Notices. Notice of petitions for exemption received
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BILLING CODE 4910-13-M DEPARTMENT OF TRANSPORTATION Federal Aviation Administration [Summary Notice No. PE-2007-02] Petitions for Exemption; Summary of Petitions Received AGENCY: Federal Aviation Administration (FAA), DOT. ACTION: Notice of petitions for exemption received. SUMMARY: Pursuant to FAA's rulemaking provisions governing the application, processing, and disposition of petitions for exemption part 11 of Title 14, Code of Federal Regulations (14 CFR), this notice contains a summary of certain petitions seeking relief from specified requirements of 14 CFR.
The purpose of this notice is to improve the public's awareness of, and participation in, this aspect of FAA's regulatory activities. Neither publication of this notice nor the inclusion or omission of information in the summary is intended to affect the legal status of any petition or its final disposition. DATES: Comments on petitions received must identify the petition docket number involved and must be received on or before February 20, 2007. ADDRESSES: You may submit comments [identified by DOT DMS Docket Number FAA-2006-26605] by any of the following methods: *Web Site:* *http://dms.dot.gov* .
Follow the instructions for submitting comments on the DOT electronic docket site. *Fax:* 1-202-493-2251. *Mail:* Docket Management Facility; U.S. Department of Transportation, 400 Seventh Street, SW., Nassif Building, Room PL-401, Washington, DC 20590-001. *Hand Delivery:* Room PL-401 on the plaza level of the Nassif Building, 400 Seventh Street, SW., Washington, DC, between 9 a.m. and 5 p.m., Monday through Friday, except Federal Holidays. *Docket:* For access to the docket to read background documents or comments received, go to *http://dms.dot.gov* at any time or to Room PL-401 on the plaza level of the Nassif Building, 400 Seventh Street, SW., Washington, DC, between 9 a.m. and 5 p.m., Monday through Friday, except Federal Holidays.
FOR FURTHER INFORMATION CONTACT: Tyneka Thomas
(202)267-8033, Sandy Buchanan-Sumter
(202)267-7271, or Frances Shaver
(202)267-9681, Office of Rulemaking (ARM-1), Federal Aviation Administration, 800 Independence Avenue, SW., Washington, DC 20591. This notice is published pursuant to 14 CFR 11.85 and 11.91. Issued in Washington, DC on January 24, 2007. Pamela Hamilton-Powell, Director, Office of Rulemaking. Petitions for Exemption *Docket No.:* FAA-2006-26605. *Petitioner:* Daniel Nachbar. *Section of 14 CFR Affected:* 14 CFR 61.31(c) and 61.31(k)(2)(iii)(B). *Description of Relief Sought:* To allow Mr. Daniel Nachbar, a private pilot, to operate and act as a pilot in command of a steerable lighter-than-air balloon while carrying passengers without a type rating for that aircraft. [FR Doc. E7-1463 Filed 1-30-07; 8:45 am] BILLING CODE 4910-13-P DEPARTMENT OF TRANSPORTATION Federal Highway Administration Environmental Impact Statement: Seattle, WA AGENCY: Federal Highway Administration (FHWA), DOT. ACTION: Rescission of Notice of Intent, FR document 03-10244. SUMMARY: This notice rescinds the previous Notice of Intent issued on April 18, 2003, to prepare an environmental impacts statement
(EIS)for the proposed Magnolia Bridge Replacement transportation project in the city of Seattle, Washington. FOR FURTHER INFORMATION CONTACT: Elizabeth Healy, Area Engineer, Federal Highway Administration, 711 S. Capitol Way, Suite 501, Olympia, WA 98501, Telephone
(360)753-9480 and Ed Conyers, Washington State Department of Transportation, Local Programs Engineer for Northwest Region, P.O. Box 330310, 15700 Dayton Avenue, Seattle, WA 98133, Telephone
(206)440-4734. SUPPLEMENTARY INFORMATION: The FHWA, in cooperation with the Washington State Department of Transportation (WSDOT) and the Seattle Department of Transportation (SDOT), issued a Notice of Intent on April 18, 2003 to prepare an EIS to evaluate the potential environmental impacts associated with the proposed replacement of the Magnolia Bridge, which spans from the intersection of 15th Avenue West and West Garfield Street to the intersection of West Galer Street and Dartmouth Avenue West in Seattle, Washington. The initial proposal included the consideration of four alternatives (three build alternatives and a no action alternative) for evaluation in the proposed EIS. Since then, as the project elements have been refined and completion of associated discipline reports have helped to more specifically identify potential impacts, the build alternative with significant impacts was eliminated from consideration. As such, the FHWA, WSDOT, and SDOT have jointly decided that the project will likely not result in significant impacts to the environment and that an Environmental Assessment
