{"description":"Documents matching 'compliance imposed under require filing'","count":10000,"total_pages":50,"next_page_url":"https://www.federalregister.gov/api/v1/documents?conditions%5Bterm%5D=compliance+imposed+under+require+filing&format=json&page=2","results":[{"title":"Extension of Compliance Date for Required Daily Computation of Customer and Broker-Dealer Reserve Requirements Under the Broker-Dealer Customer Protection Rule","type":"Rule","abstract":"The Securities and Exchange Commission (\"Commission\") is extending the compliance date for the recently adopted amendments that require certain broker-dealers to perform daily reserve computations and make required deposits into their reserve bank accounts daily rather than weekly by six months from December 31, 2025, to June 30, 2026.","document_number":"2025-12016","html_url":"https://www.federalregister.gov/documents/2025/07/01/2025-12016/extension-of-compliance-date-for-required-daily-computation-of-customer-and-broker-dealer-reserve","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-07-01/pdf/2025-12016.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-12016.pdf?1751287520","publication_date":"2025-07-01","agencies":[{"raw_name":"SECURITIES AND EXCHANGE COMMISSION","name":"Securities and Exchange Commission","id":466,"url":"https://www.federalregister.gov/agencies/securities-and-exchange-commission","json_url":"https://www.federalregister.gov/api/v1/agencies/466","parent_id":null,"slug":"securities-and-exchange-commission"}],"excerpts":"procedures, and systems for <span class=\"match\">compliance</span>, including by performing various test reserve computations, prior to beginning to perform daily customer and PAB reserve computations <span class=\"match\">under</span> paragraph (e)(3) of Rule 15c3-3. \n \n For these reasons, the Commission is extending the <span class=\"match\">compliance</span> date for carrying broker-dealers subject to the requirement to begin performing daily customer and PAB reserve computations <span class=\"match\">under</span> paragraph (e)(3)(i)(B)(\n 1 \n ) of Rule 15c3-3 by six months from December 31, 2025, to June 30, 2026. <span class=\"match\">Under</span> the <span class=\"match\">compliance</span> date extension, carrying"},{"title":"Extension of Compliance Dates for Electronic Submission of Certain Materials Under the Securities Exchange Act of 1934; Amendments Regarding the FOCUS Report","type":"Rule","abstract":"The Securities and Exchange Commission (\"Commission\") is extending by twelve months the compliance dates for certain of the rule amendments the Commission adopted on December 16, 2024, regarding the electronic submission of certain materials under the Securities Exchange Act of 1934 (\"Exchange Act\") and amendments to the FOCUS Report (Form X-17A-5), a periodic financial and operational report filed by broker-dealers and security-based swap dealers.","document_number":"2025-17402","html_url":"https://www.federalregister.gov/documents/2025/09/10/2025-17402/extension-of-compliance-dates-for-electronic-submission-of-certain-materials-under-the-securities","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-09-10/pdf/2025-17402.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-17402.pdf?1757421916","publication_date":"2025-09-10","agencies":[{"raw_name":"SECURITIES AND EXCHANGE COMMISSION","name":"Securities and Exchange Commission","id":466,"url":"https://www.federalregister.gov/agencies/securities-and-exchange-commission","json_url":"https://www.federalregister.gov/api/v1/agencies/466","parent_id":null,"slug":"securities-and-exchange-commission"}],"excerpts":"will help ensure <span class=\"match\">compliance</span> with the <span class=\"match\">filing</span> or submission requirements.\n 13 \n \n \n \n \n 13 \n  The Commission is not extending <span class=\"match\">compliance</span> dates for the rule amendments with a <span class=\"match\">compliance</span> date of March 24, 2025, because these rule amendments are ministerial, non-substantive, or deregulatory and <span class=\"match\">require</span> little, if any, action on behalf of registrants to prepare for <span class=\"match\">compliance</span>. The Commission is also not extending the <span class=\"match\">compliance</span> date for the requirement for a self-regulatory organization to publicly post the information <span class=\"match\">required</span> <span class=\"match\">under</span> Rule 19b-4(e) on"},{"title":"Perchloroethylene (PCE) and Carbon Tetrachloride (CTC); Regulation Under the Toxic Substances Control Act (TSCA); Compliance Date Extensions","type":"Proposed