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Coast Guard published Policy Letter 23-05 which provides the first actual guidance for vessel owners and operators on the expectations for the surveillance equipment that they are required to install and maintain under the Safer Seas Act, which became law in December 2022 as part of the James M. On November 13, 2023, the U.S. 1331(a))). .
The regulations also provide for other miscellaneous provisions, such as those relating to confidentiality of documents and prescription of violations. . § 30:2044, the regulations provide for the reduction or elimination of civil penalties for certain violations disclosed to LDEQ as the result of a voluntary environmental self-audit.
Among the requirements set forth in the draft guidance are BOEM recommendations on providing financial compensation to fishermen during construction, operations, and decommissioning if a project is likely to result in lost income to commercial and recreational fisheries. BOEM also recommends gear loss and damage payments.
documented under U.S. On May 25, 2023, the Nation’s first U.S.-built built offshore wind substation departed from a Texas fabrication facility where Danish multinational energy company, Ørsted, and domestic energy provider, Eversource, partnered to build the revolutionary vessel. the largest U.S. the largest U.S. 1331 et seq. back in 2021.
A Class VI Underground Injection Control permit is required prior to drilling and operating a Class VI well for CCUS operations. Louisiana began this process last year, sending drafts of primacy documents to the EPA for review at the end of 2020.
A Class VI Underground Injection Control permit is required prior to drilling and operating a Class VI well for CCUS operations. Louisiana began this process last year, sending drafts of primacy documents to the EPA for review at the end of 2020.
The court stated, “[W]e find the directives from the Louisiana Supreme Court in Save Ourselves ,… which require consideration of ‘economic, social, and other factors,’ broad enough to include an analysis of environmental justice, as defined by the EPA.” The First Circuit opinion firmly answered this question yes.On What is EJ?
The Bureau of Ocean Energy Management (BOEM), a sub-agency within Interior, promulgated regulations in 2009 which set forth the procedure for leasing, siting, construction, and operation of offshore wind projects. The Construction and Operations Plan for this project was approved by BOEM in 2021. Over the past year, the U.S.
As part of this, the Energy Act 2016 requires each UKCS operator to appoint a named Information and Samples Coordinator (ISC), who is responsible for reporting petroleum-related information to NSTA. The North Sea Transition Authority are the UKs oil, gas and carbon storage regulator, tasked with driving the energy transition in the North Sea.
As part of this, the Energy Act 2016 requires each UKCS operator to appoint a named Information and Samples Coordinator (ISC), who is responsible for reporting petroleum-related information to NSTA. The North Sea Transition Authority are the UKs oil, gas and carbon storage regulator, tasked with driving the energy transition in the North Sea.
A Class VI Underground Injection Control permit is required prior to drilling and operating a Class VI well for CCUS operations. Louisiana began this process last year, sending drafts of primacy documents to the EPA for review at the end of 2020.
Secretary Salazar originally intended the IRU’s functions to continue within the three new bureaus; however, as of fiscal year 2013, the IRU was operating only within BSEE (PDF). The head of the IRU reports to the BSEE Director. The IRU staff includes a federal criminal prosecutor and experienced law enforcement agents. In particular, Rep.
In the next few days, the Bureau of Ocean Energy Management (BOEM) will publish in the Federal Register a Proposed Rule that would result in a significant change on how the agency regulates air emissions from oil and gas operations on the Outer Continental Shelf (OCS), in the Central and Western Gulf of Mexico (GOM). 1334(a)(8). 1334(a)(8).
The SEC found in both instances that the advisers “violated Section 206(2) of the Advisers Act, which prohibits an investment adviser from “engag[ing] in any transaction, practice, or course of business which operates as a fraud or deceit upon any client or prospective client.” There is a lot of data that we did not publish.
Companies are grappling with a multitude of issues — from the health and safety of employees to increased cyber security risks to financial and operational stability. It has been an extraordinary few weeks as businesses face challenges presented by the COVID-19 outbreak. Margin Calls. Force Majeure and Impossibility.
The path to this Proposed Rule has been long and winding, beginning in 2014 with BOEM resisting making changes through formal notice and comment rulemaking pursuant to the Administrative Procedures Act, and instead continuing to regulate this issue through Notice to Lessee (“NTL”) guidance documents.