(EA)is the most appropriate environmental document for compliance with the National Environmental Policy Act (NEPA). The EA will be circulated, as appropriate, once it is completed. (Catalog of Federal Domestic Assistance Program Number 20.205, Highway Research, Planning and Construction. The regulations implementing Executive Order 12372 regarding intergovernmental consultation of Federal programs and activities apply to this program.) Authority: 23 U.S.C. 315; 49 CFR 1.48. Issued on: January 25, 2007. Elizabeth Healy, Area Engineer, Federal Highway Administration, Olympia, Washington. [FR Doc. E7-1495 Filed 1-30-07; 8:45 am] BILLING CODE 4910-22-P DEPARTMENT OF TRANSPORTATION Federal Transit Administration [Docket FTA-2007-26859] Notice of Establishment of Emergency Relief Docket for Calendar Year 2007 AGENCY: Federal Transit Administration (FTA), DOT. ACTION: Notice. SUMMARY: As provided for in 49 CFR Part 601, Subpart D, (72 FR 910, Jan. 9, 2007), the Federal Transit Administration
(FTA)must, by January 31 of each calendar year, establish an Emergency Relief Docket so grantees and subgrantees affected by national or regional emergencies may request relief from policy statements, circulars, guidance documents and regulations. By this notice, FTA is establishing an Emergency Relief Docket for calendar year 2007. FOR FURTHER INFORMATION CONTACT: Bonnie L. Graves, Attorney-Advisor, Legislation and Regulations Division, Office of Chief Counsel, Federal Transit Administration, 400 Seventh Street, SW., Room 9316, Washington, DC, 20590, *phone:*
(202)366-4011, *fax:*
(202)366-3809, or e-mail, *Bonnie.Graves@dot.gov.* SUPPLEMENTARY INFORMATION: The Administrator in his/her sole discretion shall determine the need for opening the Emergency Relief Docket. It may be opened at the request of a grantee or subgrantee, or on the Administrator's own initiative. When the Emergency Relief Docket is opened, FTA will post a notice on its Web site, at *www.fta.dot.gov.* In addition, a notice will be posted in the docket. In the event a grantee or subgrantee believes the Emergency Relief Docket should be opened and it has not been opened, that grantee or subgrantee may submit a petition in duplicate to the Administrator, via U.S. mail, to: Federal Transit Administration, 400 Seventh Street, SW., Washington, DC 20590; via telephone, at:
(202)366-4043; or via fax, at
(202)366-3472, requesting opening of the Docket for that emergency and including the information set forth below. All petitions for relief must be posted in the docket in order to receive consideration by FTA. The docket is publicly accessible and can be accessed 24 hours a day, seven days a week, via the Internet at the docket facility's Web site at *http://dms.dot.gov.* Petitions may also be submitted by U.S. mail or by hand delivery to the DOT Docket Management Facility, Room PL-401 (Plaza Level), 400 Seventh Street, SW., Washington, DC 20590. In the event a grantee or subgrantee needs to request immediate relief and does not have access to electronic means to request that relief, the grantee or subgrantee may contact any FTA regional office or FTA headquarters and request that FTA staff submit the petition on their behalf. Any grantee or subgrantee submitting petitions for relief or comments to the docket must include the agency name (Federal Transit Administration) and docket number 26859. Grantees and subgrantees making submissions by mail or hand delivery should submit two copies. A petition for relief shall:
(a)Identify the grantee or subgrantee and its geographic location;
(b)Specifically address how an FTA requirement in a policy statement, circular, or agency guidance will limit a grantee's or subgrantee's ability to respond to an emergency or disaster;