Rule","abstract":"The Environmental Protection Agency (EPA or Agency) is proposing to extend certain compliance dates applicable to certain entities subject to the regulation of perchloroethylene (PCE) and carbon tetrachloride (CTC) under the Toxic Substances Control Act (TSCA). EPA is proposing to extend certain Workplace Chemical Protection Program (WCPP) compliance dates for non-federal owners and operators to match the compliance dates for federal agencies and their contractors. For both PCE and CTC, this proposal would extend the compliance date for initial monitoring for inhalation exposure to June 21, 2027, and extend the compliance date to meet the existing chemical exposure limit (ECEL), establish a regulated area, provide any required respiratory personal protective equipment (PPE), and establish a respiratory PPE program to September 20, 2027. For PCE, EPA is also proposing to extend the compliance date for non-federal entities to establish and implement an exposure control plan to December 20, 2027.","document_number":"2026-05977","html_url":"https://www.federalregister.gov/documents/2026/03/27/2026-05977/perchloroethylene-pce-and-carbon-tetrachloride-ctc-regulation-under-the-toxic-substances-control-act","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-03-27/pdf/2026-05977.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-05977.pdf?1774529113","publication_date":"2026-03-27","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":"this action? \n \n EPA has the authority <span class=\"match\">under</span> TSCA section 6(a) (15 U.S.C. 2605(a)) to conduct rulemaking to address unreasonable risks of injury to health or the environment presented by a chemical substance <span class=\"match\">under</span> its condition(s) of use. EPA must specify <span class=\"match\">compliance</span> dates <span class=\"match\">under</span> TSCA section 6(d) (15 U.S.C. 2605(d)) for any TSCA section 6(a) rule. In 2024, EPA promulgated final risk management rules <span class=\"match\">under</span> TSCA section 6(a) for PCE (“PCE Final Rule”) (Ref. 1) and CTC (“CTC Final Rule”) (Ref. 2), including <span class=\"match\">compliance</span> dates pursuant to TSCA section 6(d)"},{"title":"Methylene Chloride; Regulation Under the Toxic Substances Control Act (TSCA); Compliance Date Extension","type":"Rule","abstract":"The Environmental Protection Agency (EPA or Agency) is finalizing an extension to the compliance dates applicable to certain entities subject to the regulation of methylene chloride promulgated under the Toxic Substances Control Act (TSCA). Specifically, EPA is finalizing an 18-month extension of the Workplace Chemical Protection Program (WCPP) and associated recordkeeping compliance dates for industrial or commercial laboratories that are not owned or operated by Federal agencies or contractors acting on behalf of the Federal government. Under this final rule, all non-Federal laboratories will share the same compliance dates with Federal and Federally contracted laboratories. EPA is finalizing an extension of the compliance dates for associated laboratory activities detailed in this final rule to avoid disruption of important functions of non-Federal laboratories such as the use of environmental monitoring methods needed for cleanup sites and wastewater treatment, as well as activities associated with university laboratories or law enforcement laboratories.","document_number":"2025-19881","html_url":"https://www.federalregister.gov/documents/2025/11/13/2025-19881/methylene-chloride-regulation-under-the-toxic-substances-control-act-tsca-compliance-date-extension","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-11-13/pdf/2025-19881.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-19881.pdf?1762955113","publication_date":"2025-11-13","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":"not be incurred until the final <span class=\"match\">compliance</span> date extension expires. The extension would also delay when potential benefits begin to accrue. On balance, this final action which further extends the <span class=\"match\">compliance</span> dates is appropriate to prevent the disruptive consequences of <span class=\"match\">requiring</span> laboratories to begin implementing the WCPP by May 5, 2025, without a further <span class=\"match\">compliance</span> extension. \n II. Background \n A. Regulation of Methylene Chloride <span class=\"match\">Under</span> the Toxic Substances Control Act (TSCA) \n \n In May 2023, EPA proposed a rule <span class=\"match\">under</span> TSCA section 6(a) to address unreasonable"},{"title":"Extension of Compliance Date for Disclosure of Order Execution Information","type":"Rule","abstract":"The Securities and Exchange Commission (\"Commission\") is extending the compliance date for the amendments to the rules requiring the disclosure of order executions in national market system (\"NMS\") stocks from December 14, 2025, to August 1, 2026.","document_number":"2025-19316","html_url":"https://www.federalregister.gov/documents/2025/10/02/2025-19316/extension-of-compliance-date-for-disclosure-of-order-execution-information","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-10-02/pdf/2025-19316.