasehold or any tract or portion thereof segregated for
royalty purposes if, in his judgment, there are uneconomic or
other circumstances which could cause undue hardship or
premature termination of production; or because of any written
action of the United States, its agents or employees, which
preceded, and was a major consideration in, the lessee's
expenditure of funds to develop the property under the lease
after the rent had become due and had not been paid; or if in
the judgment of the Secretary it is equitable to do so for any
reason.'';
(F) by redesignating subsections (f) through (i) as
subsections (g) through (j), respectively; and
(G) by inserting after subsection (e) the
following:
``(f) Issuance of Noncompetitive Oil and Gas Lease; Conditions.--
Where an unpatented oil placer mining claim validly located prior to
February 24, 1920, which has been or is currently producing or is
capable of producing oil or gas, has been or is hereafter deemed
conclusively abandoned for failure to file timely the required
instruments or copies of instruments required by section 1744 of title
43, and it is shown to the satisfaction of the Secretary that such
failure was inadvertent, justifiable, or not due to lack of reasonable
diligence on the part of the owner, the Secretary may issue, for the
lands covered by the abandoned unpatented oil placer mining claim, a
noncompetitive oil and gas lease, consistent with the provisions of
section 17(e) of this Act, to be effective from the statutory date the
claim was deemed conclusively abandoned. Issuance of such a lease shall
be conditioned upon--
``(1) a petition for issuance of a noncompetitive oil and
gas lease, together with the required rental and royalty,
including back rental and royalty accruing from the statutory
date of abandonment of the oil placer mining claim, being filed
with the Secretary- (A) with respect to any claim deemed
conclusively abandoned on or before January 12, 1983, on or
before the one hundred and twentieth day after January 12,
1983, or (B) with respect to any claim deemed conclusively
abandoned after January 12, 1983, on or before the one hundred
and twentieth day after final notification by the Secretary or
a court of competent jurisdiction of the determination of the
abandonment of the oil placer mining claim;
``(2) a valid lease not having been issued affecting any of
the lands covered by the abandoned oil placer mining claim
prior to the filing of such petition: Provided, however, That
after the filing of a petition for issuance of a lease under
this subsection, the Secretary shall not issue any new lease
affecting any of the lands covered by such abandoned oil placer
mining claim for a reasonable period, as determined in
accordance with regulations issued by him;
``(3) a requirement in the lease for payment of rental,
including back rentals accruing from the statutory date of
abandonment of the oil placer mining claim, of not less than $5
per acre per year;
``(4) a requirement in the lease for payment of royalty on
production removed or sold from the oil placer mining claim,
including all royalty on production made subsequent to the
statutory date the claim was deemed conclusively abandoned, of
not less than 12\1/2\ percent; and
``(5) compliance with the notice and reimbursement of costs
provisions of paragraph (4) of subsection (e) but addressed to
the petition covering the conversion of an abandoned unpatented
oil placer mining claim to a noncompetitive oil and gas
lease.''.
TITLE VI--ENERGY REVENUE SHARING
SEC. 601. GULF OF MEXICO OUTER CONTINENTAL SHELF REVENUE.
(a) Distribution of Outer Continental Shelf Revenue to Gulf
Producing States.--Section 105 of the Gulf of Mexico Energy Security
Act of 2006 (43 U.S.C. 1331 note) is amended--
(1) in subsection (a)--
(A) in paragraph (1), by striking ``50'' and
inserting ``37.5''; and
(B) in paragraph (2)--
(i) by striking ``50'' and inserting
``62.5'';
(ii) in subparagraph (A), by striking
``75'' and inserting ``80''; and
(iii) in subparagraph (B), by striking
``25'' and inserting ``20''; and
(2) by striking subsection (f).
(b) Exemption of Certain Payments From Sequestration.--
(1) In general.--Section 255(g)(1)(A) of the Balanced
Budget and Emergency Deficit Control Act of 1985 (2 U.S.C.
905(g)(1)(A)) is amended by inserting after ``Payments to
Social Security Trust Funds (28-0404-0-1-651).'' the following:
``Payments to States pursuant to section 105(a)(2)(A) of
the Gulf of Mexico Energy Security Act of 2006 (Public Law 109-
432; 43 U.S.C. 1331 note) (014-5535-0-2-302).''.
(2) Applicability.--The amendment made by this subsection
shall apply to any sequestration order issued under the
Balanced Budget and Emergency Deficit Control Act of 1985 (2
U.S.C. 900 et seq.) on or after the date of enactment of this
Act.
SEC. 602. PARITY IN OFFSHORE WIND REVENUE SHARING.
(a) Payments and Revenues.--Section 8(p)(2) of the Outer
Continental Shelf Lands Act (43 U.S.C. 1337(p)(2)) is amended--
(1) in subparagraph (A), by striking ``(A) The Secretary''
and inserting the following:
``(A) In general.--Subject to subparagraphs (B) and
(C), the Secretary'';
(2) in subparagraph (B), by striking ``(B) The Secretary''
and inserting the following:
``(B) Disposition of revenues for projects located
within 3 nautical miles seaward of state submerged
land.--The Secretary''; and
(3) by adding at the end the following:
``(C) Disposition of revenues for offshore wind
projects in certain areas.--
``(i) Definitions.--In this subparagraph:
``(I) Covered offshore wind
project.--The term `covered offshore
wind project' means a wind powered
electric generation project in a wind
energy area on the outer Continental
Shelf that is not wholly or partially
located within an area subject to
subparagraph (B).
``(II) Eligible state.--The term
`eligible State' means a State a point
on the coastline of which is located
within 75 miles of the geographic
center of a covered offshore wind
project.
``(III) Qualified outer continental
shelf revenues.--The term `qualified
outer Continental Shelf revenues' means
all royalties, fees, rentals, bonuses,
or other payments from covered offshore
wind projects carried out pursuant to
this subsection on or after the date of
enactment of this subparagraph.
``(ii) Requirement.--
``(I) In general.--The Secretary of
the Treasury shall deposit--
``(aa) 12.5 percent of
qualified outer Continental
Shelf revenues in the general
fund of the Treasury;
``(bb) 37.5 percent of
qualified outer Continental
Shelf revenues in the North
American Wetlands Conservation
Fund; and
``(cc) 50 percent of
qualified outer Continental
Shelf revenues in a special
account in the Treasury from
which the Secretary shall
disburse to each eligible State
an amount determined pursuant
to subclause (II).
``(II) Allocation.--
``(aa) In general.--Subject
to item (bb), for each fiscal
year beginning after the date
of enactment of this
subparagraph, the amount made
available under subclause
(I)(cc) shall be allocated to
each eligible State in amounts
(based on a formula established
by the Secretary by regulation)
that are inversely proportional
to the respective distances
between the point on the
coastline of each eligible
State that is closest to the
geographic center of the
applicable leased tract and the
geographic center of the leased
tract.
``(bb) Minimum
allocation.--The amount
allocated to an eligible State
each fiscal year under item
(aa) shall be at least 10
percent of the amounts made
available under subclause
(I)(cc).
``(cc) Payments to coastal
political subdivisions.--
``(AA) In
general.--The Secretary
shall pay 20 percent of
the allocable share of
each eligible State, as
determined pursuant to
item (aa), to the
coastal political
subdivisions of the
eligible State.
``(BB)
Allocation.--The amount
paid by the Secretary
to coastal political
subdivisions under
subitem (AA) shall be
allocated to each
coastal political
subdivision in
accordance with
subparagraphs (B) and
(C) of section 31(b)(4)
of this Act.
``(iii) Timing.--The amounts required to be
deposited under subclause (I) of clause (ii)
for the applicable fiscal year shall be made
available in accordance with such subclause
during the fiscal year immediately following
the applicable fiscal year.
``(iv) Authorized uses.--
``(I) In general.--Subject to
subclause (II), each eligible State
shall use all amounts received under
clause (ii)(II) in accordance with all
applicable Federal and State laws, only
for 1 or more of the following
purposes:
``(aa) Projects and
activities for the purposes of
coastal protection and
resiliency, including
conservation, coastal
restoration, estuary
management, beach nourishment,
hurricane and flood protection,
and infrastructure directly
affected by coastal wetland
losses.
``(bb) Mitigation of damage
to fish, wildlife, or natural
resources, including through
fisheries science and research.
``(cc) Implementation of a
federally approved marine,
coastal, or comprehensive
conservation management plan.
``(dd) Mitigation of the
impact of outer Continental
Shelf activities through the
funding of onshore
infrastructure projects.
``(ee) Planning assistance
and the administrative costs of
complying with this section.
``(II) Limitation.--Of the amounts
received by an eligible State under
clause (ii)(II), not more than 3
percent shall be used for the purposes
described in subclause (I)(ee).
``(v) Administration.--Subject to clause
(vi)(III), amounts made available under items
(aa) and (cc) of clause (ii)(I) shall--
``(I) be made available, without
further appropriation, in accordance
with this subparagraph;
``(II) remain available until
expended; and
``(III) be in addition to any
amount appropriated under any other
Act.
``(vi) Reporting requirement.--
``(I) In general.--Not later than
180 days after the end of each fiscal
year, the Governor of each eligible
State that receives amounts under
clause (ii)(II) for the applicable
fiscal year shall submit to the
Secretary a report that describes the
use of the amounts by the eligible
State during the period covered by the
report.
``(II) Public availability.--On
receipt of a report submitted under
subclause (I), the Secretary shall make
the report available to the public on
the website of the Department of the
Interior.
``(III) Limitation.--If the
Governor of an eligible State that
receives amounts under clause (ii)(II)
fails to submit the report required
under subclause (I) by the deadline
specified in that subclause, any
amounts that would otherwise be
provided to the eligible State under
clause (ii)(II) for the succeeding
fiscal year shall be deposited in the
Treasury.''.
(b) Exemption of Certain Payments From Sequestration.--
(1) In general.--Section 255(g)(1)(A) of the Balanced
Budget and Emergency Deficit Control Act of 1985 (2 U.S.C.
905(g)(1)(A)) is amended by inserting after ``Payments to
Social Security Trust Funds (28-0404-0-1-651).'' the following:
``Payments to States pursuant to subparagraph
(C)(ii)(I)(cc) of section 8(p)(2) of the Outer Continental
Shelf Lands Act (43 U.S.C. 1337(p)(2)).''.
(2) Applicability.--The amendment made by this subsection
shall apply to any sequestration order issued under the
Balanced Budget and Emergency Deficit Control Act of 1985 (2
U.S.C. 900 et seq.) on or after the date of enactment of this
Act.
SEC. 603. ELIMINATION OF ADMINISTRATIVE FEE UNDER THE MINERAL LEASING
ACT.
(a) In General.--Section 35 of the Mineral Leasing Act (30 U.S.C.
191) is amended--
(1) in subsection (a), in the first sentence, by striking
``and, subject to the provisions of subsection (b),'';
(2) by striking subsection (b);
(3) by redesignating subsections (c) and (d) as subsections
(b) and (c), respectively;
(4) in paragraph (3)(B)(ii) of subsection (b) (as so
redesignated), by striking ``subsection (d)'' and inserting
``subsection (c)''; and
(5) in paragraph (3)(A)(ii) of subsection (c) (as so
redesignated), by striking ``subsection (c)(2)(B)'' and
inserting ``subsection (b)(2)(B)''.
(b) Conforming Amendments.--
(1) Section 6(a) of the Mineral Leasing Act for Acquired
Lands (30 U.S.C. 355(a)) is amended--
(A) in the first sentence, by striking ``Subject to
the provisions of section 35(b) of the Mineral Leasing
Act (30 U.S.C. 191(b)), all'' and inserting ``All'';
and
(B) in the second sentence, by striking ``of the
Act of February 25, 1920 (41 Stat. 450; 30 U.S.C.
191),'' and inserting ``of the Mineral Leasing Act (30
U.S.C. 191)''.
(2) Section 20(a) of the Geothermal Steam Act of 1970 (30
U.S.C. 1019(a)) is amended, in the second sentence of the
matter preceding paragraph (1), by striking ``the provisions of
subsection (b) of section 35 of the Mineral Leasing Act (30
U.S.C. 191(b)) and section 5(a)(2) of this Act'' and inserting
``section 5(a)(2)''.
