{"description":"Documents matching 'compliance compounding ongoing failure provide'","count":3094,"total_pages":50,"next_page_url":"https://www.federalregister.gov/api/v1/documents?conditions%5Bterm%5D=compliance+compounding+ongoing+failure+provide&format=json&page=2","results":[{"title":"Agency Information Collection Activities; Proposed Collection; Comment Request; Obtaining Information To Understand Challenges and Opportunities Encountered by Compounding Outsourcing Facilities","type":"Notice","abstract":"The Food and Drug Administration (FDA, Agency, or we) is announcing an opportunity for public comment on the proposed collection of certain information by the Agency. Under the Paperwork Reduction Act of 1995 (PRA), Federal Agencies are required to publish notice in the Federal Register concerning each proposed collection of information, including each proposed extension of an existing collection of information, and to allow 60 days for public comment in response to the notice. This notice solicits comments on the information collection associated with FDA research in obtaining information from pharmacists and other management at outsourcing facilities and related human prescription drug compounding businesses. The research supports a comprehensive analysis of the outsourcing facility sector that informs ongoing FDA work in this area.","document_number":"2024-19870","html_url":"https://www.federalregister.gov/documents/2024/09/05/2024-19870/agency-information-collection-activities-proposed-collection-comment-request-obtaining-information","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-09-05/pdf/2024-19870.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-19870.pdf?1725453921","publication_date":"2024-09-05","agencies":[{"raw_name":"DEPARTMENT OF HEALTH AND HUMAN SERVICES","name":"Health and Human Services Department","id":221,"url":"https://www.federalregister.gov/agencies/health-and-human-services-department","json_url":"https://www.federalregister.gov/api/v1/agencies/221","parent_id":null,"slug":"health-and-human-services-department"},{"raw_name":"Food and Drug Administration","name":"Food and Drug Administration","id":199,"url":"https://www.federalregister.gov/agencies/food-and-drug-administration","json_url":"https://www.federalregister.gov/api/v1/agencies/199","parent_id":221,"slug":"food-and-drug-administration"}],"excerpts":"implement programs to support <span class=\"match\">compounding</span> quality and <span class=\"match\">compliance</span>. One initiative is FDA's <span class=\"match\">Compounding</span> Quality Center of Excellence (Center of Excellence), \n https://www.fda.gov/drugs/human-drug-<span class=\"match\">compounding</span>/<span class=\"match\">compounding</span>-quality-center-excellence, which was \n developed to focus on improving the quality of <span class=\"match\">compounded</span> human prescription drugs to promote patient safety. One of our top priorities is to help ensure that <span class=\"match\">compounded</span> drugs are safe by focusing on quality. FDA, state regulators, pharmacy associations, and <span class=\"match\">compounders</span>, including outsourcing facilities"},{"title":"Agency Information Collection Activities; Submission for Office of Management and Budget Review; Comment Request; Human Drug Compounding Under Sections 503A and 503B of the Federal Food, Drug, and Cosmetic Act","type":"Notice","abstract":"The Food and Drug Administration (FDA) is announcing that a proposed collection of information has been submitted to the Office of Management and Budget (OMB) for review and clearance under the Paperwork Reduction Act of 1995.","document_number":"2026-03448","html_url":"https://www.federalregister.gov/documents/2026/02/23/2026-03448/agency-information-collection-activities-submission-for-office-of-management-and-budget-review","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-02-23/pdf/2026-03448.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-03448.pdf?1771595110","publication_date":"2026-02-23","agencies":[{"raw_name":"DEPARTMENT OF HEALTH AND HUMAN SERVICES","name":"Health and Human Services Department","id":221,"url":"https://www.federalregister.gov/agencies/health-and-human-services-department","json_url":"https://www.federalregister.gov/api/v1/agencies/221","parent_id":null,"slug":"health-and-human-services-department"},{"raw_name":"Food and Drug Administration","name":"Food and Drug Administration","id":199,"url":"https://www.federalregister.gov/agencies/food-and-drug-administration","json_url":"https://www.federalregister.gov/api/v1/agencies/199","parent_id":221,"slug":"food-and-drug-administration"}],"excerpts":"medication tailored to the needs of an individual patient. Although <span class=\"match\">compounded</span> drugs can serve an important medical need for certain patients, they also present risk. Our <span class=\"match\">compounding</span> program aims to protect patients from unsafe, ineffective, and poor quality <span class=\"match\">compounded</span> drugs, while preserving access to lawfully-marketed <span class=\"match\">compounded</span> drugs for patients who have a medical need for them.\n \n Respondents to the information collection are those engaged in the practice of pharmacy <span class=\"match\">compounding</span>. The information collection is intended to account for burden attributable"},{"title":"Permitted Payment Stablecoin Issuer Anti-Money Laundering/Countering the Financing of Terrorism Program and Sanctions Compliance Program Requirements","type":"Proposed Rule","abstract":"The Department of the Treasury's Financial Crimes Enforcement Network (FinCEN) and Office of Foreign Assets Control (OFAC) are jointly issuing this proposed rule to implement provisions of the Guiding and Establishing National Innovation for U.S. Stablecoins Act (GENIUS Act). Specifically, it implements the GENIUS Act's directive to treat permitted payment stablecoin issuers (PPSIs) as financial institutions for purposes of the Bank Secrecy Act, proposes anti-money laundering obligations for PPSIs, and proposes certain specific obligations required by the GENIUS Act for PPSIs. It also implements the GENIUS Act's directive to require PPSIs to maintain effective sanctions compliance programs.","document_number":"2026-06963","html_url":"https://www.federalregister.gov/documents/2026/04/10/2026-06963/permitted-payment-stablecoin-issuer-anti-money-launderingcountering-the-financing-of-terrorism","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-04-10/pdf/2026-06963.