(c)Identify the policy statement, circular, guidance document and/or rule from which the grantee or subgrantee seeks relief; and
(d)Specify if the petition for relief is one-time or ongoing, and if ongoing identify the time period for which the relief is requested. The time period may not exceed three months; however, additional time may be requested through a second petition for relief. A petition for relief will be conditionally granted for a period of three
(3)business days from the date it is submitted to the Emergency Relief Docket. FTA will review the petition after the expiration of the three business days and review any comments submitted thereto. FTA may contact the grantee or subgrantee that submitted the request for relief, or any party that submits comments to the docket, to obtain more information prior to making a decision. FTA shall then post a decision to the Emergency Relief Docket. FTA's decision will be based on whether the petition meets the criteria for use of these emergency procedures, the substance of the request, and the comments submitted regarding the petition. If FTA does not respond to the request for relief to the docket within three business days, the grantee or subgrantee may assume its petition is granted for a period not to exceed three months until and unless FTA states otherwise. FTA reserves the right to reopen any docket and reconsider any decision made pursuant to these emergency procedures based upon its own initiative, based upon information or comments received subsequent to the three business day comment period, or at the request of a grantee or subgrantee upon denial of a request for relief. FTA shall notify the grantee or subgrantee if it plans to reconsider a decision. FTA decision letters, either granting or denying a petition, shall be posted in the appropriate Emergency Relief Docket and shall reference the document number of the petition to which it relates. Issued in Washington, DC this 25th day of January 2007. James S. Simpson, FTA Administrator. [FR Doc. E7-1488 Filed 1-30-07; 8:45 am] BILLING CODE 4910-57-P DEPARTMENT OF TRANSPORTATION National Highway Traffic Safety Administration [Docket No. NHTSA-07-26922] Highway Safety Programs; Conforming Products List of Screening Devices to Measure Alcohol in Bodily Fluids AGENCY: National Highway Traffic Safety Administration, DOT. ACTION: Notice. SUMMARY: This Notice amends and updates the list of devices that conform to the Model Specifications for Screening Devices to Measure Alcohol in Bodily Fluids. EFFECTIVE DATE: January 31, 2007. FOR FURTHER INFORMATION CONTACT: J. De Carlo Ciccel, Impaired Driving Division (NTI-111), National Highway Traffic Safety Administration, 400 Seventh Street, SW., Washington, DC 20590; Telephone:
(202)366-1694. SUPPLEMENTARY INFORMATION: On August 2, 1994, NHTSA published Model Specifications for Screening Devices to Measure Alcohol in Bodily Fluids (59 FR 39382). These specifications established performance criteria and methods for testing alcohol screening devices to measure alcohol content. The specifications support State laws that target youthful offenders ( *e.g.* , “zero tolerance” laws) and the Department of Transportation's workplace alcohol testing program. NHTSA published its first Conforming Products List
(CPL)for screening devices on December 2, 1994 (59 FR 61923, with corrections on December 16, 1994 in 59 FR 65128), identifying the devices that meet NHTSA's Model Specifications for Screening Devices to Measure Alcohol in Bodily Fluids. Five
(5)devices appeared on that first list. Thereafter, NHTSA amended the CPL on August 15, 1995 (60 FR 42214) and on May 4, 2001 (66 FR 22639), adding seven
(7)devices to the CPL in those two
(2)actions. On September 19, 2005, NHTSA published an updated CPL (70 FR 54972), adding several devices to the list and removing several other devices. Subsequently NHTSA discovered an error regarding the name of a device listed on the CPL and republished the CPL on December 5, 2005 (70 FR 72502) to correct the error. Since the publication of the last CPL, NHTSA has evaluated additional devices at the Volpe National Transportation Systems Center (VNTSC) in Cambridge, Massachusetts, resulting in the addition of three
(3)new breath alcohol screening devices to the CPL.