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-19316.pdf?1759322725","publication_date":"2025-10-02","agencies":[{"raw_name":"SECURITIES AND EXCHANGE COMMISSION","name":"Securities and Exchange Commission","id":466,"url":"https://www.federalregister.gov/agencies/securities-and-exchange-commission","json_url":"https://www.federalregister.gov/api/v1/agencies/466","parent_id":null,"slug":"securities-and-exchange-commission"}],"excerpts":"come into <span class=\"match\">compliance</span> by the initial December 14, 2025, <span class=\"match\">compliance</span> date. Accordingly, the Commission has determined that an extension of the <span class=\"match\">compliance</span> date is needed in order to ensure an orderly implementation of the Rule 605 Amendments. Given the time constraints, a notice and comment period could not reasonably be completed before the December 14, 2025, <span class=\"match\">compliance</span> date. Further, given the operational challenges and associated costs firms would face in to meet the December <span class=\"match\">compliance</span> date, providing immediate certainty that the <span class=\"match\">compliance</span> date is"},{"title":"Required Use by Foreign Applicants and Patent Owners of a Patent Practitioner","type":"Rule","abstract":"The United States Patent and Trademark Office (USPTO or Office) is amending the Rules of Practice in Patent Cases to require patent applicants and patent owners whose domicile is not located within the United States (U.S.) or its territories (hereinafter foreign applicants/inventors and patent owners) to be represented by a registered patent practitioner. A requirement that foreign applicants/ inventors and patent owners be represented by a registered patent practitioner will bring the U.S. in line with most other countries that require that such parties be represented by a licensed or registered person of that country. Additionally, this requirement will increase efficiency and enable the USPTO to more effectively use available mechanisms to enforce compliance by all foreign applicants/inventors and patent owners with U.S. statutory and regulatory requirements in patent matters, and enhance the USPTO's ability to respond to false certifications, misrepresentations, and fraud.","document_number":"2026-05564","html_url":"https://www.federalregister.gov/documents/2026/03/20/2026-05564/required-use-by-foreign-applicants-and-patent-owners-of-a-patent-practitioner","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-03-20/pdf/2026-05564.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-05564.pdf?1773924326","publication_date":"2026-03-20","agencies":[{"raw_name":"DEPARTMENT OF COMMERCE","name":"Commerce Department","id":54,"url":"https://www.federalregister.gov/agencies/commerce-department","json_url":"https://www.federalregister.gov/api/v1/agencies/54","parent_id":null,"slug":"commerce-department"},{"raw_name":"Patent and Trademark Office","name":"Patent and Trademark Office","id":402,"url":"https://www.federalregister.gov/agencies/patent-and-trademark-office","json_url":"https://www.federalregister.gov/api/v1/agencies/402","parent_id":54,"slug":"patent-and-trademark-office"}],"excerpts":"Applications <span class=\"match\">filed</span> by foreign-domiciled applicants will be accorded a <span class=\"match\">filing</span> date, as this rule does not change the requirements for receiving a <span class=\"match\">filing</span> date. <span class=\"match\">Under</span> current procedure, an application which is received without a signature or with an improper signature is accorded a <span class=\"match\">filing</span> date as set forth in 37 CFR 1.53. Consistent with this procedure, when the new requirements herein are in effect, an application with a foreign-domiciled applicant but without the signature of a registered patent practitioner will be accorded a <span class=\"match\">filing</span> date <span class=\"match\">under</span> the conditions"},{"title":"Methylene Chloride; Regulation Under the Toxic Substances