(3) Section 205(f) of the Federal Oil and Gas Royalty
Management Act of 1982 (30 U.S.C. 1735(f)) is amended--
(A) in the first sentence, by striking ``this
Section'' and inserting ``this section''; and
(B) by striking the fourth, fifth, and sixth
sentences.
<all>
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118HR1336 | IRS Whistleblower Program Improvement Act of 2023 | [
[
"K000376",
"Rep. Kelly, Mike [R-PA-16]",
"sponsor"
],
[
"T000460",
"Rep. Thompson, Mike [D-CA-4]",
"cosponsor"
]
] | <p><strong>IRS Whistleblower Program Improvement Act of 2023</strong></p> <p>This bill modifies provisions of the Internal Revenue Code relating to whistleblower protections. Specifically, the bill </p> <ul> <li>revises the standard for review of whistleblower awards in the Tax Court to require a<em> de novo</em> review standard (currently, the standard is abuse of discretion); </li> <li>exempts whistleblower awards from reductions due to budget sequestration; </li> <li>allows whistleblowers anonymity in proceedings before the Tax Court;</li> <li>modifies the Internal Revenue Service (IRS) whistleblower report to require inclusion of a list and description of the top 10 tax avoidance schemes disclosed by whistleblowers;</li> <li>requires the IRS to pay interest on whistleblower awards if not paid within one year of receipt of proceeds collected from whistleblower disclosures; and </li> <li>allows payment of the attorney fees of whistleblowers regardless of whether the whistleblower award was paid through the mandatory or the discretionary whistleblower award program.</li></ul> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1336 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1336
To amend the Internal Revenue Code of 1986 to modify and reform rules
relating to investigations and whistleblowers, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 3, 2023
Mr. Kelly of Pennsylvania (for himself and Mr. Thompson of California)
introduced the following bill; which was referred to the Committee on
Ways and Means, and in addition to the Committee on the Budget, for a
period to be subsequently determined by the Speaker, in each case for
consideration of such provisions as fall within the jurisdiction of the
committee concerned
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to modify and reform rules
relating to investigations and whistleblowers, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``IRS Whistleblower Program
Improvement Act of 2023''.
SEC. 2. STANDARD AND SCOPE OF REVIEW OF WHISTLEBLOWER AWARD
DETERMINATION.
(a) In General.--Paragraph (4) of section 7623(b) of the Internal
Revenue Code of 1986 is amended--
(1) by striking ``appealed to'' and inserting ``reviewed
by''; and
(2) by adding at the end the following: ``Any review by the
Tax Court under the preceding sentence shall be de novo and
shall be based on the administrative record established at the
time of the original determination and any additional newly
discovered or previously unavailable evidence.''.
(b) Conforming Amendment.--The heading of paragraph (4) of section
7623(b) of the Internal Revenue Code of 1986 is amended by striking
``Appeal'' and inserting ``Review''.
(c) Effective Date.--The amendments made by this section shall
apply to cases under section 7623(b)(4) of the Internal Revenue Code of
1986 which are pending on, or filed on or after, the date of the
enactment of this Act.
SEC. 3. EXEMPTION FROM SEQUESTRATION.
(a) In General.--Section 255 of the Balanced Budget and Emergency
Deficit Control Act of 1985 (2 U.S.C. 905) is amended--
(1) by redesignating subsection (k) as subsection (l); and
(2) by inserting after subsection (j) the following:
``(k) Awards to Whistleblowers.--An award authorized under section
7623 of the Internal Revenue Code of 1986 shall be exempt from
reduction under any order issued under this part.''.
(b) Applicability.--The amendment made by this section shall apply
to any sequestration order issued under the Balanced Budget and
Emergency Deficit Control Act of 1985 (2 U.S.C. 900 et seq.) after
December 31, 2022.
SEC. 4. WHISTLEBLOWER PRIVACY PROTECTIONS.
(a) In General.--Paragraph (6) of section 7623(b) of the Internal
Revenue Code of 1986 is amended by adding at the end the following new
subparagraph:
``(D) Whistleblower anonymity before the tax
court.--Notwithstanding sections 7458 and 7461, the Tax
Court shall grant a whistleblower's request to proceed
anonymously before the Court for all proceedings under
this section absent a finding by the Tax Court that a
heightened societal interest exists for disclosing the
whistleblower's identity, exceeding the normal interest
in knowing a petitioner's identity. Should the Tax
Court find that such a heightened societal interest
exists, such interest shall be balanced against the
potential harm disclosure could cause to the
whistleblower.''.
(b) Effective Date.--The amendments made by this section shall
apply to petitions filed with the Tax Court which are pending on, or
filed on or after, the date of the enactment of this Act.
SEC. 5. MODIFICATION OF IRS WHISTLEBLOWER REPORT.
(a) In General.--Section 406(c) of division A of the Tax Relief and
Health Care Act of 2006 is amended by striking ``such use,'' in
paragraph (1) and inserting ``such use (which shall include a list and
descriptions of the top tax avoidance schemes, not to exceed 10,
disclosed by whistleblowers during such year),''.
(b) Effective Date.-- The amendment made by this section shall
apply to reports the due date for which are after the enactment of this
Act.
SEC. 6. INTEREST ON WHISTLEBLOWER AWARDS.
(a) In General.--Section 7623(b) of the Internal Revenue Code of
1986 is amended by redesignating paragraphs (5) and (6) as paragraphs
(6) and (7), respectively, and by inserting after paragraph (4) the
following new paragraph:
``(5) Interest.--
``(A) In general.--If the Secretary has not
provided notice to an individual described in paragraph
(1) of a preliminary award recommendation before the
applicable date, the amount of any award under this
subsection shall include interest from such date at the
overpayment rate under section 6621(a).
``(B) Exception.--No interest shall accrue under
this paragraph after the date on which the Secretary
provides notice to the individual of a preliminary
award recommendation.
``(C) Applicable date.--For purposes of this
paragraph, the applicable date is the date that is 12
months after the first date on which--
``(i) all of the proceeds resulting from
actions subject to the award recommendation
have been collected, and
``(ii) either--
``(I) the statutory period for
filing a claim for refund has expired,
or
``(II) the taxpayers subject to the
actions and the Secretary have agreed
with finality to the tax or other
liabilities for the periods at issue,
and either the taxpayers have waived
the right to file a claim for refund or
any claim for refund has been
resolved.''.
(b) Effective Date.--
(1) In general.--The amendments made by this section shall
take effect 180 days after the date of the enactment of this
Act.
(2) Special rule.--In the case of a claim for a
whistleblower award under section 7623(b) of the Internal
Revenue Code of 1986 with respect to which, as of the date
described in paragraph (1)--
(A) the Secretary of the Treasury has not provided
notice to the individual of a preliminary award
recommendation as described in paragraph (5)(A) of such
section, as added by this Act, and
(B) the applicable date provided in paragraph
(5)(C) of such section, as so added, has passed,
the applicable date for purposes of such paragraph (5)(C) is
the date that is 12 months after the date described in
paragraph (1).
SEC. 7. CORRECTION REGARDING DEDUCTIONS FOR ATTORNEY'S FEES.
(a) In General.--Section 62(a)(21)(A)(i) of the Internal Revenue
Code of 1986 is amended by striking ``7623(b)'' and inserting ``7623''.
(b) Effective Date.--The amendment made by this section shall apply
to taxable years ending after the date of the enactment of this Act.
<all>
</pre></body></html>
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118HR1337 | Immigration Enforcement Partnership Act of 2023 | [
[
"P000599",
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"sponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1337 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1337
To authorize States to request that the Secretary of Homeland Security
enforce the Immigration and Nationality Act, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 3, 2023
Mr. Posey introduced the following bill; which was referred to the
Committee on the Judiciary
_______________________________________________________________________
A BILL
To authorize States to request that the Secretary of Homeland Security
enforce the Immigration and Nationality Act, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Immigration Enforcement Partnership
Act of 2023''.
SEC. 2. AUTHORIZING STATES TO REQUEST THE ENFORCEMENT OF THE
IMMIGRATION LAWS.
(a) Request To Fulfill Duties.--If a State attorney general finds
that the Secretary of Homeland Security is not adequately fulfilling
his non-discretionary duties under title II of the Immigration and
Nationality Act (8 U.S.C. 1151 et seq.), such as the arrest, detention,
and removal of criminal aliens and arriving aliens, such officer may
request in writing that the Secretary do so.
(b) Requirement To Fulfill Duties.--Not later than 30 days after
receiving a request under subsection (a), the Secretary shall either--
(1) ensure that any such duties are adequately fulfilled by
officers and employees of the Department of Homeland Security;
or
(2) exercise his authority under section 287(g) of the
Immigration and Nationality Act (8 U.S.C. 1357) to authorize
officials in the State to perform functions of an immigration
officer related to the investigation, apprehension, or
detention of aliens in that State, and fulfill such duties on
behalf of the Secretary.
(c) Civil Action.--If the Secretary does not comply with subsection
(b), the State attorney general may file a civil action in an
appropriate district court of the United States to enforce the
requirements under such subsection. The court shall advance on the
docket and expedite the disposition of a civil action filed under this
subsection to the greatest extent practicable.
<all>
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|
118HR1338 | SAT Streamlining Act | [
[
"M001159",
"Rep. McMorris Rodgers, Cathy [R-WA-5]",
"sponsor"
],
[
"P000034",
"Rep. Pallone, Frank, Jr. [D-NJ-6]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1338 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1338
To amend the Communications Act of 1934 to provide authority for
certain licenses, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 3, 2023
Mrs. Rodgers of Washington (for herself and Mr. Pallone) introduced the
following bill; which was referred to the Committee on Energy and
Commerce
_______________________________________________________________________
A BILL
To amend the Communications Act of 1934 to provide authority for
certain licenses, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Satellite And Telecommunications
Streamlining Act'' or the ``SAT Streamlining Act''.
SEC. 2. AUTHORITY REGARDING CERTAIN LICENSES.
(a) Amendment.--Part I of title III of the Communications Act of
1934 (47 U.S.C. 301 et seq.) is amended by adding at the end the
following new section:
``SEC. 346. RADIOFREQUENCY LICENSING AUTHORITY REGARDING CERTAIN
OPERATIONS.
``(a) Rules.--
``(1) In general.--Not later than 18 months after the date
of the enactment of this section, the Commission shall issue
rules to amend part 25 of title 47, Code of Federal
Regulations, to establish--
``(A) for any license granted under subsection (b)
or grant of market access granted under subsection (c),
specific, measurable, and technology-neutral
performance objectives for space safety and orbital
debris, in accordance with paragraph (2);
``(B) for any license granted under paragraph (1)
or (2) of subsection (b), specific modifications (or
classes of modifications) to such a license that
warrant expedited treatment under subparagraph (A) or
(B) (as the case may be) of subsection (g)(2);
``(C) for any license granted under subsection (b),
grant of market access granted under subsection (c),
authorization granted under subsection (d), or covered
authorization, the manner in which the licensee,
grantee, or entity shall notify the Commission of a
request to submit a modification under subsection
(g)(5);
``(D) for any request to modify a covered
authorization, the manner in which the entity with the
covered authorization shall indicate in the request
whether the entity is seeking a modification described
in subsection (h)(2)(B)(i)(I) or a modification
described in subsection (h)(2)(B)(i)(II);
``(E) for any license granted under subsection
(b)(1), grant of market access granted under subsection
(c)(1), or covered authorization, in a spectrum band
with service rules that require a licensee of such a
license, a grantee of such a grant, or an entity with a
covered authorization to share spectrum, specific
actions taken by such a licensee, grantee, or entity
with a covered authorization, or by any other entity
that is authorized to use such shared spectrum, that
constitute a failure to coordinate in good faith,
including whether withholding from another such
licensee, grantee, entity with a covered authorization,
or other entity information necessary to coordinate in
good faith that it is technically feasible to make
available to such licensee, grantee, entity with a
covered authorization, or other entity is such an
action;
``(F) for any license granted under subsection
(b)(1) or grant of market access granted under
subsection (c)(1), in a spectrum band with service
rules that require a licensee of such a license or a
grantee of such a grant to share spectrum (except with
respect to the use of a gateway station), a
quantifiable level of protection required under
subsection (h)(4);
``(G) rules that--
``(i) clarify, for purposes of subsection
(h)(1)(B), the protection from harmful
interference that, during the covered period,
an entity with a covered authorization that was
approved in a processing round is required to
provide to any other entity with a covered
authorization that was approved in an earlier
processing round; and
``(ii) seek to promote competition,
innovation, and efficient use of spectrum by
entities with covered authorizations, including
by accounting for advancements in technology
capable of managing interference concerns to
the greatest extent possible consistent with
clause (i); and
``(H) for any application or request for
modification described in subsection (n), what
constitutes reportable foreign ownership for purposes
of paragraph (1) of such subsection.