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-06963.pdf?1775738715","publication_date":"2026-04-10","agencies":[{"raw_name":"DEPARTMENT OF THE TREASURY","name":"Treasury Department","id":497,"url":"https://www.federalregister.gov/agencies/treasury-department","json_url":"https://www.federalregister.gov/api/v1/agencies/497","parent_id":null,"slug":"treasury-department"},{"raw_name":"Office of Foreign Assets Control","name":"Foreign Assets Control Office","id":203,"url":"https://www.federalregister.gov/agencies/foreign-assets-control-office","json_url":"https://www.federalregister.gov/api/v1/agencies/203","parent_id":497,"slug":"foreign-assets-control-office"},{"raw_name":"Financial Crimes Enforcement Network","name":"Financial Crimes Enforcement Network","id":194,"url":"https://www.federalregister.gov/agencies/financial-crimes-enforcement-network","json_url":"https://www.federalregister.gov/api/v1/agencies/194","parent_id":497,"slug":"financial-crimes-enforcement-network"}],"excerpts":"implement the GENIUS Act's instructions is to delineate effective sanctions <span class=\"match\">compliance</span> elements that <span class=\"match\">provide</span> PPSIs discretion to make risk-based judgments in light of, among other factors, their size and complexity.\n \n \n \n 283 \n  12 U.S.C. 5903(a)(5)(A)(vi).\n \n \n \n \n 284 \n  12 U.S.C. 5903(a)(5)(B).\n \n \n \n In 2019, OFAC published “A Framework for OFAC <span class=\"match\">Compliance</span> Commitments” (the “2019 <span class=\"match\">Compliance</span> Framework”) to support the regulated public's development of effective sanctions <span class=\"match\">compliance</span> programs with guidance on tailoring risk-based principles to an organization's"},{"title":"Certificates of Compliance","type":"Rule","abstract":"In consultation with U.S. Customs and Border Protection (CBP), the U.S. Consumer Product Safety Commission (Commission or CPSC) issues this final rule (the Final Rule) to revise the agency's regulation for Certificates of Compliance (certificates). The Final Rule aligns CPSC's current certificates rule with other CPSC rules on testing and certification, and implements, for importation of products and substances regulated by CPSC, electronic filing of certificates (eFiling) with CBP.","document_number":"2024-30826","html_url":"https://www.federalregister.gov/documents/2025/01/08/2024-30826/certificates-of-compliance","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-01-08/pdf/2024-30826.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-30826.pdf?1736257516","publication_date":"2025-01-08","agencies":[{"raw_name":"CONSUMER PRODUCT SAFETY COMMISSION","name":"Consumer Product Safety Commission","id":84,"url":"https://www.federalregister.gov/agencies/consumer-product-safety-commission","json_url":"https://www.federalregister.gov/api/v1/agencies/84","parent_id":null,"slug":"consumer-product-safety-commission"}],"excerpts":"manufacturer (including importer) or private labeler issuing the certificate must <span class=\"match\">provide</span> a copy of the certificate to the Commission. 15 U.S.C. 2063(g)(3). Finally, section 14(g)(4) of the CPSA states that in consultation with the Commissioner of Customs, CPSC may, by rule, <span class=\"match\">provide</span> for the electronic filing of certificates up to 24 hours before arrival of an imported product. Upon request, the manufacturer (including importer) or private labeler issuing the certificate must <span class=\"match\">provide</span> a copy of such certificate to the Commission and to CBP. 15 U.S.C. 2063(g)(4)"},{"title":"No-Migration Variance From Land Disposal Restrictions for Clean Harbors Lone Mountain, Oklahoma","type":"Proposed Rule","abstract":"The Environmental Protection Agency (EPA) is proposing to grant, with conditions, no-migration variances for nine categories/ groups of wastes, containing up to a combined 100 temporary disposal units (\"put piles\") at any one time, from the Resource Conservation and Recovery Act (RCRA) Land Disposal Restrictions (LDR) standards at Clean Harbors' Lone Mountain (Clean Harbors) commercial treatment, storage and disposal facility (TSDF) in Waynoka, Oklahoma. These variances will allow Clean Harbors to temporarily store treated hazardous wastes that are awaiting LDR compliance verification in put piles within its Subtitle C (hazardous waste) landfill. The petitioner demonstrated, to a reasonable degree of certainty, that there will be no migration of hazardous constituents from the put piles for as long as the wastes remain hazardous. Additionally, once LDR compliance is verified, the put piles will be disposed within the onsite RCRA hazardous waste landfill area and will be subject to the conditions set out in the Compliance Monitoring Plan section of this document.","document_number":"2025-22553","html_url":"https://www.federalregister.gov/documents/2025/12/11/2025-22553/no-migration-variance-from-land-disposal-restrictions-for-clean-harbors-lone-mountain-oklahoma","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-12-11/pdf/2025-22553.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-22553.pdf?1765374330","publication_date":"2025-12-11","agencies":[{"raw_name":"ENVIRONMENTAL PROTECTION AGENCY","name":"Environmental Protection Agency","id":145,"url":"https://www.federalregister.gov/agencies/environmental-protection-agency","json_url":"https://www.federalregister.gov/api/v1/agencies/145","parent_id":null,"slug":"environmental-protection-agency"}],"excerpts":"treated hazardous wastes that are awaiting LDR <span class=\"match\">compliance</span> verification in put piles within its Subtitle C (hazardous waste) landfill. The petitioner demonstrated, to a reasonable degree of certainty, that there will be no migration of hazardous constituents from the put piles for as long as the wastes remain hazardous. Additionally, once LDR <span class=\"match\">compliance</span> is verified, the put piles will be disposed within the onsite RCRA hazardous waste landfill area and will be subject to the conditions set out in the <span class=\"match\">Compliance</span> Monitoring Plan section of this document"},{"title":"Waste Emissions Charge for Petroleum and Natural Gas Systems: Procedures for Facilitating Compliance, Including Netting and Exemptions","type":"Rule","abstract":"The Environmental Protection Agency (EPA) is promulgating a regulation to facilitate compliance with the requirements of the Waste Emissions Charge in the Clean Air Act's (CAA) Methane Emissions Reduction Program (MERP). Enacted as part of the Inflation Reduction Act (IRA), this program requires the EPA to impose and collect an annual charge on methane emissions that exceed waste emissions thresholds specified by Congress.","document_number":"2024-26643","html_url":"https://www.federalregister.gov/documents/2024/11/18/2024-26643/waste-emissions-charge-for-petroleum-and-natural-gas-systems-procedures-for-facilitating-compliance","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-11-18/pdf/2024-26643.