Control Act (TSCA); Compliance Date Extensions","type":"Proposed Rule","abstract":"The Environmental Protection Agency (EPA or Agency) is proposing to extend the compliance date applicable to certain entities subject to the regulation of methylene chloride recently promulgated under the Toxic Substances Control Act (TSCA). Specifically, EPA is proposing to extend by 18 months the Workplace Chemical Protection Program (WCPP) and the associated recordkeeping compliance dates for laboratories that are not owned or operated by agencies or Federal contractors acting on behalf of the Federal government. Under this proposal, all laboratories, whether federal or not, would have the same compliance dates, which would be aligned with current compliance dates for Federal agencies and Federal contractors. EPA is proposing to extend the compliance dates for associated laboratory activities detailed in this proposal to avoid disruption of important functions such as the use of environmental monitoring methods needed for cleanup sites and wastewater treatment, as well as activities associated with university laboratories. The use of environmental monitoring methods, a common function of non-federal laboratories, is important to EPA's mission to ensure that the air is safe to breathe, water is safe for drinking or recreating, and disposal activities protect the environment.","document_number":"2025-09421","html_url":"https://www.federalregister.gov/documents/2025/05/27/2025-09421/methylene-chloride-regulation-under-the-toxic-substances-control-act-tsca-compliance-date-extensions","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-05-27/pdf/2025-09421.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-09421.pdf?1748004316","publication_date":"2025-05-27","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":"newly proposed <span class=\"match\">compliance</span> dates are practicable and represent a reasonable transition period <span class=\"match\">under</span> TSCA section 6(d). Moreover, using <span class=\"match\">compliance</span> dates already established for Federal agencies and their contractors avoids the confusion that EPA may have created by having multiple <span class=\"match\">compliance</span> dates for various WCPP provisions. \n EPA requests comments and specific information addressing: \n • The ability of the various laboratories to comply with the requirements of the WCPP by the newly proposed <span class=\"match\">compliance</span> dates. \n • Alternative <span class=\"match\">compliance</span> timeframes for"},{"title":"Pipeline Safety: Rationalize Calculation of Regulatory Filing and Compliance Deadlines","type":"Rule","abstract":"This DFR amends PHMSA's procedural regulations to establish a rule of construction clarifying the operation of procedural filing deadlines scheduled to fall on weekends and Federal holidays.","document_number":"2025-12076","html_url":"https://www.federalregister.gov/documents/2025/07/01/2025-12076/pipeline-safety-rationalize-calculation-of-regulatory-filing-and-compliance-deadlines","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-07-01/pdf/2025-12076.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-12076.pdf?1751055312","publication_date":"2025-07-01","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":"to fall on a weekend or Federal holiday will be deferred until the following business day. PHMSA notes that this rule of regulatory construction will only apply to part 190 <span class=\"match\">filing</span> requirements and not to other <span class=\"match\">filing</span> or regulatory <span class=\"match\">compliance</span> deadlines elsewhere in the pipeline safety regulations (PSRs, 49 CFR parts 190-199). \n PHMSA finds that adjusting the part 190 <span class=\"match\">filing</span> deadlines is unlikely to have any meaningful impact on the public safety but will provide operators and other interested parties with additional certainty and generate cost savings"},{"title":"Required Use by Foreign Applicants and Patent Owners of a Patent Practitioner","type":"Proposed Rule","abstract":"The United States Patent and Trademark Office (USPTO or Office) is proposing to amend the Rules of Practice in Patent Cases to require patent applicants and patent owners whose domicile is not located within the United States (U.S.) or its territories (hereinafter foreign applicants/inventors and patent owners) to be represented by a registered patent practitioner. A requirement that foreign applicants/ inventors and patent owners be represented by a registered patent practitioner would bring the United States in line with