``(2) Conflict with interagency standard practices.--In the
rules issued pursuant to paragraph (1)(A), or any successor
rule, the Commission may not establish performance objectives
that conflict with any standard practice adopted by the
Secretary of Commerce.
``(b) Application for License.--
``(1) NGSO determination required.--Except as provided in
paragraph (5) and subsection (m), not later than 1 year after
the date on which the Commission issues a public notice of the
acceptance for filing of a written application submitted to the
Commission, the Commission shall make a determination whether
to grant such application for a license for radiocommunication
services using--
``(A) a nongeostationary orbit space station or
space stations;
``(B) a blanket-licensed earth station or earth
stations that will operate with a nongeostationary
orbit space station or space stations; or
``(C) a nongeostationary orbit space station or
space stations and the blanket-licensed earth station
or earth stations that will operate with the
nongeostationary orbit space station or space stations.
``(2) GSO determination required.--Except as provided in
paragraph (5) and subsection (m), not later than 1 year after
the date on which the Commission issues a public notice of the
acceptance for filing of a written application submitted to the
Commission, the Commission shall make a determination whether
to grant such application for a license for radiocommunication
services using--
``(A) a geostationary orbit space station or space
stations;
``(B) a blanket-licensed earth station or earth
stations that will operate with a geostationary orbit
space station or space stations; or
``(C) a geostationary orbit space station or space
stations and the blanket-licensed earth station or
earth stations that will operate with the geostationary
orbit space station or space stations.
``(3) Contents of application.--In addition to the
application requirements described in section 308(b), an
application submitted under paragraph (1) or (2) shall include
the following:
``(A) Performance metrics with respect to the
frequencies and transmission power to be used.
``(B) A demonstration of compliance by the
applicant with the performance objectives established
under subsection (a)(1)(A).
``(C) In the case of an application submitted under
paragraph (1)--
``(i) a description of compliance by the
applicant with the actions established under
subsection (a)(1)(E); and
``(ii) a demonstration of compliance by the
applicant with the quantifiable level of
protection established under subsection
(a)(1)(F).
``(4) Term of initial license.--The Commission shall grant
a license for a term not to exceed 15 years for any application
granted under this subsection.
``(5) Exceptions.--The deadline for the determination
required in paragraphs (1), (2), and (6) may be extended by the
Commission for an application subject to review under
subsection (n).
``(6) Timely grant of certain applications.--
``(A) In general.--Except as provided in paragraph
(5) and subsection (m), not later than 60 days after
the date on which the Commission issues a public notice
of the acceptance for filing of a written application
submitted to the Commission for a license described in
paragraph (1) with respect to which the applicant
indicates in the application that the application meets
the additional criteria described in subparagraph (B),
the Commission shall--
``(i) determine whether such application
meets the additional criteria described in
subparagraph (B); and
``(ii) if the determination under clause
(i) is affirmative, grant such application.
``(B) Criteria described.--The additional criteria
described in this subparagraph are as follows:
``(i) A limit on the number of space
stations authorized by the license, as
determined by the Commission.
``(ii) A limit on the total in-orbit
lifetime for any individual space station, as
determined by the Commission.
``(iii) For each space station, the
following:
``(I) A limit on the orbital
altitude at which the space station may
operate, as determined by the
Commission.
``(II) A requirement that the space
station has a maneuverability
capability and the ability to make
collision avoidance and deorbit
maneuvers, as determined by the
Commission.
``(III) A requirement that the
space station is identifiable by a
unique signal-based telemetry marker
that meets requirements issued by the
Commission.
``(IV) A requirement that the space
station releases no operational debris.
``(V) A requirement that the space
station can be commanded by command
originating from the ground to
immediately cease transmissions and the
applicant has the capability to
eliminate harmful interference when
required by the Commission.
``(iv) A requirement that the operator has
assessed and limited the probability of an
accidental explosion, including an explosion
that results from the conversion of energy
sources on board any space station into energy
that fragments the space station.
``(v) A limit on the probability of a
collision between each space station and any
other large object, as determined by the
Commission.
``(vi) A requirement that each space
station is disposed of post-mission and the
probability of human casualty from disposal
meets requirements issued by the Commission.
``(C) Criteria not met.--If the determination under
subparagraph (A)(i) with respect to an application is
negative, the Commission shall make a determination
whether to grant such application under paragraph (1)
by the deadline specified in such paragraph.
``(D) Evasion.--An application does not meet the
additional criteria described in subparagraph (B) if
the Commission determines that, taken together with any
other application or applications submitted by the
applicant under subparagraph (A) (including an
application that has been approved), such applications
are submitted with the purpose of evading a negative
determination with respect to such additional criteria.
``(E) Rule of construction.--For purposes of this
section (other than this paragraph), any reference to
an application submitted or granted or a license
granted under paragraph (1) shall be construed to
include an application submitted or granted or a
license granted (as the case may be) under subparagraph
(A).
``(F) Implementation.--
``(i) In general.--Not later than 60 days
after the date of the enactment of this
section, the Commission shall--
``(I) issue rules to implement this
paragraph; or
``(II) make the finding described
in clause (ii).
``(ii) Finding described.--If the
Commission finds that the rules of the
Commission, as of the date of the enactment of
this section, satisfy the requirements in this
paragraph, the Commission shall issue a public
notice stating such finding.
``(c) Application for Grant of Market Access.--
``(1) NGSO determination required.--After the date on which
the Commission issues a public notice of the acceptance for
filing of a written application submitted to the Commission,
the Commission shall make a determination whether to grant such
application for market access within the United States for
radiocommunication services using--
``(A) a nongeostationary orbit space station or
space stations; or
``(B) a nongeostationary orbit space station or
space stations and the blanket-licensed earth station
or earth stations that will operate with the
nongeostationary orbit space station or space stations.
``(2) GSO determination required.--After the date on which
the Commission issues a public notice of the acceptance for
filing of a written application submitted to the Commission,
the Commission shall make a determination whether to grant such
application for market access within the United States for
radiocommunication services using a geostationary orbit space
station or space stations.
``(3) Contents of application.--In addition to the
application requirements described in section 308(b), an
application submitted under paragraph (1) or (2) shall include
the following:
``(A) Performance metrics with respect to the
frequencies and transmission power to be used.
``(B) A demonstration of compliance by the
applicant with the performance objectives established
under subsection (a)(1)(A).
``(C) In the case of an application submitted under
paragraph (1)--
``(i) a description of compliance by the
applicant with the actions established under
subsection (a)(1)(E); and
``(ii) a demonstration of compliance by the
applicant with the quantifiable level of
protection established under subsection
(a)(1)(F).
``(4) Term of initial grant of market access.--The
Commission shall grant a grant of market access for a term not
to exceed 15 years for any application granted under this
subsection.
``(d) Earth Station Authorization.--
``(1) Determination required for individually licensed
earth stations.--Except as provided in paragraph (4) and
subsection (m), not later than 1 year after the date on which
the Commission issues a public notice of the acceptance for
filing of a written application submitted to the Commission,
the Commission shall make a determination whether to grant such
application for authorization to use an individually licensed
earth station.
``(2) Determination required for receive-only earth
stations.--Except as provided in paragraph (4) and subsection
(m), not later than 30 days after the date on which the
Commission issues a public notice of the acceptance for filing
of a written application submitted to the Commission, the
Commission shall make a determination whether to grant such
application for authorization to use an earth station or earth
stations to receive a signal from--
``(A) a nongeostationary orbit space station or
space stations operated under a license granted under
subsection (b)(1) or a grant of market access granted
under subsection (c)(1); or
``(B) a geostationary orbit space station or space
stations operated under a license granted under
subsection (b)(2) or a grant of market access granted
under subsection (c)(2).
``(3) Deemed granted.--If the Commission fails to grant or
deny a written application submitted under paragraph (1) or (2)
by the deadline for the determination required by such
paragraph (including any extension of such deadline under
paragraph (4) or subsection (m)), the application shall be
deemed granted on the date on which the Commission receives a
written notice by the applicant of the failure.
``(4) Exception.--The deadline for the determination
required by paragraph (1) or (2) may be extended by the
Commission for an application subject to review under
subsection (n).
``(5) Inapplicability to blanket-licensed earth stations.--
This subsection does not apply with respect to an earth station
or earth stations to the extent that the earth station or earth
stations will be blanket-licensed with a space station or space
stations as described in subsection (b)(1)(B), (b)(1)(C),
(b)(2)(B), (b)(2)(C), or (c)(1)(B).
``(e) Determination of Public Interest, Convenience, and
Necessity.--The Commission may not make a determination to grant an
application, renewal, or modification under subsection (b), (c), (d),
(f), or (g) (as the case may be) unless--
``(1) except in the case of a modification under subsection
(g)(2), the Commission determines that the license, grant, or
authorization (as the case may be) serves the public interest,
convenience, and necessity; and
``(2) the Commission determines that--
``(A) in the case of a licensee or grantee to which
subsection (h)(4) applies--
``(i) in the case of an application, except
in accordance with a coordination agreement,
the licensee or grantee will not, during the
term of the license or grant, exceed the
quantifiable level of protection established in
subsection (h)(4) in operating under the
license or grant;
``(ii) in the case of a renewal, except in
accordance with a coordination agreement, the
licensee or grantee has not exceeded, during
the preceding term of the license or grant, and
will not exceed, during the term of the renewal
of the license or grant, the quantifiable level
of protection established in subsection (h)(4)
in operating under the license or grant; and
``(iii) in the case of a modification,
except in accordance with a coordination
agreement, the licensee or grantee has not
exceeded, during the portion of the term of the
license or grant preceding the determination,
and will not exceed, during the remainder of
such term, the quantifiable level of protection
established in subsection (h)(4) in operating
under the license or grant; and
``(B) in the case of a licensee or grantee that is
required to protect radio astronomy observatories by
the International Telecommunication Union, the
application, request for renewal, or request for
modification demonstrates that the licensee or grantee
will provide such protection in operating under the
license or grant.
``(f) Renewal of License, Grant of Market Access, or
Authorization.--
``(1) In general.--Except as provided in section 309(k)(2),
the Commission shall grant a renewal for a license granted
under subsection (b), a grant of market access granted under
subsection (c), or an authorization granted under subsection
(d), upon request by the licensee, grantee, or entity with such
authorization (as the case may be), for a term not to exceed
the length of the initial term beginning the day after the date
on which the preceding term of the license, grant of market
access, or authorization expires, if the Commission determines
the requirements under subsection (e) and section 309(k) have
been met.
``(2) Deadline for determination.--Except as provided in
subsection (m), not later than 180 days after the date on which
the Commission receives a request for renewal of a license
granted under subsection (b), a grant of market access granted
under subsection (c), or an authorization granted under
subsection (d), the Commission shall--
``(A) grant such renewal; or
``(B) make the determination described in section
309(k)(3) and deny such renewal.
``(g) Modification of License; Grant of Market Access.--
``(1) Major modifications.--Except as provided in
paragraphs (2), (3), (5), and (6) and subsection (m), and not
later than 1 year after the date on which the Commission
receives a request to modify a license granted under subsection
(b)(1), the Commission shall grant the request if the
Commission determines the modification meets the requirements
under subsection (e). Except as provided in paragraphs (2),
(3), and (5), the Commission may grant a request to modify a
license granted under subsection (b)(2) or a grant of market
access granted under subsection (c) if the Commission
determines the modification meets the requirements under
subsection (e).