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-26643.pdf?1731678322","publication_date":"2024-11-18","agencies":[{"raw_name":"ENVIRONMENTAL PROTECTION AGENCY","name":"Environmental Protection Agency","id":145,"url":"https://www.federalregister.gov/agencies/environmental-protection-agency","json_url":"https://www.federalregister.gov/api/v1/agencies/145","parent_id":null,"slug":"environmental-protection-agency"}],"excerpts":"measure <span class=\"match\">compliance</span>, for example, until that <span class=\"match\">compliance</span> date arrives. Similarly, some “methane emission requirements pursuant to [section 111(b)],” have tiered <span class=\"match\">compliance</span> dates, meaning that the <span class=\"match\">compliance</span> dates vary between emissions sources. In such case, the WEC applicable facility is only eligible for the regulatory <span class=\"match\">compliance</span> exemption once the <span class=\"match\">compliance</span> dates for all CAA section 111(b) and (d) sources have occurred and the Administrator determinations have been made. In sum, the EPA concludes that the best reading of “in <span class=\"match\">compliance</span>” means that"},{"title":"Enhanced Air Cargo Advance Screening (ACAS)","type":"Rule","abstract":"To address ongoing aviation security threats, U.S. Customs and Border Protection (CBP) is amending its regulations pertaining to the Air Cargo Advance Screening (ACAS) program to require the transmission of additional data elements. The ACAS program enhances the security of flights carrying cargo into the United States by requiring the transmission of certain air cargo data and performing targeted risk assessments based on the transmitted data prior to an aircraft's departure for the United States. These risk assessments identify and prevent high-risk air cargo from being loaded onto an aircraft that could pose a risk to an aircraft during flight.","document_number":"2025-20606","html_url":"https://www.federalregister.gov/documents/2025/11/21/2025-20606/enhanced-air-cargo-advance-screening-acas","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-11-21/pdf/2025-20606.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-20606.pdf?1763646322","publication_date":"2025-11-21","agencies":[{"raw_name":"DEPARTMENT OF HOMELAND SECURITY","name":"Homeland Security Department","id":227,"url":"https://www.federalregister.gov/agencies/homeland-security-department","json_url":"https://www.federalregister.gov/api/v1/agencies/227","parent_id":null,"slug":"homeland-security-department"},{"raw_name":"U.S. Customs and Border Protection","name":"U.S. Customs and Border Protection","id":501,"url":"https://www.federalregister.gov/agencies/u-s-customs-and-border-protection","json_url":"https://www.federalregister.gov/api/v1/agencies/501","parent_id":227,"slug":"u-s-customs-and-border-protection"}],"excerpts":"identifies the product. If an ACAS filer <span class=\"match\">provides</span> an inactive or defective URL, this data element is not satisfied because the regulatory text requires the transmission of the URL of the product, hence, an active link that CBP could use to reference the product. CBP recognizes that the business practices of e-commerce platforms may require the <span class=\"match\">ongoing</span> modification of a product's URL. Thus, the link to product listing data element also <span class=\"match\">provides</span> for the transmission of a SKU, so long as the ACAS filer <span class=\"match\">provides</span> the home page of the e-commerce platform"},{"title":"National Emission Standards for Hazardous Air Pollutants: Chemical Manufacturing Area Sources Technology Review","type":"Rule","abstract":"The Environmental Protection Agency (EPA) is finalizing amendments to the National Emission Standards for Hazardous Air Pollutants (NESHAP) for the Chemical Manufacturing Area Source (CMAS) categories pursuant to a technology review under Clean Air Act (CAA) section 112(d)(6). Specifically, the EPA is finalizing new leak detection and repair (LDAR) requirements for equipment leaks and heat exchange systems in organic hazardous air pollutant (HAP) service. In addition, the EPA is taking final action to add standards for pressure relief devices (PRDs) and pressure vessels; require electronic reporting for notification of compliance status (NOCS), performance test reports, and periodic reports; and require continuous performance testing of non-flare air pollution control devices (APCD). The EPA is not finalizing the proposed area source category for chemical manufacturing with ethylene oxide (EtO) or related standards at this time.","document_number":"2026-06304","html_url":"https://www.federalregister.gov/documents/2026/04/01/2026-06304/national-emission-standards-for-hazardous-air-pollutants-chemical-manufacturing-area-sources","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-04-01/pdf/2026-06304.