most other countries that require that such parties be represented by a licensed or registered person of that country. Additionally, this requirement would increase efficiency and enable the USPTO to more effectively use available mechanisms to enforce compliance by all foreign applicants/ inventors and patent owners with U.S. statutory and regulatory requirements in patent matters, and enhance the USPTO's ability to respond to false certifications, misrepresentations, and fraud.","document_number":"2025-23917","html_url":"https://www.federalregister.gov/documents/2025/12/29/2025-23917/required-use-by-foreign-applicants-and-patent-owners-of-a-patent-practitioner","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-12-29/pdf/2025-23917.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-23917.pdf?1766497523","publication_date":"2025-12-29","agencies":[{"raw_name":"DEPARTMENT OF COMMERCE","name":"Commerce Department","id":54,"url":"https://www.federalregister.gov/agencies/commerce-department","json_url":"https://www.federalregister.gov/api/v1/agencies/54","parent_id":null,"slug":"commerce-department"},{"raw_name":"United States Patent and Trademark Office","name":"Patent and Trademark Office","id":402,"url":"https://www.federalregister.gov/agencies/patent-and-trademark-office","json_url":"https://www.federalregister.gov/api/v1/agencies/402","parent_id":54,"slug":"patent-and-trademark-office"}],"excerpts":"\n \n Pursuant to its authority <span class=\"match\">under</span> 35 U.S.C. 2(b)(2), the USPTO is proposing to revise the rules in part 1 of title 37 of the Code of Federal Regulations to <span class=\"match\">require</span> foreign applicants/inventors and patent owners to be represented by a registered patent practitioner, as defined in 37 CFR 1.32(a)(1) (\n i.e., \n a registered patent attorney or registered patent agent <span class=\"match\">under</span> 37 CFR 11.6 or an individual given limited recognition <span class=\"match\">under</span> § 11.9(a) or (b) or § 11.16) (hereinafter, registered patent practitioner). <span class=\"match\">Requiring</span> all foreign applicants/inventors"},{"title":"Enhancement of Emerging Growth Company Accommodations and Simplification of Filer Status for Reporting Companies","type":"Proposed Rule","abstract":"The Securities and Exchange Commission (\"Commission\") proposes amendments to streamline filer statuses for Securities Exchange Act of 1934 (\"Exchange Act\") reporting companies into two primary categories: large accelerated filers and non-accelerated filers. The Commission further proposes to raise the threshold and seasoning requirements for large accelerated filer status and extend certain existing accommodations and scaled disclosures, including those for smaller reporting companies and emerging growth companies, to all non-accelerated filers, while continuing to require compliance with non-scaled disclosure from large accelerated filers. The Commission also proposes to extend the deadlines to file periodic reports for the smallest non-accelerated filers, as measured by total assets. Finally, the Commission also proposes to update the rules that define which issuers are considered small entities for purposes of the Regulatory Flexibility Act (\"RFA\").","document_number":"2026-10222","html_url":"https://www.federalregister.gov/documents/2026/05/21/2026-10222/enhancement-of-emerging-growth-company-accommodations-and-simplification-of-filer-status-for","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-05-21/pdf/2026-10222.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-10222.pdf?1779281120","publication_date":"2026-05-21","agencies":[{"raw_name":"SECURITIES AND EXCHANGE COMMISSION","name":"Securities and Exchange Commission","id":466,"url":"https://www.federalregister.gov/agencies/securities-and-exchange-commission","json_url":"https://www.federalregister.gov/api/v1/agencies/466","parent_id":null,"slug":"securities-and-exchange-commission"}],"excerpts":"\n Over time, the Commission and Congress have adopted various “<span class=\"match\">filer</span> statuses” to establish tiers of registrants and offer certain accommodations by tier, including as to the timing and content of this periodic reporting. Current <span class=\"match\">filer</span> statuses include: \n \n • \n Large accelerated <span class=\"match\">filer</span> \n (“LAF”), \n accelerated <span class=\"match\">filer</span> \n  \n 15 \n \n (“AF”), and \n non-accelerated <span class=\"match\">filer</span> \n (“NAF”).\n \n \n \n 15 \n  “Accelerated <span class=\"match\">filer</span>” and “large accelerated <span class=\"match\">filer</span>” are defined in 17 CFR 240.12b-2.