(1)Q3 Innovations, Inc. submitted two
(2)screening devices for testing. Their trade names are: AlcoHAWK Micro and AlcoHAWK Slim. These devices meet the NHTSA Model Specifications for Screening Devices to Measure Alcohol in Bodily Fluids.
(2)Akers Biosciences, Inc. submitted the Breath Alcohol ✓ .02 Detection System for testing. This device meets the NHTSA Model Specifications for Screening Devices to Measure Alcohol in Bodily Fluids. Consistent with paragraphs
(1)and
(2)above, NHTSA amends the Conforming Products List of Screening Devices to Measure Alcohol in Bodily Fluids to read as follows: Conforming Products List of Alcohol Screening Devices Manufacturer Device(s) AK Solutions, Inc., Palisades Park, NJ 1 Alcoscan AL-2500. AlcoChecker. AlcoKey. AlcoMate. AlcoMate Pro. Alcoscan AL-5000. Alcoscan AL-6000. Alco Check International, Hudsonville, MI Alco Check 3000 D.O.T. Alco Check 9000. Akers Biosciences, Inc., Thorofare, NJ Breath Alcohol ✓ .02 Detection System. 2 Chematics, Inc., North Webster, IN ALCO-SCREEN 02 TM. 3 Guth Laboratories, Inc., Harrisburg, PA Alco Tector Mark X. Mark X Alcohol Checker. Alcotector WAT89EC-1. Han International Co., Ltd., Seoul, Korea 4 A.B.I. (Alcohol Breath Indicator). OraSure Technologies, Inc., Bethlehem, PA Q.E.D. A150 Saliva Alcohol Test. PAS Systems International, Inc., Fredericksburg, VA PAS Vr. Q3 Innovations, Inc., Independence, IA 5 AlcoHAWK Precision. AlcoHAWK Slim. AlcoHAWK Elite. AlcoHAWK ABI. AlcoHAWK Micro. AlcoHAWK PRO. Repco Marketing, Inc., Raleigh, NC Alco Tec III. Seju Co. of Taejeon, Korea Safe-Slim. Sound Off, Inc., Hudsonville, MI Digitox D.O.T. Varian, Inc., Lake Forest, CA On-Site Alcohol. 6 1 The AlcoMate was manufactured by Han International of Seoul, Korea, but marketed and sold in the U.S. by AK Solutions. 2 The Breath Alcohol ✓ .02 Detection System consists of a single-use disposable breath tube used in conjunction with an electronic analyzer that determines the test result. The electronic analyzer and the disposable breath tubes are lot specific and manufactured to remain calibrated throughout the shelf-life of the device. This screening device cannot be used after the expiration date. 3 While the ALCO-SCREEN 02 TM saliva-alcohol screening device manufactured by Chematics, Inc. passed the requirements of the Model Specifications when tested at 40 °C (104 °F), the manufacturer has indicated that the device cannot exceed storage temperatures of 27 °C (80 °F). Instructions to this effect are stated on all packaging accompanying the device. Accordingly, the device should not be stored at temperatures above 27 °C (80 °F). If the device is stored at or below 27 °C (80 °F) and used at higher temperatures (i.e., within a minute), the device meets the Model Specifications and the results persist for 10-15 minutes. If the device is stored at or below 27 °C (80 °F) and equilibrated at 40 °C (104 °F) for an hour prior to sample application, the device fails to meet the Model Specifications. Storage at temperatures above 27 °C (80 °F), for even brief periods of time, may result in false negative readings. 4 Han International does not market or sell devices directly in the U.S. market. Other devices manufactured by Han International are listed under AK Solutions, Inc. and Q-3 Innovations, Inc. 5 The AlcoHAWK ABI is the same device as that listed under Han International as the “ABI” and is manufactured for Q-3 Innovations by Han International. The AlcoHAWK PRO is the same device as the AlcoMate marketed and sold by AK Solutions, and also manufactured by Han International. 6 While this device passed all of the requirements of the Model Specifications, readings should be taken only after the time specified by the manufacturer. For valid readings, the user should follow the manufacturer's instructions. Readings should be taken one