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-06304.pdf?1774961115","publication_date":"2026-04-01","agencies":[{"raw_name":"ENVIRONMENTAL PROTECTION AGENCY","name":"Environmental Protection Agency","id":145,"url":"https://www.federalregister.gov/agencies/environmental-protection-agency","json_url":"https://www.federalregister.gov/api/v1/agencies/145","parent_id":null,"slug":"environmental-protection-agency"}],"excerpts":"each source as defined in § 63.191, beginning no later than the <span class=\"match\">compliance</span> dates specified in § 63.100(k)(10)” with “For each affected source as described in § 63.11494(d), beginning no later than the <span class=\"match\">compliance</span> dates specified in § 63.11494(i)”. \n (F) Substitute “After the <span class=\"match\">compliance</span> dates specified in § 63.100 of subpart F of this part” with “After the <span class=\"match\">compliance</span> dates specified in § 63.11494(i)”. \n (G) Substitute “periodic report required by § 63.182(d)” with “semiannual <span class=\"match\">compliance</span> report required by paragraph (a)(6)(xiv) of this section”. \n (x)"},{"title":"Pipeline Safety: Guidance for Enhancing the Effectiveness of Distribution Integrity Management Programs","type":"Notice","abstract":"PHMSA issues this advisory bulletin to remind owners and operators of gas distribution systems of the distribution integrity management program (DIMP) requirements under 49 CFR part 192, subpart P. The guidance is intended to improve implementation of DIMP risk evaluations by addressing factors such as high-risk infrastructure, interactive threats, and leak management effectiveness. In addition, the guidance urges pipeline operators to adopt the most appropriate risk models for use within their integrity management programs, with full consideration of probabilistic risk models.","document_number":"2026-14071","html_url":"https://www.federalregister.gov/documents/2026/07/13/2026-14071/pipeline-safety-guidance-for-enhancing-the-effectiveness-of-distribution-integrity-management","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-07-13/pdf/2026-14071.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-14071.pdf?1783687517","publication_date":"2026-07-13","agencies":[{"raw_name":"DEPARTMENT OF TRANSPORTATION","name":"Transportation Department","id":492,"url":"https://www.federalregister.gov/agencies/transportation-department","json_url":"https://www.federalregister.gov/api/v1/agencies/492","parent_id":null,"slug":"transportation-department"},{"raw_name":"Pipeline and Hazardous Materials Safety Administration","name":"Pipeline and Hazardous Materials Safety Administration","id":408,"url":"https://www.federalregister.gov/agencies/pipeline-and-hazardous-materials-safety-administration","json_url":"https://www.federalregister.gov/api/v1/agencies/408","parent_id":492,"slug":"pipeline-and-hazardous-materials-safety-administration"}],"excerpts":"because factors impacting the likelihood and consequence of <span class=\"match\">failure</span> from one threat may be intensified by factors impacting the likelihood and consequence of <span class=\"match\">failure</span> from another threat. Interactive threats may result in an otherwise premature <span class=\"match\">failure</span> at a location on the pipeline.\n 21 \n \n Typical pipeline threats include corrosion, natural forces (including soil movement), excavation damage, other outside force damage (\n e.g. \n vehicle impacts), material or weld defects, equipment <span class=\"match\">failure</span>, incorrect operations, and any other issues that could threaten"},{"title":"Small Business Lending Under the Equal Credit Opportunity Act (Regulation B)","type":"Rule","abstract":"The Consumer Financial Protection Bureau (Bureau or CFPB) is revising certain provisions of Regulation B, subpart B, which implements changes to the Equal Credit Opportunity Act made by section 1071 of the Dodd-Frank Wall Street Reform and Consumer Protection Act. The Bureau is amending coverage of certain credit transactions and financial institutions; the small business definition; inclusion of certain data points and how others are collected; and the compliance date. The Bureau believes these changes will streamline the rule, reduce complexity for lenders, improve data quality, and advance the purposes of section 1071.","document_number":"2026-08494","html_url":"https://www.federalregister.gov/documents/2026/05/01/2026-08494/small-business-lending-under-the-equal-credit-opportunity-act-regulation-b","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-05-01/pdf/2026-08494.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-08494.pdf?1777564810","publication_date":"2026-05-01","agencies":[{"raw_name":"Consumer Financial Protection Bureau","name":"Consumer Financial Protection Bureau","id":573,"url":"https://www.federalregister.gov/agencies/consumer-financial-protection-bureau","json_url":"https://www.federalregister.gov/api/v1/agencies/573","parent_id":null,"slug":"consumer-financial-protection-bureau"}],"excerpts":"the proposed single <span class=\"match\">compliance</span> date would avoid mid-year implementation, averring that that mid-year implementation is disruptive and that partial year data is generally not useful. A small business trade association stated that a single <span class=\"match\">compliance</span> date created more fairness among institutions and would avoid patchwork <span class=\"match\">compliance</span>. \n Many supporters commented that the single <span class=\"match\">compliance</span> date as proposed would <span class=\"match\">provide</span> the time needed for lenders to come into <span class=\"match\">compliance</span>, especially given the need to adjust systems for <span class=\"match\">compliance</span> with any other additional"},{"title":"Lead Wheel Weights; Petition for Rulemaking Under the Toxic Substances Control Act (TSCA); Decision Not To Proceed With a Rulemaking","type":"Proposed Rule","abstract":"The Environmental Protection Agency (EPA or Agency) has decided not to proceed with the development of a regulation addressing the manufacture, processing, or distribution in commerce of lead for wheel-balancing weights (\"lead wheel weights\") under the Toxic Substances Control Act (TSCA). This action relates to a citizen petition filed with the Agency in 2009 (\"2009 petition\"). The 2009 petition, which EPA granted, asked EPA to initiate a rulemaking proceeding to regulate the manufacturing, processing, or distribution in commerce of lead wheel weights. In 2023, the same parties filed a petition for a writ of mandamus (\"mandamus petition\") that sought to compel EPA to initiate the rulemaking proceeding requested in the 2009 petition. After reviewing the information submitted in response to an advance notice of proposed rulemaking (ANPRM) issued in April 2024 and EPA's technical analysis thereof, EPA has decided not to proceed with the development of a proposed rule. Addressing potential remaining exposures from lead continues to be a high priority for EPA, as reflected in EPA's announcement that \"Lead and Lead Compounds\" is on its list of candidate chemical substances currently being considered for future prioritization actions under TSCA.","document_number":"2024-30401","html_url":"https://www.federalregister.gov/documents/2024/12/23/2024-30401/lead-wheel-weights-petition-for-rulemaking-under-the-toxic-substances-control-act-tsca-decision-not","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-12-23/pdf/2024-30401.