``(2) Expedited treatment for minor modifications.--
``(A) NGSO license modifications.--Except as
provided in paragraphs (3), (5), and (6) and subsection
(m), the Commission shall grant a request made by a
licensee to modify a license granted under subsection
(b)(1) not later than 90 days after the date on which
the Commission receives the request to modify if--
``(i) the Commission determines that the
modification or modifications meet the
requirements (if applicable) under
subparagraphs (A) and (B) of subsection (e)(2);
and
``(ii) the request is limited only to
modifications, or a class of modifications,
that--
``(I) increase transmission
capacity;
``(II) improve spectral efficiency,
such as by improving compression
technologies;
``(III) improve the orbital
variance efficiency of the space
station (or space stations, considered
collectively, if there is more than one
such space station) authorized by the
license; or
``(IV) otherwise do not
substantially modify the space station
(or space stations, considered
collectively, if there is more than one
such space station) authorized by the
license.
``(B) GSO license modifications.--Except as
provided in paragraphs (3), (5), and (6) and subsection
(m), the Commission shall grant a request made by a
licensee to modify a license granted under subsection
(b)(2) not later than 90 days after the date on which
the Commission receives the request to modify if--
``(i) the Commission determines that the
modification or modifications meet the
requirements (if applicable) under subsection
(e)(2)(B); and
``(ii) the request is limited only to
modifications, or a class of modifications,
that--
``(I) increase transmission
capacity;
``(II) improve spectral efficiency,
such as by improving compression
technologies; or
``(III) otherwise do not
substantially modify the space station
(or space stations, considered
collectively, if there is more than one
such space station) authorized by the
license.
``(C) Deemed granted.--If the Commission fails to
grant a request made by a licensee under subparagraph
(A) or (B) by the deadline specified in such
subparagraph (including any extension of such deadline
under paragraph (6) or subsection (m)), the request
shall be deemed granted on the date on which the
Commission receives a written notice by the licensee of
the failure.
``(3) Emergency grant, renewal, or modification.--If the
Commission finds that there are extraordinary circumstances
requiring temporary operations in the public interest and that
delay in the institution of such temporary operations would
seriously prejudice the public interest, the Commission--
``(A) may grant a license described in subsection
(b), a grant of market access described in subsection
(c), or an authorization described in subsection (d), a
modification of such a license, grant of market access,
or authorization, or renewal of such a license, grant
of market access, or authorization for a period not to
exceed 180 days in a manner and upon the terms the
Commission shall by rule prescribe in the case of an
emergency found by the Commission involving--
``(i) danger to life or property; or
``(ii) an action that is necessary for the
national defense or security of the United
States;
``(B) shall include with a grant made under this
paragraph a statement of the reasons of the Commission
for making such grant;
``(C) may extend a grant made under this paragraph
for periods not to exceed 180 days; and
``(D) shall give expeditious treatment to any
timely filed petition to deny such application and to
any petition for rehearing of such grant filed under
section 405.
``(4) Exclusion.--Paragraph (2) shall not apply to a
request to modify a license for--
``(A) the addition of an ancillary terrestrial
component; or
``(B) modifying the service offered under the
initial license granted under subsection (b) between
fixed satellite service and mobile satellite service.
``(5) Automatic grant of certain modifications.--Upon
notification to the Commission, the Commission may
automatically grant a request to modify a license granted under
subsection (b), a grant of market access granted under
subsection (c), an authorization granted under subsection (d),
or a covered authorization, to replace--
``(A) one space station (or component of such space
station) with a technically similar space station (or
component of such space station) previously approved by
the Commission; or
``(B) one earth station (or component of such earth
station) with a technically similar earth station (or
component of such earth station) previously approved by
the Commission.
``(6) Exceptions.--The deadlines under paragraphs (1) and
(2) may be extended by the Commission for a request subject to
review under subsection (n).
``(h) Shared Spectrum; Protection From Harmful Interference.--
``(1) Grandfathered treatment and sunset of certain
authorizations.--For the duration of the covered period--
``(A) a covered authorization shall not be treated
as being granted under subsection (b)(1) or subsection
(c)(1) (as the case may be); and
``(B) an entity with a covered authorization shall
be afforded, and shall afford to any other entity with
a covered authorization, protection from harmful
interference that is consistent with the terms of such
protection afforded before the date of the enactment of
this section.
``(2) Transitional rules.--
``(A) Renewal under this section.--An entity with a
covered authorization may, at any time before the end
of the covered period, seek renewal of the covered
authorization under subsection (f) as if the covered
authorization were a license granted under subsection
(b)(1) or a grant of market access granted under
subsection (c)(1) (as the case may be). If the
Commission grants the renewal, the renewal shall be
treated as a renewal of a license granted under
subsection (b)(1) or a grant of market access granted
under subsection (c)(1) (as the case may be).
``(B) Modification.--
``(i) Indication of type of modification
sought.--If an entity with a covered
authorization submits to the Commission a
request to modify the covered authorization,
the entity shall indicate in the request
whether the entity is seeking--
``(I) a modification of the covered
authorization under the law and
regulations applicable to the covered
authorization; or
``(II) a modification of the
covered authorization under subsection
(g) as if the covered authorization
were a license granted under subsection
(b)(1) or a grant of market access
granted under subsection (c)(1) (as the
case may be).
``(ii) Treatment.--If the Commission grants
a request to modify a covered authorization--
``(I) in the case of a request for
a modification described in clause
(i)(I), the covered authorization as
modified shall continue to be treated
as described in paragraph (1)(A) and
the entity with the covered
authorization shall, with respect to
the covered authorization, continue to
be afforded, and to afford to any other
entity with a covered authorization,
the protection described in paragraph
(1)(B); and
``(II) in the case of a request for
a modification described in clause
(i)(II), the covered authorization as
modified shall be treated as a license
granted under subsection (b)(1) or a
grant of market access granted under
subsection (c)(1) (as the case may be)
with respect to which a request to
modify has been granted under
subsection (g).
``(3) Good faith coordination of shared spectrum.--Not
later than the date on which the rules issued pursuant to
subsection (a) take effect--
``(A) a licensee of a license granted under
subsection (b)(1), a grantee of a grant of market
access granted under subsection (c)(1), or an entity
with a covered authorization, in a spectrum band with
service rules that require such a licensee, grantee, or
entity to share spectrum, shall make a good faith
effort to coordinate the use of such shared spectrum
(including the use of such shared spectrum by an
individually licensed earth station) with any other
such licensee, grantee, or entity with a covered
authorization and any other entity that is authorized
to use such shared spectrum; and
``(B) any other entity that is authorized to use
such shared spectrum shall make a good faith effort to
coordinate the use of such shared spectrum with any
such licensee, grantee, or entity with a covered
authorization.
``(4) Protection from harmful interference.--Not later than
the date on which the rules issued pursuant to subsection (a)
take effect, for any spectrum band in which the Commission
grants a license under subsection (b)(1) or a grant of market
access under subsection (c)(1) and for which the service rules
require such a licensee or grantee to share spectrum (except
with respect to the use of a gateway station), the Commission
shall establish a quantifiable level of protection that (except
with respect to the use of a gateway station) such a licensee
or grantee shall afford to any other entity (including an
entity with a covered authorization but not including a
licensee of a license granted under subsection (b)(2) or a
grantee of a grant of market access granted under subsection
(c)(2)) that is authorized to use such shared spectrum.
``(5) Consideration required.--When establishing the
quantifiable level of protection described in paragraph (4),
the Commission shall, with respect to the entities to which the
quantifiable level of protection is required under such
paragraph to be afforded--
``(A) consider protection of such entities based on
a degraded throughput methodology, requiring that,
except in accordance with a coordination agreement, a
licensee of a license granted under subsection (b)(1)
or a grantee of a grant of market access granted under
subsection (c)(1) may cause no more than a certain
percentage increase in the link unavailability of such
an entity and may reduce the throughput of such an
entity by no more than a certain percentage;
``(B) consider protection of such entities from
interference beyond a permissible interference-to-noise
ratio, or whether interference-to-noise alone provides
a sufficient level of protection; and
``(C) consider protection of such entities from
harmful interference by awarding a greater share of
spectrum during in-line events to earlier-filed
systems.
``(6) Relation to itu radio regulations.--Nothing in this
subsection shall be construed to require the Commission to
adopt rules regarding the use of spectrum that contravene a
requirement of the radio regulations of the International
Telecommunication Union.
``(7) Rule of construction.--An entity with a covered
authorization shall not be required to submit additional
information in order to retain such authorization, nor shall
paragraph (1) affect any obligation of such entity under
applicable law or regulation until the end of the covered
period.
``(i) State Preemption of Market Entry; Rates.--Notwithstanding any
other provision of law, no State or local government shall have any
authority to regulate the entry of or the rates charged by an applicant
or licensee related to a license granted under subsection (b), an
applicant or grantee related to a grant of market access granted under
subsection (c), or an applicant or entity related to an authorization
granted under subsection (d), except that this subsection shall not
prohibit a State from regulating the other terms and conditions of such
a licensee, grantee, or entity.
``(j) Regulatory Restraint.--
``(1) Limitation on information required to be provided.--
In performing any act, making any rule or regulation, or
issuing any order necessary to carry out this section, the
Commission--
``(A) shall limit the information required to be
furnished to the Commission;
``(B) shall demonstrate the Commission has taken
every reasonable step to limit the information required
to be furnished to the Commission;
``(C) may not require, with respect to an
application under subsection (b), (c), or (d), a
request for renewal under subsection (f), or a request
for modification under subsection (g), the filing of
any information which previously has been furnished to
the Commission or which is not directly material to the
considerations that affect the granting or denial of
such application or request (but the Commission may
require any new or additional facts the Commission
deems necessary to make its findings); and
``(D) may not request additional information
regarding the performance objectives established under
subsection (a)(1)(A) for any case in which an applicant
has demonstrated compliance with such performance
objectives.
``(2) Deadline for petition determination.--If an applicant
for a license or a licensee under subsection (b) files a
petition under part 1 of title 47, Code of Federal Regulations
(or any successor regulation) relating to information required
to be furnished to the Commission under this section, the
Commission shall grant or deny the petition within 90 days
after the date on which the petition is filed.
``(k) Relation to Experimental and Amateur Uses.--This section
shall not apply to any Commission authorization in--
``(1) the experimental radio service; or
``(2) the amateur radio service.
``(l) Completeness.--
``(1) In general.--Not later than 20 business days after
receiving a written application submitted under subsection (b),
(c), or (d), the Commission shall--
``(A) determine whether--
``(i) such application contains--
``(I) in the case of an application
submitted under subsection (b), all of
the information required to be
submitted with the application under
subsection (b)(3) and the first
sentence of section 308(b);
``(II) in the case of an
application submitted under subsection
(c), all of the information required to
be submitted with the application under
subsection (c)(3) and the first
sentence of section 308(b); or
``(III) in the case of an
application submitted under subsection
(d), all of the information required to
be submitted with the application under
the first sentence of section 308(b);
and
``(ii) the applicant has paid the fee (if
any) required under section 8 in connection
with the application; and
``(B) either--
``(i) if both determinations under
subparagraph (A) are in the affirmative, issue
a public notice of the acceptance for filing of
such application; or
``(ii) if either determination under
subparagraph (A) is in the negative, provide
notice to the applicant of the negative
determination, including what information that
was required to be submitted was not submitted
or the amount of the application fee due, or
both (as the case may be).
``(2) Inaction by commission.--If the Commission does not
comply with paragraph (1) with respect to an application by the
deadline specified in such paragraph, the Commission shall be
deemed for purposes of subsection (b), (c), or (d) (as the case
may be) to have issued a public notice of the acceptance for
filing of such application on the date that is 21 business days
after the date on which such application was received.
``(3) Limitation.--In making a determination under
paragraph (1)(A)(i), the Commission may only consider whether
the application contains the information described in subclause
(I), (II), or (III) (as the case may be) of such paragraph and
may not consider whether the information is sufficient to allow
the Commission to grant or deny the application.