(1)minute after a sample is introduced at or above 30°C (86°F); readings should be taken after two
(2)minutes at 18°C-29°C (64.4°-84.2°F); and readings should be taken after five
(5)minutes when testing at temperatures at or below 17°C (62.6°F). If the reading is taken before five
(5)minutes has elapsed under the cold conditions, the user is likely to obtain a reading that underestimates the actual saliva-alcohol level. Issued on: January 24, 2007. Marilena Amoni, Associate Administrator for the Office of Research and Program Development. [FR Doc. E7-1465 Filed 1-30-07; 8:45 am] BILLING CODE 4910-59-P DEPARTMENT OF TRANSPORTATION National Highway Traffic Safety Administration [NHTSA Docket No. NHTSA-2006-26249] Brain Injury Symposium Agenda AGENCY: National Highway Traffic Safety Administration (NHTSA), DOT. ACTION: Agenda for the Meeting Notice. SUMMARY: The National Highway Traffic Safety Administration (NHTSA) announced a two day Brain Injury Symposium to be held in Washington, DC ( **Federal Register** /Vol. 71, No. 217/ Thursday, November 9, 2006/Notices). This notice supplements the agenda for the symposium (see the previous announcement for further information, NHTSA-2006-26249:1). DATES: February 26 and 27, 2007 starting at 9 a.m. on Monday, February 26 and ending at 5 p.m. on Tuesday, February 27, 2007. ADDRESSES: The meeting will be held at: L'Enfant Plaza Hotel, 480 L'Enfant Plaza, SW., Washington, DC 20024. FOR FURTHER INFORMATION: Erik Takhounts, PhD, Office of Applied Vehicle Safety Research, Human Injury Research Division, National Highway Traffic Safety Administration, 400 Seventh Street, SW., Washington, DC 20590. Telephone number
(202)366-4737; E-mail *Erik.Takhounts@dot.gov.* SUPPLEMENTARY INFORMATION: Program Day 1: Monday, February 26, 2007 Room—Quorum 8 a.m.-9 a.m. Refreshments. 9 a.m.-9:15 a.m. Opening Remarks. R. Medford. Senior Associate Administrator, National Highway Traffic Safety Administration “Welcoming remarks.” 9:15 a.m.-10:15 a.m. Session I. S. Ridella, Human Injury Research Division, National Highway Traffic Safety Administration “Overview of NHTSA activities related to brain injury research.” E. Takhounts, Human Injury Research Division, National Highway Traffic Safety Administration “Brain injury research at NHTSA: modeling efforts.” T. Gennare III, Medical College of Wisconsin, “Overview of previous and current research in brain injury biomechanics.” 10:15 a.m.-10:35 a.m. Break. 10:35 a.m.-11:35 a.m. Session II. A. King, Wayne State University, “Overview of WSU current research: modeling, tissue level injuries.” R. Willinger, University of Louis Pasteur-Strasbourg, “Overview of ULP head injury criteria research and European perspectives.” 11:35 a.m.-1:30 p.m. Lunch [on your own] 1:30 p.m.-3 p.m. Session III. J. Melvin, Tandelta, “Brain injuries in race car drivers.” R. Nightingale, Duke University, “Neck as a delivery device for head; pediatric brain research.” S. Margulies, University of Pennsylvania, “Pediatric brain injury research; tissue level brain injuries.” 3 p.m.-3:20 p.m. Break. 3:20 p.m.-4:20 p.m. Session IV. S. Duma, Virginia Tech, “Brain injuries in college football players.” B. Morrison III, Columbia University, “Advances in cellular brain injury biomechanics.” 4:20 p.m.