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-30401.pdf?1734702324","publication_date":"2024-12-23","agencies":[{"raw_name":"ENVIRONMENTAL PROTECTION AGENCY","name":"Environmental Protection Agency","id":145,"url":"https://www.federalregister.gov/agencies/environmental-protection-agency","json_url":"https://www.federalregister.gov/api/v1/agencies/145","parent_id":null,"slug":"environmental-protection-agency"}],"excerpts":"Register \n of a determination not to proceed with regulating lead wheel weights.\n \n 3. What support did the petitioners offer? \n In the 2009 petition, Petitioners highlighted that automobiles are a significant contributor to <span class=\"match\">ongoing</span> lead releases to the environment and identified lead wheel weight <span class=\"match\">failures</span> as one of the largest <span class=\"match\">ongoing</span> releases of lead to the environment (Ref. 1). Petitioners cited research from the New Jersey Department of Environmental Protection finding that high concentrations of environmental lead are directly correlated with traffic"},{"title":"Airworthiness Directives; Airbus Helicopters","type":"Rule","abstract":"The FAA is adopting a new airworthiness directive (AD) for certain Airbus Helicopters Model AS350B, AS350BA, AS350B1, AS350B2, AS350B3, and AS350D helicopters. This AD was prompted by a report of a gap between the bolted assemblies under the attachment fittings of the main gearbox (MGB) suspension bars. This AD requires replacing any affected front and rear attachment fittings, screws, nuts and washers of the MGB suspension bars, and prohibits installing any affected parts unless they are new (never previously installed) parts. The FAA is issuing this AD to address the unsafe condition on these products.","document_number":"2026-07168","html_url":"https://www.federalregister.gov/documents/2026/04/14/2026-07168/airworthiness-directives-airbus-helicopters","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-04-14/pdf/2026-07168.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-07168.pdf?1776084314","publication_date":"2026-04-14","agencies":[{"raw_name":"DEPARTMENT OF TRANSPORTATION","name":"Transportation Department","id":492,"url":"https://www.federalregister.gov/agencies/transportation-department","json_url":"https://www.federalregister.gov/api/v1/agencies/492","parent_id":null,"slug":"transportation-department"},{"raw_name":"Federal Aviation Administration","name":"Federal Aviation Administration","id":159,"url":"https://www.federalregister.gov/agencies/federal-aviation-administration","json_url":"https://www.federalregister.gov/api/v1/agencies/159","parent_id":492,"slug":"federal-aviation-administration"}],"excerpts":"FAA might consider additional rulemaking. \n Explanation of Required <span class=\"match\">Compliance</span> Information \n \n In the FAA's <span class=\"match\">ongoing</span> efforts to improve the efficiency of the AD process, the FAA developed a process to use some CAA ADs as the primary source of information for <span class=\"match\">compliance</span> with requirements for corresponding FAA ADs. The FAA has been coordinating this process with manufacturers and CAAs. As a result, EASA AD 2026-0021 is incorporated by reference in this AD. This AD requires <span class=\"match\">compliance</span> with EASA AD 2026-0021 in its entirety through that incorporation,"},{"title":"Pipeline Safety: Class Location Change Requirements","type":"Rule","abstract":"PHMSA is updating its regulations to allow operators to apply modern risk management principles in addressing the safety of gas pipelines affected by class location changes. Relying on an approach originally developed in the 1950s, PHMSA's regulations use class locations to provide an additional margin of safety in the design, construction, testing, operation, and maintenance of gas pipelines based on population density. When the class location of a pipeline changes due to an increase in population density, an operator may need to take certain actions to confirm or to revise the maximum allowable operating pressure of a segment. Because the methods traditionally used for that purpose do not account for modern risk management principles, PHMSA has granted special permits for more than two decades allowing operators to use an integrity-management-based alternative. This final rule adopts that `IM alternative' by regulation to provide operators with an additional method for confirming or restoring the maximum allowable operating pressure of certain eligible segments that experience class location changes.","document_number":"2026-00566","html_url":"https://www.federalregister.gov/documents/2026/01/14/2026-00566/pipeline-safety-class-location-change-requirements","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-01-14/pdf/2026-00566.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-00566.pdf?1768311921","publication_date":"2026-01-14","agencies":[{"raw_name":"DEPARTMENT OF TRANSPORTATION","name":"Transportation Department","id":492,"url":"https://www.federalregister.gov/agencies/transportation-department","json_url":"https://www.federalregister.gov/api/v1/agencies/492","parent_id":null,"slug":"transportation-department"},{"raw_name":"Pipeline and Hazardous Materials Safety Administration","name":"Pipeline and Hazardous Materials Safety Administration","id":408,"url":"https://www.federalregister.gov/agencies/pipeline-and-hazardous-materials-safety-administration","json_url":"https://www.federalregister.gov/api/v1/agencies/408","parent_id":492,"slug":"pipeline-and-hazardous-materials-safety-administration"}],"excerpts":"have prevented nearby wrinkle bend <span class=\"match\">failure</span> that occurred in 2011, one year after an MFL ILI survey had been conducted. In the Matter of Tennessee Gas Pipeline Co., LLC, CPF No. 2-2024-009-CAO, 2024 WL 664786 (PHMSA Feb. 9, 2024), available at: \n https://primis.phmsa.dot.gov/enforcement-documents/22024009CAO/22024009CAO_Corrective%20Action%20Order%20(Amended)_02092024_(24-298988)_text.pdf. \n The <span class=\"match\">failure</span> analysis further found that the 2024 <span