``(m) Tolling.--
``(1) In general.--Except as provided in subsections
(b)(5), (d)(4), and (g)(6), with respect to an application for
a license under subsection (b) or an authorization under
subsection (d), or a request for renewal under subsection (f)
or modification under subsection (g) of a license granted under
subsection (b), a grant of market access granted under
subsection (c), or an authorization granted under subsection
(d), the Commission may extend the deadline under subsection
(b), (d), (f), or (g) (as the case may be) for consideration of
the application or request only if the Commission--
``(A) finds that there are extraordinary
circumstances requiring additional time for
consideration of the application or request such that,
if the deadline were not extended, the public interest
would be seriously prejudiced; and
``(B) issues a public notice of the finding
described in subparagraph (A) that states--
``(i) the reasons of the Commission for the
extension; and
``(ii) the length of the period of the
extension.
``(2) Length.--The Commission may not grant an extension of
a deadline under paragraph (1) for a period that exceeds 90
days but may grant 1 or more additional extensions of such
deadline under such paragraph, if the Commission makes the
finding and issues the public notice required by such paragraph
with respect to any such additional extension.
``(n) Review for National Security and Law Enforcement Concerns.--
``(1) Review required for entities with reportable foreign
ownership.--In the case of an application under subsection (b),
(c), or (d), a request for modification under subsection (g),
or a request for modification of a covered authorization that
is submitted by an entity that the Commission determines to
have reportable foreign ownership, the Commission shall refer
such application or request to the Committee for the Assessment
of Foreign Participation in the United States
Telecommunications Services Sector established by Executive
Order No. 13913 (85 Fed. Reg. 19643) (in this subsection
referred to as the `Committee') for review of national security
and law enforcement concerns that may be raised by such
application or request.
``(2) Review at discretion of commission.--In addition to
the applications and requests that the Commission is required
to refer to the Committee under paragraph (1), the Commission
may, in the discretion of the Commission, refer any other
application under subsection (b), (c), or (d), request for
modification under subsection (g), or request for modification
of a covered authorization to the Committee for review of
national security and law enforcement concerns that may be
raised by such application or request.
``(o) Clarification Relating to Shared Spectrum.--
``(1) In general.--For purposes of this section--
``(A) spectrum shall only be treated as being
shared if more than 1 entity described in paragraph (2)
is authorized to use the same frequencies of such
spectrum; and
``(B) the spectrum between the frequencies of
1617.775 megahertz and 1618.725 megahertz, inclusive,
shall not be treated as being shared.
``(2) Entity described.--The entities described in this
paragraph are the following:
``(A) A licensee of a license granted under
subsection (b)(1).
``(B) A grantee of a grant of market access granted
under subsection (c)(1).
``(C) An entity with a covered authorization.
``(p) Definitions.--In this section:
``(1) Covered application.-- The term `covered application'
means an application for a license or grant of market access to
operate a system described in subparagraph (A), (B), or (C) of
subsection (b)(1) or subparagraph (A) or (B) of subsection
(c)(1) in a processing round established before December 31,
2022, that is pending on the date of the enactment of this
section.
``(2) Covered authorization.--The term `covered
authorization' means--
``(A) a license or grant of market access granted
by the Commission to operate a system described in
subparagraph (A), (B), or (C) of subsection (b)(1) or
subparagraph (A) or (B) of subsection (c)(1) in a
processing round established before December 31, 2022;
or
``(B) a license or grant of market access granted
by Commission approval of a covered application.
``(3) Covered period.--The term `covered period' means,
with respect to a covered authorization, the period of time
that begins on the date of the enactment of this section and
ends on the earliest of--
``(A) the date on which the covered authorization
expires;
``(B) the date that is 15 years after such date of
enactment;
``(C) the date on which the Commission determines
that the licensee or grantee (as the case may be) has
not either--
``(i) deployed a level of service
commensurate with the terms of the license or
grant of market access; or
``(ii) otherwise demonstrated progress and
investment consistent with the deployment
obligations under the license or grant of
market access;
``(D) the date on which the Commission grants a
request to renew the covered authorization; or
``(E) the date on which the Commission grants a
request for a modification of the covered authorization
described in subsection (h)(2)(B)(i)(II).
``(4) Gateway station.--The term `gateway station' means an
earth station or a group of earth stations that--
``(A) supports the routing and switching functions
of a system operated under a license granted under
subsection (b) or a grant of market access granted
under subsection (c);
``(B) may also be used for telemetry, tracking, and
command transmissions;
``(C) does not originate or terminate communication
traffic; and
``(D) is not for the exclusive use of any customer.
``(5) Individually licensed earth station.--The term
`individually licensed earth station' means--
``(A) an earth station that sends a signal to, and
receives a signal from--
``(i) a nongeostationary orbit space
station or space stations operated under a
license granted under subsection (b)(1) or a
grant of market access granted under subsection
(c)(1); or
``(ii) a geostationary orbit space station
or space stations operated under a license
granted under subsection (b)(2) or a grant of
market access granted under subsection (c)(2);
or
``(B) a gateway station.
``(6) Orbital variance efficiency.--The term `orbital
variance efficiency' means the mean of the distance between the
actual altitude of each space station and the authorized
altitude for each space station authorized under subsection
(b)(1).
``(7) Radiocommunication service.--The term
`radiocommunication service' has the meaning given such term in
the radio regulations of the International Telecommunication
Union that are in force as of the date of the enactment of this
section (or any successor to such regulations).''.
(b) Relation to Other Law Amendments.--The Communications Act of
1934 (47 U.S.C. 151 et seq.) is amended--
(1) in section 309(j)(2)--
(A) in subparagraph (B), by striking ``; or'' and
inserting a semicolon;
(B) by redesignating subparagraph (C) as
subparagraph (D); and
(C) by inserting after subparagraph (B) the
following new subparagraph:
``(C) for licenses, grants of market access, or
authorizations granted under section 346; or''; and
(2) in section 309(k)--
(A) in the heading, by striking ``Broadcast Station
Renewal Procedures'' and inserting ``Renewal Procedures
for Certain Authorizations'';
(B) in paragraph (1)--
(i) in the matter preceding subparagraph
(A)--
(I) by inserting ``, the licensee
of a license granted under section
346(b), the grantee of a grant of
market access granted under section
346(c), or an entity with authorization
granted under section 346(d),'' after
``broadcast station'';
(II) by inserting ``, grant, or
authorization'' after ``such license'';
(III) by striking ``that station''
and inserting ``that licensee, grantee,
or entity''; and
(IV) by inserting ``, grant of
market access, or authorization'' after
``its license'';
(ii) in subparagraph (A), by striking ``the
station'' and inserting ``in the case of a
broadcast station, the station'';
(iii) by redesignating subparagraphs (B)
and (C) as subparagraphs (C) and (D),
respectively;
(iv) by inserting after subparagraph (A)
the following:
``(B) in the case of a licensee of a license
granted under section 346(b), a grantee of a grant of
market access granted under section 346(c), or an
entity with authorization granted under section 346(d),
the licensee, grantee, or entity has met the
requirements of section 346(e);'';
(v) in subparagraph (C), as so
redesignated, by inserting ``, grantee, or
entity'' after ``licensee''; and
(vi) in subparagraph (D), as so
redesignated, by inserting ``, grantee, or
entity'' after ``licensee'';
(C) in paragraph (2), by inserting ``, or the
licensee of a license granted under section 346(b), the
grantee of a grant of market access granted under
section 346(c), or an entity with authorization granted
under section 346(d),'' after ``broadcast station'';
(D) in paragraph (3)--
(i) in the matter preceding subparagraph
(A), by inserting ``of a broadcast station, a
licensee of a license granted under section
346(b), a grantee of a grant of market access
granted under section 346(c), or an entity with
authorization granted under section 346(d)''
after ``that a licensee'';
(ii) in subparagraph (A)--
(I) by inserting ``, grantee, or
entity'' after ``licensee''; and
(II) by inserting ``or 346'' after
``section 308''; and
(iii) in subparagraph (B), by striking
``former licensee'' and inserting ``former
licensee of a broadcast station or such
applications for a license, grant of market
access, or authorization as may be filed under
section 346(b), 346(c), or 346(d) specifying
the information of the former licensee,
grantee, or entity''; and
(E) in paragraph (4), by inserting ``, grant of
market access, or authorization'' after ``license''.
(c) Applicability.--The requirements in the amendments made by this
section apply with respect to any application submitted under
subsection (b), (c), or (d) of section 346 of the Communications Act of
1934 and any request for renewal or modification submitted under such
section, as added by subsection (a), on or after the date of the
enactment of this Act.
<all>
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118HR1339 | Precision Agriculture Satellite Connectivity Act | [
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"L000566",
"Rep. Latta, Robert E. [R-OH-5]",
"sponsor"
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"K000385",
"Rep. Kelly, Robin L. [D-IL-2]",
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] | <p><b>Precision Agriculture Satellite Connectivity Act</b></p> <p>This bill requires the Federal Communications Commission (FCC) to review, and recommend changes to, its rules for fixed, mobile, and earth exploration satellites to promote precision agriculture (an information- and technology-based management system used to identify, analyze, and manage variability in agricultural production for optimum profitability, sustainability, and environmental protection).</p> <p>In conducting its review, the FCC must consult with a task force that advises the FCC on ways to assess and advance broadband internet on unserved agricultural land and promote precision agriculture.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1339 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1339
To require the Federal Communications Commission to review certain
rules of the Commission and develop recommendations for rule changes to
promote precision agriculture, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 3, 2023
Mr. Latta (for himself and Ms. Kelly of Illinois) introduced the
following bill; which was referred to the Committee on Energy and
Commerce
_______________________________________________________________________
A BILL
To require the Federal Communications Commission to review certain
rules of the Commission and develop recommendations for rule changes to
promote precision agriculture, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Precision Agriculture Satellite
Connectivity Act''.
SEC. 2. PRECISION AGRICULTURE SATELLITE CONNECTIVITY.
(a) Review.--The Commission, in consultation with the Task Force,
shall--
(1) review the rules of the Commission relating to fixed
satellite service, mobile satellite service, and earth
exploration satellite service to determine if there are rule
changes that the Commission could implement under existing
authority to promote precision agriculture; and
(2) if the Commission determines under paragraph (1) that
there are rule changes that the Commission could implement,
develop recommendations for how to implement the changes.
(b) Report.--Not later than 15 months after the date of the
enactment of this Act, the Commission shall submit to the Committee on
Energy and Commerce of the House of Representatives and the Committee
on Commerce, Science, and Transportation of the Senate a report on the
results of the review conducted under subsection (a), including any
recommendations developed under paragraph (2) of such subsection.
(c) Definitions.--In this section:
(1) Commission.--The term ``Commission'' means the Federal
Communications Commission.
(2) Task force.--The term ``Task Force'' means the Task
Force for Reviewing the Connectivity and Technology Needs of
Precision Agriculture in the United States established under
section 12511 of the Agriculture Improvement Act of 2018
(Public Law 115-334).
<all>
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118HR134 | To amend title XVIII of the Social Security Act to remove geographic requirements and expand originating sites for telehealth services. | [
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] | <p>This bill permanently allows any site to serve as an originating site (i.e., the location of the beneficiary) for purposes of Medicare telehealth services, including a beneficiary's home.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 134 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 134
To amend title XVIII of the Social Security Act to remove geographic
requirements and expand originating sites for telehealth services.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 9, 2023
Mr. Buchanan (for himself, Mrs. Steel, and Mr. Johnson of Ohio)
introduced the following bill; which was referred to the Committee on
Energy and Commerce, and in addition to the Committee on Ways and
Means, for a period to be subsequently determined by the Speaker, in
each case for consideration of such provisions as fall within the
jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To amend title XVIII of the Social Security Act to remove geographic
requirements and expand originating sites for telehealth services.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. REMOVING GEOGRAPHIC REQUIREMENTS AND EXPANDING ORIGINATING
SITES FOR TELEHEALTH SERVICES.
Section 1834(m) of the Social Security Act (42 U.S.C. 1395m(m)) is
amended--
(1) in paragraph (2)(B)(iii) by striking ``during the 151-
day period beginning on'' and inserting ``on or after''; and
(2) in paragraph (4)(C)(iii) by striking ``during the 151-
day period beginning on'' and inserting ``on or after''.