How Should I Change My Operations during the Pandemic? What Changes Should I Make to Employee Operations? In response to the continuing COVID-19 epidemic, the United States Coast Guard, Centers for Disease Control and Prevention, U.S. Equal Employment Opportunity Commission, and U.S.
In Petro-Chem Operating Co., 1] In the case, an operator initiated a concursus action seeking to resolve ownership interest in minerals underlying property on which it was operating. Flat River Farms, L.L.C. , Flat River Farms, L.L.C. , 12] In its analysis, the Court first looked to the pertinent language of La.
Bradford, New IRS Guidance on Obtaining Refunds for Net Operating Loss Carrybacks, Corporate AMT Carryforward Credits and Filing Amended Returns for Partnerships ( the “ Prior Blog Post ”). [1] Individual Income Tax Return ( “ Form 1040-X ” ) will be processed when normal IRS operations resume.
In addition, the Report advocated a theory that defendants’ historic operations where not “lawfully commenced,” and therefore these pre-SLCRMA operations were not exempt from the SLCRMA’s requirements. Unlike Riverwood , the Auster court found defendants’ removal was timely based on the Report. 1446(b)(3).
The path to this Proposed Rule has been long and winding, beginning in 2014 with BOEM resisting making changes through formal notice and comment rulemaking pursuant to the Administrative Procedures Act, and instead continuing to regulate this issue through Notice to Lessee (“NTL”) guidance documents.
including the existence, description, nature, custody, condition, and location of any documents or other tangible things and the identity and location of persons who know of any discoverable matter. A complete set of the amended and adopted rules may be accessed by clicking here. [1]
As examples, the following are the types of notices and disclosures that this relief applies to: SPDs, SMMs, Summary Annual Reports, Annual Funding Notices, QDIA notices, participant fee disclosures, claims and appeals procedure extension and denial notices, and responses to requests for plan documents.
The preliminary definition of a “reporting company” includes corporations, limited liability companies, and other similar entities that are created by filing a document with the secretary of state (or an equivalent office) of any state, or are formed under foreign law and are registered to do business in the United States in a like manner.
This document contains proposed strategies and specific actions across several priority areas to be considered in reducing greenhouse gas emissions. Carbon capture can use a variety of techniques to remove emissions from industrial and power production operations post-combustion. The period for public comment ends on October 8 th.
The preliminary definition of a “reporting company” includes corporations, limited liability companies, and other similar entities that are created by filing a document with the secretary of state (or an equivalent office) of any state, or are formed under foreign law and are registered to do business in the United States in a like manner.
Most provisions of the Safer Seas Act became enforceable as soon as the Act was passed, meaning vessels and operators already need to be following the requirements for reporting, signage, crew training, SMS updates, and master key control systems. 3 : USCG Oversight of Safety Management Systems on U.S. This deadline is December 23, 2024.
Day-to-day life has been dramatically impacted by the coronavirus disease 2019 (COVID-19), and many courts in Louisiana and Texas have been forced to close or limit operations in conjunction with stay-at-home orders. A brief discussion of how COVID-19 has affected Louisiana and Texas courts is discussed here.
The equity for these LLCs is known as “membership interests” but may be referred to in the LLC operating agreement as “units”. Many LLC operating agreements provide for the issuance of additional membership interests or units, but may not provide for the issuance of a different class of membership interests or units.
The forgiveness amount of such non-payroll costs may be further limited by any amounts attributable to the business operation of a tenant or sub-tenant of the borrower or by certain payments to related entities (e.g., The total amount of potential forgiveness is capped at the original principal balance of the PPP loan, plus accrued interest.
Defendants in such cases could avoid additional cleanup responsibility by operation of law as well as doctrines of res judicata and issue preclusion. The result was that contaminated property at issue in litigation was left unremediated despite conditions that exceeded regulatory standards. The legislature responded by enacting Act 312.
Along with your application, you will need to submit documentation supporting both: (1) your average monthly payroll cost, and (2) the fact that you were in operation with employees on February 15, 2020. Small Business Administration (SBA) called the Paycheck Protection Program (PPP).
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