class=\"match\">failure</span> mechanism was different than the 2011 <span class=\"match\">failure</span>, and the 2024 <span class=\"match\">failure</span> was not associated with a previous"},{"title":"Oil and Gas and Sulfur Operations in the Outer Continental Shelf-Documents Incorporated by Reference","type":"Rule","abstract":"The Department of the Interior (DOI or Department), through the Bureau of Safety and Environmental Enforcement (BSEE), is incorporating by reference a collection of production measurement industry standards and safety industry standards into its regulations governing oil, gas, and sulfur operations on the Outer Continental Shelf (OCS). Incorporation of these documents by reference will provide industry with up-to-date standards for measuring oil and gas production volumes and enhancing safety. Compliance with these standards will reduce uncertainty in the measurement of oil and gas production and update the minimum standards in the safety regulations.","document_number":"2026-11648","html_url":"https://www.federalregister.gov/documents/2026/06/10/2026-11648/oil-and-gas-and-sulfur-operations-in-the-outer-continental-shelf-documents-incorporated-by-reference","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-06-10/pdf/2026-11648.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-11648.pdf?1781009118","publication_date":"2026-06-10","agencies":[{"raw_name":"DEPARTMENT OF THE INTERIOR","name":"Interior Department","id":253,"url":"https://www.federalregister.gov/agencies/interior-department","json_url":"https://www.federalregister.gov/api/v1/agencies/253","parent_id":null,"slug":"interior-department"},{"raw_name":"Bureau of Safety and Environmental Enforcement","name":"Safety and Environmental Enforcement Bureau","id":576,"url":"https://www.federalregister.gov/agencies/safety-and-environmental-enforcement-bureau","json_url":"https://www.federalregister.gov/api/v1/agencies/576","parent_id":253,"slug":"safety-and-environmental-enforcement-bureau"}],"excerpts":"(a) You must follow the <span class=\"match\">failure</span> reporting requirements contained in section 10.20.7.4 of API Specification 6A (incorporated by reference, see § 250.198) for SSVs, BSDVs, GLSDVs and USVs. You must follow the <span class=\"match\">failure</span> reporting requirements contained in section 7.10 of ANSI/API Specification 14A and Annex F of ANSI/API Recommended Practice 14B (both incorporated by reference, see § 250.198) for SSSVs. Within 30 days after the discovery and identification of the <span class=\"match\">failure</span>, you must <span class=\"match\">provide</span> a written notice of equipment <span class=\"match\">failure</span> to the manufacturer of such"},{"title":"Congressional Review Act Revocation of 2024 Amendments to the National Emission Standards for Hazardous Air Pollutants: Rubber Tire Manufacturing","type":"Rule","abstract":"The U.S. Environmental Protection Agency (EPA) is amending the Code of Federal Regulations (CFR) to remove the provisions finalized by the EPA in a 2024 final rule titled \"National Emission Standards for Hazardous Air Pollutants: Rubber Tire Manufacturing\" (\"2024 Rubber Tire Rule\"). Under the Congressional Review Act (CRA), Congress passed, and the President signed, a joint resolution of disapproval of the 2024 Rubber Tire Rule. The 2024 Rubber Tire Rule promulgated first- time air emissions standards for the rubber processing subcategory of the rubber tire manufacturing source category. Under the joint resolution and by operation of the CRA, the 2024 Rubber Tire Rule has no legal force or effect, and the EPA thus is taking this final action to remove the provisions finalized in that rule.","document_number":"2026-12424","html_url":"https://www.federalregister.gov/documents/2026/06/22/2026-12424/congressional-review-act-revocation-of-2024-amendments-to-the-national-emission-standards-for","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-06-22/pdf/2026-12424.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-12424.pdf?1781786718","publication_date":"2026-06-22","agencies":[{"raw_name":"ENVIRONMENTAL PROTECTION AGENCY","name":"Environmental Protection Agency","id":145,"url":"https://www.federalregister.gov/agencies/environmental-protection-agency","json_url":"https://www.federalregister.gov/api/v1/agencies/145","parent_id":null,"slug":"environmental-protection-agency"}],"excerpts":"5989 \n \n General <span class=\"match\">Compliance</span> Requirements \n 63.5990 \n \n General Testing and Initial <span class=\"match\">Compliance</span> Requirements \n 63.5991 \n \n 63.5992 \n \n 63.5993 \n \n Testing and Initial <span class=\"match\">Compliance</span> Requirements for Tire Production Affected Sources \n 63.5994 \n \n 63.5995 \n \n 63.5996 \n \n Testing and Initial <span class=\"match\">Compliance</span> Requirements for Tire Cord Production Affected Sources \n 63.5997 \n \n 63.5998 \n \n 63.5999 \n \n Testing and Initial <span class=\"match\">Compliance</span> Requirements for Puncture Sealant Application Affected Sources \n 63.6000 \n \n 63.6001 \n \n 63.6002 \n \n Continuous <span class=\"match\">Compliance</span> Requirements"},{"title":"Approval of Clean Air Plans; San Joaquin Valley, California; Contingency Measures for 1997 Ozone Standards","type":"Rule","abstract":"The Environmental Protection Agency (EPA) is taking final action to approve under the Clean Air Act (CAA or \"Act\") a state implementation plan (SIP) submission from the State of California as meeting the attainment-related contingency measure requirements for the 1997 ozone national ambient air quality standards (NAAQS or \"standards\") in the San Joaquin Valley, California, Extreme ozone nonattainment area. The SIP revision is titled \"California Smog Check Contingency Measure State Implementation Plan Revision\" (September 15, 2023) (\"Smog Check Contingency Measure SIP\"). The EPA's approval relies on the previously approved contingency measure for the 1997 ozone NAAQS for the San Joaquin Valley and the justifications for not adopting additional contingency measures that provide for the recommended amount of emissions reductions for such measures. Based on our final approval, the EPA is also finalizing our determination that the State of California has fulfilled the commitment made by the State in connection with a previous approval action to develop, adopt, and submit attainment contingency measures for the San Joaquin Valley Extreme nonattainment area for the 1997 ozone NAAQS meeting the requirements of the CAA.","document_number":"2026-05592","html_url":"https://www.federalregister.gov/documents/2026/03/23/2026-05592/approval-of-clean-air-plans-san-joaquin-valley-california-contingency-measures-for-1997-ozone","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-03-23/pdf/2026-05592.