\n \n \n \n ○ <span class=\"match\">Filing</span> deadlines for periodic reports depend on whether a registrant is"},{"title":"Collection of Information Under Review by Office of Management and Budget; OMB Control Number: 1625-0056","type":"Notice","abstract":"In compliance with the Paperwork Reduction Act of 1995 the U.S. Coast Guard is forwarding an Information Collection Request (ICR), abstracted below, to the Office of Management and Budget (OMB), Office of Information and Regulatory Affairs (OIRA), requesting an extension of its approval for the following collection of information: 1625-0056, Labeling required in 33 CFR parts 181 and 183 and 46 CFR 25.10-3; without change. Our ICR describes the information we seek to collect from the public. Review and comments by OIRA ensure we only impose paperwork burdens commensurate with our performance of duties.","document_number":"2025-21675","html_url":"https://www.federalregister.gov/documents/2025/12/01/2025-21675/collection-of-information-under-review-by-office-of-management-and-budget-omb-control-number","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-12-01/pdf/2025-21675.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-21675.pdf?1764337525","publication_date":"2025-12-01","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":"Coast Guard","name":"Coast Guard","id":53,"url":"https://www.federalregister.gov/agencies/coast-guard","json_url":"https://www.federalregister.gov/api/v1/agencies/53","parent_id":227,"slug":"coast-guard"}],"excerpts":"collections, which <span class=\"match\">require</span> boat and associated equipment manufacturers, importers and the boating public to apply for serial numbers and to display various labels evidencing <span class=\"match\">compliance</span>: Hull Identification Numbers; U.S. Coast Guard Maximum Capacities Label; Gasoline Fuel Tank Label; USCG Type Fuel Hose Label; and Certified Navigation Light Label.\n \n \n Need: \n 46 U.S.C. 4302(a)(3) gives the Coast Guard the authority to <span class=\"match\">require</span> the display of seals, labels, plates, insignia, or other devices for certifying or evidencing <span class=\"match\">compliance</span> with safety regulations"},{"title":"Energy Conservation Program: Exempt Power Supplies Under the EPS Service Parts Act of 2014","type":"Rule","abstract":"The Department of Energy (\"DOE\" or \"the Department\") is revising its existing regulations to remove certain reporting requirements imposed on exempt consumer external power supplies (\"EPSs\") adopted under the Energy Policy and Conservation Act, as amended.","document_number":"2026-08201","html_url":"https://www.federalregister.gov/documents/2026/04/28/2026-08201/energy-conservation-program-exempt-power-supplies-under-the-eps-service-parts-act-of-2014","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-04-28/pdf/2026-08201.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-08201.pdf?1777293911","publication_date":"2026-04-28","agencies":[{"raw_name":"DEPARTMENT OF ENERGY","name":"Energy Department","id":136,"url":"https://www.federalregister.gov/agencies/energy-department","json_url":"https://www.federalregister.gov/api/v1/agencies/136","parent_id":null,"slug":"energy-department"}],"excerpts":"Issues and Regulatory Review \n A. Review <span class=\"match\">Under</span> Executive Order 12866 \n B. Review <span class=\"match\">Under</span> the Regulatory Flexibility Act \n C. Review <span class=\"match\">Under</span> the Paperwork Reduction Act of 1995 \n D. Review <span class=\"match\">Under</span> the National Environmental Policy Act of 1969 \n E. Review <span class=\"match\">Under</span> Executive Order 13132 \n F. Review <span class=\"match\">Under</span> Executive Order 12988 \n G. Review <span class=\"match\">Under</span> the Unfunded Mandates Reform Act of 1995 \n H. Review <span class=\"match\">Under</span> the Treasury and General Government Appropriations Act, 1999 \n I. Review <span class=\"match\">Under</span> Executive Order 12630 \n J. Review <span class=\"match\">Under</span> the Treasury and General Government Appropriations"},{"title":"Small Business Lending Under the Equal Credit Opportunity Act (Regulation B); Extension of Compliance Dates","type":"Rule","abstract":"The Consumer Financial Protection Bureau (CFPB or Bureau) is finalizing its June 18, 2025 interim final rule amending Regulation B to extend the compliance dates set forth in its 2023 small business lending rule, as amended by a 2024 interim final rule, and to make other date-related conforming adjustments.","document_number":"2025-19370","html_url":"https://www.federalregister.gov/documents/2025/10/02/2025-19370/small-business-lending-under-the-equal-credit-opportunity-act-regulation-b-extension-of-compliance","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-10-02/pdf/2025-19370.