<all>
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118HR1340 | Open RAN Outreach Act | [
[
"A000376",
"Rep. Allred, Colin Z. [D-TX-32]",
"sponsor"
],
[
"H001067",
"Rep. Hudson, Richard [R-NC-9]",
"cosponsor"
],
[
"G000558",
"Rep. Guthrie, Brett [R-KY-2]",
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]
] | <p><b>Open RAN Outreach Act</b></p> <p>This bill requires the National Telecommunications and Information Administration (NTIA) to conduct outreach and provide technical assistance to small communications network providers to raise awareness of the benefits, uses, and challenges of Open RAN networks and other open network architectures. Open RAN networks are wireless networks that follow the Open Radio Access Network approach to standardization, promoting the use of open interface standards in the portion of the telecommunications network that connects wireless devices (e.g., mobile phones) to the core of the network.</p> <p>The NTIA must also conduct outreach and provide assistance regarding participation in the Wireless Supply Chain Innovation Grant Program.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1340 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1340
To provide outreach and technical assistance to small providers
regarding Open RAN networks, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 3, 2023
Mr. Allred (for himself, Mr. Hudson, and Mr. Guthrie) introduced the
following bill; which was referred to the Committee on Energy and
Commerce
_______________________________________________________________________
A BILL
To provide outreach and technical assistance to small providers
regarding Open RAN networks, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Open RAN Outreach Act''.
SEC. 2. OUTREACH AND TECHNICAL ASSISTANCE TO SMALL PROVIDERS REGARDING
OPEN RAN NETWORKS.
(a) In General.--The Assistant Secretary shall conduct outreach and
provide technical assistance to small communications network
providers--
(1) to raise awareness regarding the uses, benefits, and
challenges of Open RAN networks and other open network
architectures; and
(2) regarding participation in the Wireless Supply Chain
Innovation Grant Program established under section 9202(a)(1)
of the William M. (Mac) Thornberry National Defense
Authorization Act for Fiscal Year 2021 (Public Law 116-283).
(b) Definitions.--In this section:
(1) Assistant secretary.--The term ``Assistant Secretary''
means the Assistant Secretary of Commerce for Communications
and Information, acting through the head of the Office of
Internet Connectivity and Growth.
(2) Open network architecture.--The term ``open network
architecture'' means Open RAN networks and other network
elements that follow a set of published open standards for
multi-vendor network equipment interoperability, including open
core and open transport.
(3) Open ran network.--The term ``Open RAN network'' means
a wireless network that follows the Open Radio Access Network
approach to standardization adopted by the O-RAN Alliance,
Telecom Infra Project, or Third Generation Partnership Project
(3GPP), or any similar set of published open standards for
multi-vendor network equipment interoperability.
<all>
</pre></body></html>
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118HR1341 | Spectrum Coordination Act | [
[
"B001306",
"Rep. Balderson, Troy [R-OH-12]",
"sponsor"
],
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"K000382",
"Rep. Kuster, Ann M. [D-NH-2]",
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]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1341 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1341
To improve Federal coordination with respect to spectrum management,
and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 3, 2023
Mr. Balderson (for himself and Ms. Kuster) introduced the following
bill; which was referred to the Committee on Energy and Commerce
_______________________________________________________________________
A BILL
To improve Federal coordination with respect to spectrum management,
and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Spectrum Coordination Act''.
SEC. 2. IMPROVING SPECTRUM MANAGEMENT.
Part A of the National Telecommunications and Information
Administration Organization Act is amended by adding at the end the
following:
``SEC. 106. IMPROVING SPECTRUM MANAGEMENT.
``(a) Federal Coordination Procedures.--
``(1) Notice.--With respect to each spectrum action, the
Assistant Secretary shall file in the public record with
respect to such spectrum action, not later than the end of the
period for submitting comments to the Commission with respect
to such spectrum action, information (redacted as necessary if
the information is protected from disclosure for a reason
described in paragraph (3)) regarding--
``(A) the date on which the Commission provided to
the Assistant Secretary notice of the spectrum action,
as required under the Memorandum;
``(B) the Federal entities that may be impacted by
the spectrum action;
``(C) the date on which the Assistant Secretary
provided to the Federal entities described in
subparagraph (B) notice of the spectrum action;
``(D) a summary of technical or procedural
concerns, if any, of Federal entities with respect to
the spectrum action; and
``(E) a summary of policy concerns, if any, of the
Assistant Secretary with respect to the spectrum
action.
``(2) Final rule.--If the Commission promulgates a final
rule under section 553 of title 5, United States Code,
involving a spectrum action, the Commission shall prepare, make
available to the public, and publish in the Federal Register
along with the final rule an interagency coordination summary
that describes--
``(A) the date on which the Commission provided to
the Assistant Secretary notice of the spectrum action,
as required under the Memorandum;
``(B) whether concerns were raised under
subparagraph (D) or subparagraph (E) of paragraph (1)
and, if so, the concerns raised; and
``(C) how any such concerns were resolved.
``(3) Rule of construction.--Nothing in this subsection may
be construed to require the disclosure of classified
information, or other information reflecting technical,
procedural, or policy concerns that are exempt from disclosure
under section 552 of title 5, United States Code.
``(b) Memorandum.--
``(1) Memorandum updates.--Not later than 3 years after the
date of the enactment of this section, and not less frequently
than every 4 years thereafter, the Commission and the NTIA
shall update the Memorandum.
``(2) Nature of updates.--In updating the Memorandum under
paragraph (1), the Commission and the NTIA shall ensure that
each update reflects changing technological, procedural, and
policy circumstances, as determined necessary and appropriate
by the Commission and the NTIA.
``(c) Definitions.--In this section:
``(1) Memorandum.--The term `Memorandum' means the
Memorandum of Understanding between the Commission and the NTIA
(relating to increased coordination between Federal spectrum
management agencies to promote the efficient use of the radio
spectrum in the public interest), signed on August 1, 2022, or
any successor memorandum.
``(2) Spectrum action.--The term `spectrum action' means
any proposed action by the Commission to reallocate radio
frequency spectrum that is anticipated to result in a system of
competitive bidding conducted under section 309(j) of the
Communications Act of 1934 (47 U.S.C. 309(j)) or licensing that
could potentially impact the spectrum operations of a Federal
entity.''.
<all>
</pre></body></html>
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|
118HR1342 | Medicaid Dental Benefit Act of 2023 | [
[
"B001300",
"Rep. Barragan, Nanette Diaz [D-CA-44]",
"sponsor"
],
[
"D000399",
"Rep. Doggett, Lloyd [D-TX-37]",
"cosponsor"
],
[
"G000551",
"Rep. Grijalva, Raúl M. [D-AZ-7]",
"cosponsor"
]
] | <p><b>Medicaid Dental Benefit Act</b> <b>of </b><b>2023</b></p> <p>This bill requires state Medicaid programs to cover dental and oral health services for adults. It also increases the Federal Medical Assistance Percentage (i.e., federal matching rate) for such services.</p> <p>The Centers for Medicare & Medicaid Services must develop oral health quality and equity measures and conduct outreach relating to such coverage. Additionally, the Medicaid and Children's Health Insurance Program (CHIP) Payment and Access Commission must report on specified information relating to adult oral health care.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1342 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1342
To amend title XIX of the Social Security Act to improve coverage of
dental and oral health services for adults under Medicaid, and for
other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 3, 2023
Ms. Barragan (for herself, Mr. Doggett, and Mr. Grijalva) introduced
the following bill; which was referred to the Committee on Energy and
Commerce
_______________________________________________________________________
A BILL
To amend title XIX of the Social Security Act to improve coverage of
dental and oral health services for adults under Medicaid, and for
other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Medicaid Dental Benefit Act of
2023''.
SEC. 2. REQUIRING MEDICAID COVERAGE OF DENTAL AND ORAL HEALTH SERVICES
FOR ADULTS.
(a) In General.--
(1) Mandatory coverage.--
(A) In general.--
(i) Requirement.--Section 1902(a)(10)(A) of
the Social Security Act (42 U.S.C.
1396a(a)(10)(A)), as amended by section
11405(a)(1)(A) of Public Law 117-169, is
amended by inserting ``(10),'' before
``(13)(B),''.
(ii) Medically needy.--
(I) In general.--Section
1902(a)(10)(C)(iv) of such Act (42
U.S.C. 1396a(a)(10)(C)(iv)), as amended
by section 11405(a)(1)(B) of Public Law
117-169, is amended by inserting
``(10),'' before ``(13)(B)''.
(II) Rule of construction.--Nothing
in this section or the amendments made
by this section shall be construed to
limit the access of an individual
residing in an institutional setting to
dental and oral health services (as
such term is defined in section
1905(jj) of the Social Security Act, as
added by paragraph (2)(B)).
(iii) Effective date.--The amendments made
by clauses (i) and (ii) shall apply with
respect to expenditures for medical assistance
in calendar quarters beginning on or after
January 1, 2025.
(B) Benchmark coverage.--Section 1937(b)(5) of the
Social Security Act (42 U.S.C. 1396u-7(b)(5)) is
amended by striking the period and inserting ``, and,
beginning January 1, 2025, coverage of dental and oral
health services (as such term is defined in section
1905(jj)).''.
(C) Optional application to territories.--Section
1902(j) of the Social Security Act (42 U.S.C. 1396a(j))
is amended--
(i) by striking ``this title, the
Secretary'' and inserting ``this title--
``(1) in the case of a State other than the 50 States and
the District of Columbia the requirement under subsection
(a)(10)(A) to provide the care and services listed in paragraph
(10) of section 1905(a) shall be optional; and
``(2) the Secretary''; and
(ii) by striking the second comma after
``section 1108(f)''.
(2) Definition of dental and oral health services.--Section
1905 of the Social Security Act (42 U.S.C. 1396d) is amended--
(A) in subsection (a)(10), by inserting ``and
dental and oral health services (as defined in
subsection (jj))'' after ``dental services''; and
(B) by adding at the end the following new
subsection:
``(jj) Dental and Oral Health Services.--For purposes of subsection
(a)(10), the term `dental and oral health services' means dentures and
denture services, implants and implant services, and services necessary
to prevent oral disease and promote oral health, restore oral
structures to health and function, reduce oral pain, and treat
emergency oral conditions, that are furnished by a provider who is
legally authorized to furnish such items and services under State law
(or the State regulatory mechanism provided by State law).''.
(3) Conforming amendment.--
(A) In general.--Section 1905(a)(10) of the Social
Security Act (42 U.S.C. 1396d(a)(10)), as amended by
paragraph (2), is amended by striking ``dental services
and''.
(B) Effective date.--The amendment made by
subparagraph (A) shall take effect on January 1, 2025.
(b) State Option for Additional Dental and Oral Health Benefits.--
Section 1905(a)(13) of the Social Security Act (42 U.S.C. 1396d(a)(13))
is amended by inserting the following new subparagraph after
subparagraph (C):
``(D) at State option, such items and services
related to dental and oral health services (as defined
in subsection (jj)) that are in addition to those
identified in such subsection (jj) as the State may
specify;''.
(c) Increased FMAP.--
(1) Medicaid.--Section 1905 of the Social Security Act (42
U.S.C. 1396d), as amended by subsection (a), is further
amended--
(A) in subsection (b), by striking ``and (ii)'' and
inserting ``(ii), and (kk)'';
(B) in subsection (ff), by striking ``and (ii)''
and inserting ``, (ii), and (kk)''; and
(C) by adding at the end the following new
subsection:
``(kk) Increased FMAP for Expenditures Related to Dental and Oral
Health Services.--
``(1) In general.--
``(A) 50 states and dc.--Notwithstanding subsection
(b), in the case of a State that is 1 of the 50 States
or the District of Columbia, during the 12-quarter
period that begins on January 1, 2025, the Federal
medical assistance percentage shall be equal to 100
percent with respect to amounts expended by the State
for medical assistance for dental and oral health
services authorized under paragraph (10) of subsection
(a). In no case may the application of this
subparagraph result in the Federal medical assistance
percentage determined for a State with respect to
expenditures described in this subparagraph exceeding
100 percent.