-5 p.m. Discussion and Concluding Remarks. Ridella/Takhounts: Announcements of the working groups for the next day: Injury Mechanisms and Criteria, Modeling, and Dummy development; discussion of the presentations and working groups, selection of the group members and conformation of leaders. Day 2: Tuesday, February 27, 2007 Rooms—Montcalm, Lasalle, Lafayette 8 a.m.-9 a.m. Refreshments. 9 a.m.-12 p.m. Working in Breakout Groups. Discussion of the respective topics, research needs for the short-, mid-, and long-terms. 10:30 a.m.-10:50 a.m. Break. Continuing discussion of the respective topics. 12 p.m.-1:30 p.m. Lunch [on your own]. 1:30 p.m.-3 p.m. Working in Breakout Groups. Preparation of the resolution in each group. 3 p.m.-3:20 p.m. Break. 3:20 p.m.-5 p.m. Discussion and Concluding Remarks. BALL Rooms C and D. Ridella/Takhounts: Putting it all together, concluding remarks. Issued on: January 25, 2007. William T. Hollowell, Director, Office of Applied Vehicle Safety Research. [FR Doc. E7-1491 Filed 1-30-07; 8:45 am] BILLING CODE 4910-59-P DEPARTMENT OF THE TREASURY Office of Foreign Assets Control Additional Designation of Individuals and Entity Pursuant to Executive Order 13224 AGENCY: Office of Foreign Assets Control, Treasury. ACTION: Notice. SUMMARY: The Treasury Department's Office of Foreign Assets Control (“OFAC”) is publishing the names of two newly-designated individuals and one newly-designated entity whose property and interests in property are blocked pursuant to Executive Order 13224 of September 23, 2001, “Blocking Property and Prohibiting Transactions With Persons Who Commit, Threaten To Commit, or Support Terrorism.” DATES: The designation by the Secretary of the Treasury of two individuals and one entity identified in this notice, pursuant to Executive Order 13224, is effective on January 26, 2007. FOR FURTHER INFORMATION CONTACT: Assistant Director, Compliance Outreach & Implementation, Office of Foreign Assets Control, Department of the Treasury, Washington, DC 20220, tel.: 202/622-2490. SUPPLEMENTARY INFORMATION: Electronic and Facsimile Availability This document and additional information concerning OFAC are available from OFAC's Web site ( *www.treas.gov/ofac* ) or via facsimile through a 24-hour fax-on-demand service, tel.: 202/622-0077. Background On September 23, 2001, the President issued Executive Order 13224 (the “Order”) pursuant to the International Emergency Economic Powers Act, 50 U.S.C. 1701-1706, and the United Nations Participation Act of 1945, 22 U.S.C. 287c. In the Order, the President declared a national emergency to address grave acts of terrorism and threats of terrorism committed by foreign terrorists, including the September 11, 2001, terrorist attacks in New York, Pennsylvania, and at the Pentagon. The Order imposes economic sanctions on persons who have committed, pose a significant risk of committing, or support acts of terrorism. The President identified in the Annex to the Order, as amended by Executive Order 13268 of July 2, 2002, 13 individuals and 16 entities as subject to the economic sanctions. The Order was further amended by Executive Order 13284 of January 23, 2003, to reflect the creation of the Department of Homeland Security. Section 1 of the Order blocks, with certain exceptions, all property and interests in property that are in or hereafter come within the United States or the possession or control of United States persons, of:
(1)Foreign persons listed in the Annex to the Order;