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-19370.pdf?1759322731","publication_date":"2025-10-02","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":"provisions of the 2023 final rule not taken up by the 2025 interim final rule. \n The CFPB finalizes the <span class=\"match\">compliance</span> dates in the 2025 interim final rule, <span class=\"match\">under</span> which covered financial institutions will begin collecting data as follows: \n \n Table 1—<span class=\"match\">Compliance</span> Dates and <span class=\"match\">Filing</span> Deadlines \n \n <span class=\"match\">Compliance</span> tier \n Original <span class=\"match\">compliance</span> date in the 2023 final rule \n \n Revised <span class=\"match\">compliance</span> date in the 2024 interim \n final rule \n \n New <span class=\"match\">compliance</span> date \n New first <span class=\"match\">filing</span> deadline \n \n \n Highest volume lenders (Tier 1) \n October 1, 2024 \n July 18, 2025 \n July 1, 2026 \n"},{"title":"Investment Company Names Form N-PORT Reporting; Extension of Compliance Date","type":"Rule","abstract":"The Securities and Exchange Commission (the \"Commission\") is extending the compliance date for the amendments to Form N-PORT that were adopted on September 20, 2023 and relate to the rule under the Investment Company Act of 1940 (the \"Investment Company Act\") that addresses certain broad categories of investment company names that are likely to mislead investors about an investment company's investments and risks. The compliance dates for those Form N-PORT amendments are extended to November 17, 2027, for fund groups with net assets of $10 billion or more as of the end of their most recent fiscal year; and to May 18, 2028, for fund groups with less than $10 billion in net assets as of the end of their most recent fiscal year.","document_number":"2026-03459","html_url":"https://www.federalregister.gov/documents/2026/02/23/2026-03459/investment-company-names-form-n-port-reporting-extension-of-compliance-date","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-02-23/pdf/2026-03459.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-03459.pdf?1771595112","publication_date":"2026-02-23","agencies":[{"raw_name":"SECURITIES AND EXCHANGE COMMISSION","name":"Securities and Exchange Commission","id":466,"url":"https://www.federalregister.gov/agencies/securities-and-exchange-commission","json_url":"https://www.federalregister.gov/api/v1/agencies/466","parent_id":null,"slug":"securities-and-exchange-commission"}],"excerpts":"determine are unnecessary. In addition, the <span class=\"match\">compliance</span> date extension is intended to provide registered funds with sufficient time to comply with the Form N-PORT names rule requirements in the event the Commission does not adopt the amendments. In that event, registered funds would be <span class=\"match\">required</span> to <span class=\"match\">file</span> Form N-PORT reports incorporating the names rule requirements as of the first fiscal-quarter-end month after the <span class=\"match\">compliance</span> date.\n 7 \n \n The <span class=\"match\">compliance</span> dates for all other amendments to rule 35d-1 <span class=\"match\">under</span> the Investment Company Act, and related prospectus"},{"title":"USCIS Immigration Fees and Related Procedures Required by H.R.1 Reconciliation Bill","type":"Rule","abstract":"The U.S. Department of Homeland Security (DHS) issues this interim final rule (IFR) to codify certain immigration fees and other provisions required by the One Big Beautiful Bill Act (H.R.1). This IFR amends U.S. Citizenship and Immigration Services (USCIS) regulations to codify: the asylum and annual asylum fees, including the consequences of non-payment of these fees; the new Form I-94 fee requirement; the validity period for certain types of employment authorization; and the retention of the Form I-589 filing fee for every application.","document_number":"2026-08333","html_url":"https://www.federalregister.gov/documents/2026/04/29/2026-08333/uscis-immigration-fees-and-related-procedures-required-by-hr1-reconciliation-bill","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-04-29/pdf/2026-08333.