``(B) Territories.--
``(i) In general.--Notwithstanding
subsection (b), in the case of a State that is
Puerto Rico, the Virgin Islands, Guam, the
Northern Mariana Islands, or American Samoa,
during a period described in clause (ii), the
Federal medical assistance percentage shall be
equal to 100 percent with respect to amounts
expended by the State for medical assistance
for any item or service that is included in
dental and oral health services authorized
under paragraph (10) of subsection (a). In no
case may the application of this clause result
in the Federal medical assistance percentage
determined for a State with respect to
expenditures described in this clause exceeding
100 percent.
``(ii) Period described.--A period
described in this clause is, with respect to an
item or service described in clause (i) and a
State described in such clause, the 12-quarter
period that begins with the first quarter
beginning on or after January 1, 2025, in which
such item or service is first covered under the
State plan or under a waiver of such plan.
``(2) Exclusions.--The Federal medical assistance
percentage specified in paragraph (1) shall not apply to
amounts expended for medical assistance during any period for--
``(A) additional items and services authorized
under paragraph (13)(D) of subsection (a); or
``(B) items and services furnished to an individual
if, as of the date of enactment of this subsection,
medical assistance was available to such individual for
such items and services or medicare cost-sharing under
the State plan or a waiver of such plan.''.
(2) Exclusion of amounts attributable to increased fmap
from territorial caps.--Section 1108 of the Social Security Act
(42 U.S.C. 1308) is amended--
(A) in subsection (f), in the matter preceding
paragraph (1), by striking ``subsections (g) and (h)''
and inserting ``subsections (g), (h), and (j)''; and
(B) by adding at the end the following:
``(j) Exclusion From Caps of Amounts Attributable to Increased FMAP
for Coverage of Dental and Oral Health Services.--Any additional amount
paid to Puerto Rico, the Virgin Islands, Guam, the Northern Mariana
Islands, and American Samoa for expenditures for medical assistance
that is attributable to an increase in the Federal medical assistance
percentage applicable to such expenditures under section 1905(kk) shall
not be taken into account for purposes of applying payment limits under
subsections (f) and (g).''.
SEC. 3. ADULT ORAL HEALTH QUALITY AND EQUITY MEASURES.
(a) In General.--Title XI of the Social Security Act (42 U.S.C.
1301 et seq.) is amended by inserting after section 1139B the following
new section:
``SEC. 1139C. ADULT ORAL HEALTH QUALITY AND EQUITY MEASURES.
``(a) Development of Core Set of Adult Oral Health Care Quality and
Equity Measures.--
``(1) In general.--The Secretary shall identify and publish
a recommended core set of health quality and equity measures
for individuals enrolled in a State plan (or waiver of such
plan) under title XIX who are over the age of 21 in the same
manner as the Secretary identifies and publishes a core set of
child health quality measures under section 1139A, including
with respect to identifying and publishing existing oral health
quality measures for such individuals that are in use under
public and privately sponsored health care coverage
arrangements, or that are part of reporting systems that
measure both the presence and duration of health insurance
coverage over time, that may be applicable to enrolled adults.
``(2) Alignment with existing core set.--In identifying and
publishing the recommended core set of adult oral health
quality and equity measures required under paragraph (1), the
Secretary shall ensure that, to the extent possible, such
measures align with and do not duplicate the core set of adult
health quality and equity measures identified, published, and
revised under section 1139B.
``(3) Process for adult oral health quality and equity
measures program.--In identifying gaps in existing adult oral
health quality and equity measures and establishing priorities
for the development and advancement of such measures, the
Secretary shall consult with--
``(A) States;
``(B) health care providers;
``(C) patient representatives;
``(D) dental professionals; and
``(E) national organizations with expertise in oral
health quality or equity measurement.
``(b) Deadlines.--
``(1) Recommended measures.--Not later than 1 year after
enactment of this Act, the Secretary shall identify and publish
for comment a recommended core set of adult oral health quality
and equity measures that includes the following:
``(A) Measures of utilization of oral health and
dental services across health care settings.
``(B) Measures that address the availability of
oral evaluations during or following medical visits for
enrolled adults.
``(C) Measures that address the incidence of
emergency department visits for non-traumatic dental
conditions.
``(D) Measures that address the availability and
receipt of follow-up dental care after emergency
department visits for non-traumatic dental conditions
during pregnancy.
``(E) Measures that address the availability of
counseling of enrolled adults aimed at improving oral
health outcomes.
``(F) Measures that address the availability and
receipt of care for beneficiaries who meet the medical
necessity criteria for general anesthesia and
intravenous sedation.
``(G) Measures that address screening and
evaluation for caries risk and periodontitis and
treatment for caries risk and periodontitis, including
the following:
``(i) The percentage of enrolled adults who
have caries risk documented in the reporting
year involved.
``(ii) The percentage of enrolled adults
who received a topical fluoride application or
sealants based on an oral health risk
assessment demonstrating the need for such
application or sealants during the reporting
year involved.
``(iii) The percentage of enrolled adults
who received a comprehensive or periodic oral
evaluation or a comprehensive periodontal
evaluation during the reporting year involved.
``(iv) The percentage of enrolled adults
with a history of periodontitis who received an
oral prophylaxis, scaling or root planing, or
periodontal maintenance visit at least 2 times
during the reporting year involved.
``(v) The percentage of enrolled adults
with diabetes who receive a comprehensive or
periodic evaluation or a comprehensive
periodontal evaluation during the reporting
year involved.
``(vi) The percentage of enrolled adults
who require tooth extraction during the
reporting year involved.
``(vii) The percentage of enrolled adults
who require partial or full dentures during the
reporting year involved.
``(2) Dissemination.--Not later than 1 year after enactment
of this Act, the Secretary shall publish an initial core set of
oral health quality and equity measures that are applicable to
enrolled adults.
``(3) Standardized reporting.--Not later than 2 years after
the date of the enactment of this Act, the Secretary, in
consultation with States, shall develop a standardized format
for the collection and reporting of information based on the
initial core set of adult oral health quality and equity
measures (stratified by race, ethnicity, primary language,
disability status, sexual orientation and gender identity) and
create guidelines, procedures, and incentives to States to use
such measures and to collect and report information regarding
the quality and equity of oral health care for enrolled adults.
``(4) Reports to congress.--Not later than 3 years after
enactment of this act, and every 3 years thereafter, the
Secretary shall include in the report to Congress required
under section 1139A(a)(6) information similar to the
information required under that section with respect to the
measures established under this section.
``(c) Annual State Reports Regarding State-Specific Oral Health
Quality and Equity Measures Applied Under Medicaid.--
``(1) In general.--Each State with a plan approved under
title XIX (or with a waiver of such plan in effect) shall
annually report (separately or as part of the annual report
required under section 1139A(c)) to the Secretary on--
``(A) the State-specific adult oral health quality
and equity measures applied by the State under such a
plan or waiver, including measures described in
subsection (b)(1);
``(B) the State-specific information on the quality
and equity of oral health care furnished to enrolled
adults under such a plan or waiver, including
information collected through external quality reviews
of managed care organizations under section 1932 and
benchmark plans under section 1937, disaggregated by
race, ethnicity, primary language, disability status,
sexual orientation, and gender identity;
``(C) the State-specific information regarding the
dental benefits available to enrolled adults under such
a plan or waiver, including any limits on such benefits
and the amount of reimbursement provided under such
plan or waiver for such benefits; and
``(D) the State-specific plan to identify,
evaluate, and reduce in meaningful and measurable ways,
to the extent practicable, health disparities based on
age, sex, race, ethnicity, primary language, sexual
orientation and gender identity, and disability status.
``(2) Publication.--Not later than 2 years after the date
of enactment of this Act, and annually thereafter, the
Secretary shall collect, analyze, and make publicly available
the information reported by States under paragraph (1).
``(d) Authorization of Appropriations.--There are authorized to be
appropriated $10,000,000 to carry out this section. Funds appropriated
under this subsection shall remain available until expended.''.
(b) Required Reporting.--
(1) Medicaid.--Section 1902(a) of the Social Security Act
(42 U.S.C. 1396a(a)) is amended--
(A) in paragraph (86), by striking ``and'' at the
end;
(B) in paragraph (87)(D), by striking the period
and inserting ``; and''; and
(C) by inserting after paragraph (87) the following
new paragraph:
``(88) provide for the reporting required under section
1139C(c).''.
(2) CHIP.--Section 2102 of the Social Security Act (42
U.S.C. 1397bb) is amended by adding at the end the following
new subsection:
``(d) Reporting Requirements.--A State child health plan shall
provide for the reporting required under section 1139C(c).''.
SEC. 4. ADULT ORAL HEALTH CARE REPORT.
Not later than 2 years after the date of enactment of this Act, the
Medicaid and CHIP Payment and Access Commission shall submit to
Congress a report on issues related to adult oral health across the 50
States, tribes, and the territories, including--
(1) the availability of adult oral health coverage, and
enrollment in such coverage;
(2) a survey of adult oral health status among low-income
women of childbearing age;
(3) barriers to accessing adult oral health care, including
for racially diverse, ethnically diverse, and limited English
proficient communities;
(4) innovations and potential solutions to problems of
access (including disparities in access) to adult oral health
care, including innovations that would expand access to such
care beyond dental offices; and
(5) the impact of the amendments made by section 2 and
recommendations for improving reimbursement rates for such
provider of dental and oral health services under the Medicaid
program.
SEC. 5. ORAL HEALTH OUTREACH AND EDUCATION.
Not later than 1 year after the date of enactment of this Act, the
Secretary shall develop a program, to be implemented through contracts
with entities that fund or provide oral health care, to provide--
(1) culturally competent and linguistically appropriate
information on the availability and scope of oral health and
dental coverage for adults who are eligible for or enrolled
under a State plan (or waiver of such plan) under title XIX of
the Social Security Act (42 U.S.C. 1396 et seq.);
(2) assistance in connecting adults and underserved
populations enrolled in such a plan (or waiver) to oral health
care;
(3) education to dental, oral health, and medical
professionals to strengthen core competencies in delivering
culturally competent oral health care to adults enrolled in
such a plan (or waiver), including: individuals with physical
and intellectual disabilities, pregnant and postpartum
individuals, Alaskan Native and American Indian populations,
and people living in urban, rural and, other underserved
communities; and
(4) culturally competent and linguistically appropriate
interactive oral health education aimed at promoting good oral
health practices for adults, including racially and ethnically
diverse Medicaid beneficiaries.
<all>
</pre></body></html>
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118HR1343 | ITS Codification Act | [
[
"C001103",
"Rep. Carter, Earl L. \"Buddy\" [R-GA-1]",
"sponsor"
],
[
"P000620",
"Rep. Pettersen, Brittany [D-CO-7]",
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] | <p><b>Institute for Telecommunication Sciences Codification Act or the ITS Codification Act</b></p> <p>This bill provides statutory authority for the Institute for Telecommunication Sciences, which serves as the telecommunications research and engineering arm of the National Telecommunications and Information Administration.</p> <p>In addition, the institute must establish an initiative to support the development of emergency communication and tracking technologies for use in locating trapped individuals in confined spaces where conventional radio communication is limited.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1343 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1343
To codify the Institute for Telecommunication Sciences and to direct
the Assistant Secretary of Commerce for Communications and Information
to establish an initiative to support the development of emergency
communication and tracking technologies, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 3, 2023
Mr. Carter of Georgia (for himself and Ms. Pettersen) introduced the
following bill; which was referred to the Committee on Energy and
Commerce
_______________________________________________________________________
A BILL
To codify the Institute for Telecommunication Sciences and to direct
the Assistant Secretary of Commerce for Communications and Information
to establish an initiative to support the development of emergency
communication and tracking technologies, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Institute for Telecommunication
Sciences Codification Act'' or the ``ITS Codification Act''.
SEC. 2. INSTITUTE FOR TELECOMMUNICATION SCIENCES.
(a) Findings.--Congress finds the following:
(1) The test center within the National Telecommunications
and Information Administration (in this subsection referred to
as the ``NTIA'') represents executive branch agencies on
spectrum issues before the Federal Communications Commission.