(2)foreign persons determined by the Secretary of State, in consultation with the Secretary of the Treasury, the Secretary of the Department of Homeland Security and the Attorney General, to have committed, or to pose a significant risk of committing, acts of terrorism that threaten the security of U.S. nationals or the national security, foreign policy, or economy of the United States;
(3)persons determined by the Secretary of the Treasury, in consultation with the Secretary of State, the Secretary of the Department of Homeland Security and the Attorney General, to be owned or controlled by, or to act for or on behalf of those persons listed in the Annex to the Order or those persons determined to be subject to subsection 1(b), 1(c), or 1(d)(i) of the Order; and
(4)except as provided in section 5 of the Order and after such consultation, if any, with foreign authorities as the Secretary of State, in consultation with the Secretary of the Treasury, the Secretary of the Department of Homeland Security and the Attorney General, deems appropriate in the exercise of his discretion, persons determined by the Secretary of the Treasury, in consultation with the Secretary of State, the Secretary of the Department of Homeland Security and the Attorney General, to assist in, sponsor, or provide financial, material, or technological support for, or financial or other services to or in support of, such acts of terrorism or those persons listed in the Annex to the Order or determined to be subject to the Order or to be otherwise associated with those persons listed in the Annex to the Order or those persons determined to be subject to subsection 1(b), 1(c), or 1(d)(i) of the Order. On January 26, 2007, the Secretary of the Treasury, in consultation with the Secretary of State, the Secretary of the Department of Homeland Security, the Attorney General, and other relevant agencies, designated, pursuant to one or more of the criteria set forth in subsections 1(b), 1(c) or 1(d) of the Order, two individuals and one entity whose property and interests in property are blocked pursuant to Executive Order 13224. The list of additional designees follows: Individuals DOCKRAT, Farhad Ahmed (a.k.a. DOCKRAT, Ahmed; a.k.a. DOCKRAT, Farhaad; a.k.a. DOCKRAT, Farhaad Ahmed; a.k.a. DOCKRAT, Farhad; a.k.a. DOCKRAT, Farhad Ahmad; a.k.a. DOCKRAT, Maulana Farhad; a.k.a. DOCRATE, Farhad; a.k.a. “DOCKRAT, F.”), 386 Swanepoel Street, Erasmia, Pretoria, South Africa; DOB 28 Feb 1959; POB Pretoria, South Africa; nationality South Africa; National ID No. 5902285162089/055 (South Africa); Passport 446333407 (South Africa) expires 26 May 2014. DOCKRAT, Junaid Ismail (a.k.a. DOCKRAT, Junaid; a.k.a. DOCRATE, Junaid; a.k.a. “AHMED, DR.”; a.k.a. “DOCKRAT, J. I.”), 71 Fifth Avenue, Mayfair 2108, South Africa; P.O. Box 42928, Fordsburg 2033, South Africa; Johannesburg, South Africa; DOB 16 Mar 1971; National ID No. 7103165178083 (South Africa). Entity SNIPER AFRICA (a.k.a. SNIPER OUTDOOR CC; a.k.a. SNIPER OUTDOORS CC; a.k.a. TRUE MOTIVES 1236 CC), P.O. Box 28215, Kensington 2101, South Africa; 40 Mint Road, Amoka Gardens, Fordsburg, Johannesburg, South Africa; P.O. Box 42928, Fordsburg 2003, South Africa; 16 Gold Street, Carletonville 2500, South Africa; Registration ID 200302847123; Tax ID No. 9113562152; Web site *http://www.sniperafrica.com.* Dated: January 26, 2007. J. Robert McBrien, Acting Director, Office of Foreign Assets Control. [FR Doc. 07-422 Filed 1-30-07; 8:45 am]
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- 49 CFR 1.48
- 49 CFR 601
- 50 USC 1701-1706
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Notices
Notice of petitions for exemption received
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