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-05592.pdf?1774010714","publication_date":"2026-03-23","agencies":[{"raw_name":"ENVIRONMENTAL PROTECTION AGENCY","name":"Environmental Protection Agency","id":145,"url":"https://www.federalregister.gov/agencies/environmental-protection-agency","json_url":"https://www.federalregister.gov/api/v1/agencies/145","parent_id":null,"slug":"environmental-protection-agency"}],"excerpts":"to ensure <span class=\"match\">ongoing</span> progress if contingency measures are triggered. See also the EPA's Final Revised Contingency Measure Guidance, pp. 23-27.\n \n \n \n In support of our revised approach, we first note that, for both RFP and attainment purposes, contingency measures are intended to <span class=\"match\">provide</span> for continued progress in the event that an area fails to meet an RFP milestone or fails to attain the NAAQS by the applicable attainment date. They are not themselves expected to <span class=\"match\">provide</span> for either RFP or attainment. With respect to RFP, the CAA <span class=\"match\">provides</span> certain remedies"},{"title":"Amendments and Nonconformance Penalties for Model Year 2027 and Later Heavy-Duty Highway Engines and Amendments to Inducement Provisions for SCR-Equipped Diesel Engines","type":"Proposed Rule","abstract":"The U.S. Environmental Protection Agency (EPA) is proposing regulatory amendments to certain compliance provisions and test procedures related to model year (MY) 2027 and later heavy-duty highway engines. These amendments would include changes to the regulatory useful life periods and the emission-related warranty periods. The EPA also proposes to add clarity to certain regulatory compliance provisions and correct errors in the regulations to support the MYs 2027 and later program for heavy-duty highway engines and vehicles. This includes certain amendments related to provisions adopted in January 2023 as well as other provisions adopted in earlier rules. The EPA also proposes to make nonconformance penalties (NCPs) available to manufacturers of medium heavy-duty engines (Medium HDE) and heavy heavy-duty engines (Heavy HDE) beginning in MY 2027. In addition, the EPA proposes to amend the requirements for selective catalytic reduction (SCR) system inducement provisions for newly manufactured diesel-fueled highway engines and vehicles (i.e., light- and medium- duty vehicles and heavy-duty engines) and nonroad engines and equipment. The EPA is also considering new inducement guidance for in- use highway and nonroad diesel engines, vehicles, and equipment.","document_number":"2026-14112","html_url":"https://www.federalregister.gov/documents/2026/07/14/2026-14112/amendments-and-nonconformance-penalties-for-model-year-2027-and-later-heavy-duty-highway-engines-and","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-07-14/pdf/2026-14112.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-14112.pdf?1783946711","publication_date":"2026-07-14","agencies":[{"raw_name":"ENVIRONMENTAL PROTECTION AGENCY","name":"Environmental Protection Agency","id":145,"url":"https://www.federalregister.gov/agencies/environmental-protection-agency","json_url":"https://www.federalregister.gov/api/v1/agencies/145","parent_id":null,"slug":"environmental-protection-agency"}],"excerpts":"is numerically greater than the value determined from PCA testing. The <span class=\"match\">compliance</span> level is used to calculate the NCP, but it also serves as the emission standard for any <span class=\"match\">compliance</span> testing. As a result, selecting a higher <span class=\"match\">compliance</span> level would result in a greater NCP but would also give the manufacturer a bigger <span class=\"match\">compliance</span> margin for managing their <span class=\"match\">compliance</span> risk. In no case would the <span class=\"match\">compliance</span> level exceed the UL.\n \n \n • \n Section 1071.40(a): \n Calculating the <span class=\"match\">compliance</span> level from PCA testing must account for infrequent regeneration adjustment"},{"title":"Voluntary Fiduciary Correction Program","type":"Rule","abstract":"This document contains an amended and restated Voluntary Fiduciary Correction Program (VFC Program or Program) under title I of the Employee Retirement Income Security Act of 1974, as amended (ERISA). The VFC Program is designed to encourage correction of fiduciary breaches and compliance with the law by permitting persons to avoid potential Department of Labor civil enforcement actions and civil penalties if they voluntarily correct eligible transactions in a manner that meets the requirements of the Program. The amendments to the Program simplify and expand the VFC Program to make the Program easier to use and more useful for employers and others who wish to avail themselves of the relief provided. Specifically, the Program amendments add a self-correction feature for delinquent transmittal of participant contributions and loan repayments to a pension plan under certain circumstances; clarify some existing transactions eligible for correction under the Program; expand the scope of other transactions currently eligible for correction; and simplify certain administrative or procedural requirements for participation in and correction of transactions under the VFC Program. In addition, the amendments implement section 305(b)(2) and (3) of the SECURE 2.0 Act of 2022 (SECURE 2.0 Act) by adding a self-correction feature for certain participant loan failures self-corrected under the Internal Revenue Service's Employee Plans Compliance Resolution System (as described in Rev. Proc. 2021-30, or any successor guidance) (IRS's EPCRS).","document_number":"2025-00327","html_url":"https://www.federalregister.gov/documents/2025/01/15/2025-00327/voluntary-fiduciary-correction-program","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-01-15/pdf/2025-00327.