(2) Understanding radio frequency propagation
characteristics and modeling is a critical component of making
spectrum decisions.
(3) Federal agencies rely on expert engineering studies,
simulations, and analyses to make determinations about how to
make spectrum available for commercial use, including through
system relocations and identifying spectrum sharing
opportunities through the NTIA.
(4) Clearing of Federal spectrum, when feasible, is the
priority action to take to make Federal spectrum available for
commercial uses as required by section 113(j)(1) of the
National Telecommunications and Information Administration
Organization Act (47 U.S.C. 923(j)(1)).
(5) Sharing of Federal spectrum between Federal entities
and commercial entities provides access to Federal spectrum for
commercial uses in circumstances where clearing is not
feasible.
(6) The test center within the NTIA is the Government's
premier expert laboratory for spectrum research activities,
spectrum sharing innovation and testing, spectrum interference
studies, and all activities related to advancing next
generation wireless technologies.
(7) The test center within the NTIA is critical for
undertaking engineering studies and analyses that inform
clearing or sharing opportunities and facilitate policy
decisions to maximize the efficient use of spectrum resources.
(b) Operation of Test Center.--Part A of the National
Telecommunications and Information Administration Organization Act (47
U.S.C. 901 et seq.) is amended by adding at the end the following:
``SEC. 106. INSTITUTE FOR TELECOMMUNICATION SCIENCES.
``(a) Establishment.--
``(1) In general.--Under the authority provided to the
Assistant Secretary under section 103, the Assistant Secretary
shall operate a test center to be known as the Institute for
Telecommunication Sciences (in this section referred to as
`ITS').
``(2) Functions.--
``(A) In general.--In addition to any functions
delegated by the Assistant Secretary under subparagraph
(B), ITS shall serve as the primary laboratory for the
executive branch of the Federal Government to--
``(i) study radio frequency emissions,
including technologies and techniques to
control such emissions and interference caused
by such emissions;
``(ii) determine spectrum propagation
characteristics;
``(iii) conduct tests on technology that
enhances the sharing of electromagnetic
spectrum between Federal and non-Federal users;
``(iv) improve the interference tolerance
of Federal systems operating with, or using,
Federal spectrum;
``(v) promote activities relating to access
to Federal spectrum by non-Federal users and
the sharing of Federal spectrum between Federal
and non-Federal users; and
``(vi) conduct such other activities as
determined necessary by the Assistant
Secretary.
``(B) Additional functions.--The Assistant
Secretary may delegate to ITS any of the functions
assigned to the Assistant Secretary under section
103(b)(1).
``(3) Agreements and transactions.--In carrying out the
functions described in paragraph (2), the Assistant Secretary,
acting through the head of ITS, may enter into agreements as
provided under the following authorities:
``(A) Sections 11 and 12 of the Stevenson-Wydler
Technology Innovation Act of 1980.
``(B) Section 1535 of title 31, United States Code.
``(C) Sections 207 and 209 of title 35, United
States Code.
``(D) Section 103(b)(2) of this Act.
``(E) Section 113(g) of this Act.
``(F) The first undesignated section of Public Law
91-412.
``(G) As authorized in any other Federal statute.
``(4) Federal spectrum defined.--In this subsection, the
term `Federal spectrum' means frequencies assigned on a primary
basis to a Federal entity (as defined in section 113(l)).
``(b) Emergency Communication and Tracking Technologies
Initiative.--
``(1) Establishment.--The Assistant Secretary, acting
through the head of ITS, shall establish an initiative to
support the development of emergency communication and tracking
technologies for use in locating trapped individuals in
confined spaces, such as underground mines, and other shielded
environments, such as high-rise buildings or collapsed
structures, where conventional radio communication is limited.
``(2) Activities.--In order to carry out this subsection,
the Assistant Secretary, acting through the head of ITS, shall
work with private sector entities and the heads of appropriate
Federal agencies, to--
``(A) perform a needs assessment to identify and
evaluate the measurement, technical specifications, and
conformity assessment needs required to improve the
operation and reliability of such emergency
communication and tracking technologies; and
``(B) support the development of technical
specifications and conformance architecture to improve
the operation and reliability of such emergency
communication and tracking technologies.
``(3) Report.--Not later than 18 months after the date of
the enactment of this section, the Assistant Secretary shall
submit to Congress, and make publicly available, a report on
the assessment performed under paragraph (2)(A).''.
<all>
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118HR1344 | To rename the Dallas Veterans Affairs Medical Center in Dallas, Texas, as the "Eddie Bernice Johnson VA Medical Center". | [
[
"C001130",
"Rep. Crockett, Jasmine [D-TX-30]",
"sponsor"
]
] | <p>This bill designates the medical center of the Department of Veterans Affairs located at 4500 South Lancaster Road in Dallas, Texas, as the Eddie Bernice Johnson VA Medical Center.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1344 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1344
To rename the Dallas Veterans Affairs Medical Center in Dallas, Texas,
as the ``Eddie Bernice Johnson VA Medical Center''.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 3, 2023
Ms. Crockett introduced the following bill; which was referred to the
Committee on Veterans' Affairs
_______________________________________________________________________
A BILL
To rename the Dallas Veterans Affairs Medical Center in Dallas, Texas,
as the ``Eddie Bernice Johnson VA Medical Center''.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. FINDINGS.
Congress finds the following:
(1) Congresswoman Eddie Bernice Johnson served the veteran
community diligently during her 16 years working as the Chief
Psychiatric Nurse of the Dallas VA Medical Center.
(2) Throughout her 30 years in Congress, Eddie Bernice
Johnson introduced numerous bills that sought to honor and
serve the patriots who so nobly served their country.
(3) Congresswoman Johnson introduced, and won passage of,
the Dr. James Allen Veteran Vision Equity Act of 2007 (Public
Law 110-157; 38 U.S.C. 101 note), which assists those wounded
in service in receiving the treatment they need, and increases
the dignity shown to those who gave their last full measure of
devotion to the country that they served.
(4) Congresswoman Eddie Bernice Johnson was a trailblazer
who worked tirelessly on behalf of American veterans and has
earned the respect and honor of her native city of Dallas,
State of Texas, the United States, and the Congress.
SEC. 2. DESIGNATION OF THE EDDIE BERNICE JOHNSON VA MEDICAL CENTER.
(a) Designation.--The Dallas Veterans Center of the Department of
Veterans Affairs located at 4500 South Lancaster Road, Dallas, Texas,
shall, after the date of the enactment of this Act, be known and
designated as the ``Eddie Bernice Johnson VA Medical Center''.
(b) Reference.--Any reference in any law, regulation, map,
document, paper, or other record of the United States to the veterans
center referred to in subsection (a) shall be considered to be a
reference to the Eddie Bernice Johnson VA Medical Center.
<all>
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118HR1345 | NTIA Policy and Cybersecurity Coordination Act | [
[
"C001114",
"Rep. Curtis, John R. [R-UT-3]",
"sponsor"
],
[
"W000826",
"Rep. Wild, Susan [D-PA-7]",
"cosponsor"
],
[
"L000590",
"Rep. Lee, Susie [D-NV-3]",
"cosponsor"
]
] | <p><strong>NTIA Policy and Cybersecurity Coordination Act</strong></p> <p>This bill establishes the Office of Policy Development and Cybersecurity within the National Telecommunications and Information Administration to analyze and develop policies related to internet and communications technologies.</p> <p>Specific activities of the office include, for example, developing policies that promote (1) innovation, competition, and other elements of the communications, media, and technology markets; (2) security and resilience to cybersecurity incidents while fostering innovation; and (3) commercialization of communications technologies.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1345 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 1345
To amend the National Telecommunications and Information Administration
Organization Act to establish the Office of Policy Development and
Cybersecurity, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
March 3, 2023
Mr. Curtis (for himself and Ms. Wild) introduced the following bill;
which was referred to the Committee on Energy and Commerce
_______________________________________________________________________
A BILL
To amend the National Telecommunications and Information Administration
Organization Act to establish the Office of Policy Development and
Cybersecurity, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``NTIA Policy and Cybersecurity
Coordination Act''.
SEC. 2. POLICY DEVELOPMENT AND CYBERSECURITY.
(a) Office of Policy Development and Cybersecurity.--Part A of the
National Telecommunications and Information Administration Organization
Act (47 U.S.C. 901 et seq.) is amended by adding at the end the
following:
``SEC. 106. OFFICE OF POLICY DEVELOPMENT AND CYBERSECURITY.
``(a) Establishment.--There shall be within the NTIA an office to
be known as the Office of Policy Development and Cybersecurity (in this
section referred to as the `Office').
``(b) Associate Administrator.--The head of the Office shall be an
Associate Administrator for Policy Development and Cybersecurity (in
this section referred to as the `Associate Administrator'), who shall
report to the Assistant Secretary.
``(c) Duties.--
``(1) In general.--The Associate Administrator shall
oversee and conduct national communications and information
policy analysis and development for the internet and
communications technologies.
``(2) Particular duties.--In carrying out paragraph (1),
the Associate Administrator shall--
``(A) develop, analyze, and advocate for market-
based policies that promote innovation, competition,
consumer access, digital inclusion, workforce
development, and economic growth in the communications,
media, and technology markets;
``(B) conduct studies, as delegated by the
Assistant Secretary or required by Congress, on how
individuals in the United States access and use the
internet, wireline and wireless telephony, mass media,
other digital services, and video services;
``(C) coordinate transparent, consensus-based,
multistakeholder processes to create guidance for and
to support the development and implementation of
cybersecurity and privacy policies with respect to the
internet and other communications networks;
``(D) promote increased collaboration between
security researchers and providers of communications
services and software system developers;
``(E) perform such duties as the Assistant
Secretary considers appropriate relating to the program
for preventing future vulnerabilities established under
section 8(a) of the Secure and Trusted Communications
Networks Act of 2019 (47 U.S.C. 1607(a));
``(F) advocate for policies that promote the
security and resilience to cybersecurity incidents of
communications networks while fostering innovation,
including policies that promote secure communications
network supply chains;
``(G) at the direction of the Assistant Secretary,
present security of the digital economy and
infrastructure and cybersecurity policy efforts before
the Commission, Congress, and elsewhere;
``(H) provide advice and assistance to the
Assistant Secretary in carrying out the policy
responsibilities of the NTIA with respect to
cybersecurity policy matters, including the evaluation
of the impact of cybersecurity matters pending before
the Commission, other Federal agencies, and Congress;
``(I) in addition to the duties described in
subparagraph (H), perform such other duties regarding
the policy responsibilities of the NTIA with respect to
cybersecurity policy matters as the Assistant Secretary
considers appropriate;
``(J) develop policies to accelerate innovation and
commercialization with respect to advances in
technological understanding of communications
technologies;
``(K) identify barriers to trust, security,
innovation, and commercialization with respect to
communications technologies, including access to
capital and other resources, and ways to overcome such
barriers;
``(L) provide public access to relevant data,
research, and technical assistance on innovation and
commercialization with respect to communications
technologies, consistent with the protection of
classified information;
``(M) strengthen collaboration on and coordination
of policies relating to innovation and
commercialization with respect to communications
technologies, including policies focused on the needs
of small businesses and rural communities--
``(i) within the Department of Commerce;
``(ii) between the Department of Commerce
and State government agencies, as appropriate;
and
``(iii) between the Department of Commerce
and the Commission or any other Federal agency
the Assistant Secretary determines to be
necessary; and
``(N) solicit and consider feedback from small and
rural communications service providers, as
appropriate.''.
(b) Transitional Rules.--
(1) Redesignation of associate administrator; continuation
of service.--
(A) Redesignation.--The position of Associate
Administrator for Policy Analysis and Development at
the NTIA is hereby redesignated as the position of
Associate Administrator for Policy Development and
Cybersecurity.
(B) Continuation of service.--The individual
serving as Associate Administrator for Policy Analysis
and Development at the NTIA on the date of the
enactment of this Act shall become, as of such date,
the Associate Administrator for Policy Development and
Cybersecurity.
(2) NTIA defined.--In this subsection, the term ``NTIA''
means the National Telecommunications and Information
Administration.
<all>
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Subsets and Splits