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-00327.pdf?1736862323","publication_date":"2025-01-15","agencies":[{"raw_name":"DEPARTMENT OF LABOR","name":"Labor Department","id":271,"url":"https://www.federalregister.gov/agencies/labor-department","json_url":"https://www.federalregister.gov/api/v1/agencies/271","parent_id":null,"slug":"labor-department"},{"raw_name":"Employee Benefits Security Administration","name":"Employee Benefits Security Administration","id":131,"url":"https://www.federalregister.gov/agencies/employee-benefits-security-administration","json_url":"https://www.federalregister.gov/api/v1/agencies/131","parent_id":271,"slug":"employee-benefits-security-administration"}],"excerpts":"IRS's EPCRS puts the affected participants in the position they would have been if no <span class=\"match\">failure</span> occurred. One commenter recommended that the Department also include other “eligible inadvertent <span class=\"match\">failures</span>” (\n i.e., \n eligible inadvertent <span class=\"match\">failures</span> other than those relating to loans to participants) in a VFC Program self-correction component as soon as practicable after the IRS <span class=\"match\">provides</span> guidance on the meaning of “eligible inadvertent <span class=\"match\">failures</span>” and how such <span class=\"match\">failures</span> can be self-corrected under EPCRS.\n \n After evaluating the comments, and pursuant to section"},{"title":"Patient Protection and Affordable Care Act; Marketplace Integrity and Affordability","type":"Rule","abstract":"This final rule revises standards relating to denial of coverage for failure to pay past-due premium; excludes Deferred Action for Childhood Arrivals recipients from the definition of \"lawfully present;\" establishes the evidentiary standard HHS uses to assess an agent's, broker's, or web-broker's potential noncompliance; revises the Exchange automatic reenrollment hierarchy; revises standards related to the annual open enrollment period and special enrollment periods; revises standards relating to failure to file and reconcile, income eligibility verifications for premium tax credits and cost-sharing reductions, annual eligibility redeterminations, de minimis thresholds for the actuarial value for plans subject to essential health benefits (EHB) requirements, and income-based cost-sharing reduction plan variations. This final rule also revises the premium adjustment percentage methodology and prohibits issuers of coverage subject to EHB requirements from providing coverage for specified sex-trait modification procedures as an EHB.","document_number":"2025-11606","html_url":"https://www.federalregister.gov/documents/2025/06/25/2025-11606/patient-protection-and-affordable-care-act-marketplace-integrity-and-affordability","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-06-25/pdf/2025-11606.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-11606.pdf?1750709712","publication_date":"2025-06-25","agencies":[{"raw_name":"DEPARTMENT OF HEALTH AND HUMAN SERVICES","name":"Health and Human Services Department","id":221,"url":"https://www.federalregister.gov/agencies/health-and-human-services-department","json_url":"https://www.federalregister.gov/api/v1/agencies/221","parent_id":null,"slug":"health-and-human-services-department"}],"excerpts":"1313 and 1321 of the ACA <span class=\"match\">provide</span> the Secretary with the authority to oversee the financial integrity of State Exchanges, their <span class=\"match\">compliance</span> with HHS standards, and the efficient and non-discriminatory administration of State Exchange activities. Section 1313(a)(5)(A) of the ACA directs the Secretary to <span class=\"match\">provide</span> for the efficient and non-discriminatory administration of Exchange activities and to implement any measure or procedure the Secretary determines is appropriate to reduce fraud and abuse. Section 1321 of the ACA <span class=\"match\">provides</span> for State flexibility in"},{"title":"Resolution Plans Required for Insured Depository Institutions With $100 Billion or More in Total Assets; Informational Filings Required for Insured Depository Institutions With at Least $50 Billion but Less Than $100 Billion in Total Assets","type":"Rule","abstract":"The FDIC is adopting this final rule to require the submission of resolution plans by insured depository institutions (IDIs) with $100 billion or more in total assets and informational filings by IDIs with at least $50 billion but less than $100 billion in total assets. The final rule modifies the current rule requirements regarding the content and timing of full resolution submissions, as well as interim supplements to those submissions provided to the FDIC, in order to support the FDIC's resolution readiness in the event of material distress and failure of these large IDIs. The final rule also enhances how the credibility of full resolution submissions will be assessed, expands expectations regarding engagement and capabilities testing, and explains expectations regarding the FDIC's review, feedback, and enforcement of IDIs' compliance with the rule.","document_number":"2024-13982","html_url":"https://www.federalregister.gov/documents/2024/07/09/2024-13982/resolution-plans-required-for-insured-depository-institutions-with-100-billion-or-more-in-total","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-07-09/pdf/2024-13982.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-13982.pdf?1720442715","publication_date":"2024-07-09","agencies":[{"raw_name":"FEDERAL DEPOSIT INSURANCE CORPORATION","name":"Federal Deposit Insurance Corporation","id":164,"url":"https://www.federalregister.gov/agencies/federal-deposit-insurance-corporation","json_url":"https://www.federalregister.gov/api/v1/agencies/164","parent_id":null,"slug":"federal-deposit-insurance-corporation"}],"excerpts":"fourth largest bank <span class=\"match\">failures</span> in history.\n \n \n The <span class=\"match\">failures</span> of SVB and Signature Bank on March 10 and 12, 2023, respectively, were triggered by illiquidity resulting from withdrawals by uninsured depositors at unprecedented speed and volumes. As a result of the sudden <span class=\"match\">failures</span>, there was no opportunity for pre-<span class=\"match\">failure</span> marketing. For both IDIs, the FDIC established a bridge depository institution (bridge bank) to continue bank operations post-<span class=\"match\">failure</span> to allow time to market the bank. Less than two months following those <span class=\"match\">failures</span>, First Republic was"}]}