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-08333.pdf?1777380320","publication_date":"2026-04-29","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"}],"excerpts":"General, as applicable, shall <span class=\"match\">require</span> the payment of a fee, equal to the amount specified in this section, by any alien who <span class=\"match\">files</span> an application for asylum <span class=\"match\">under</span> section 208 (8 U.S.C. 1158) at the time such application is <span class=\"match\">filed</span>.”); see also 8 U.S.C. 1803(a)(1) (initial application for employment authorization <span class=\"match\">under</span> section 208(d)(2)); 8 U.S.C. 1803(b)(1) (initial application for employment authorization <span class=\"match\">filed</span> by any alien paroled into the United States); 8 U.S.C. 1803(c)(1) (initial application for employment authorization <span class=\"match\">under</span> section 244(a)(1)(B));"},{"title":"Collection of Information Under Review by Office of Management and Budget; OMB Control Number: 1625-0129","type":"Notice","abstract":"In compliance with the Paperwork Reduction Act of 1995 the U.S. Coast Guard is forwarding an Information Collection Request (ICR), abstracted below, to the Office of Management and Budget (OMB), Office of Information and Regulatory Affairs (OIRA), requesting an extension of its approval for the following collection of information: 1625-0129, Intermodal Container Inspection Program; without change. Our ICR describes the information we seek to collect from the public. Review and comments by OIRA ensure we only impose paperwork burdens commensurate with our performance of duties.","document_number":"2026-09673","html_url":"https://www.federalregister.gov/documents/2026/05/14/2026-09673/collection-of-information-under-review-by-office-of-management-and-budget-omb-control-number","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-05-14/pdf/2026-09673.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-09673.pdf?1778676323","publication_date":"2026-05-14","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":"Coast Guard","name":"Coast Guard","id":53,"url":"https://www.federalregister.gov/agencies/coast-guard","json_url":"https://www.federalregister.gov/api/v1/agencies/53","parent_id":227,"slug":"coast-guard"}],"excerpts":"Comments \n This request provides a 30-day comment period <span class=\"match\">required</span> by OIRA. The Coast Guard published the 60-day notice (90 FR 55146, December 1, 2025) <span class=\"match\">required</span> by 44 U.S.C. 3506(c)(2). That notice elicited no comments. Accordingly, no changes have been made to the Collection. \n Information Collection Request \n \n Title: \n Intermodal Container Inspection Program.\n \n \n OMB Control Number: \n 1625-0129.\n \n \n Summary: \n The Coast Guard inspects containers and cargo within containers to ensure <span class=\"match\">compliance</span> with domestic and international standards. Coast Guard-issued"},{"title":"Form PF; Reporting Requirements for All Filers and Large Hedge Fund Advisers; Further Extension of Compliance Date","type":"Rule","abstract":"The Commodity Futures Trading Commission (the \"CFTC\") and the Securities and Exchange Commission (the \"SEC\") (collectively, \"we\" or the \"Commissions\") are further extending the compliance date for the amendments to Form PF that were adopted on February 8, 2024, from October 1, 2025, to October 1, 2026. Form PF is the confidential reporting form for certain SEC-registered investment advisers to private funds, including those that also are registered with the CFTC as a commodity pool operator (a \"CPO\") or a commodity trading adviser (a \"CTA\").","document_number":"2025-18228","html_url":"https://www.federalregister.gov/documents/2025/09/19/2025-18228/form-pf-reporting-requirements-for-all-filers-and-large-hedge-fund-advisers-further-extension-of","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-09-19/pdf/2025-18228.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-18228.pdf?1758199522","publication_date":"2025-09-19","agencies":[{"raw_name":"COMMODITY FUTURES TRADING COMMISSION","name":"Commodity Futures Trading Commission","id":77,"url":"https://www.federalregister.gov/agencies/commodity-futures-trading-commission","json_url":"https://www.federalregister.gov/api/v1/agencies/77","parent_id":null,"slug":"commodity-futures-trading-commission"},{"raw_name":"SECURITIES AND EXCHANGE COMMISSION","name":"Securities and Exchange Commission","id":466,"url":"https://www.federalregister.gov/agencies/securities-and-exchange-commission","json_url":"https://www.federalregister.gov/api/v1/agencies/466","parent_id":null,"slug":"securities-and-exchange-commission"}],"excerpts":"(“Initial <span class=\"match\">Compliance</span> Date Extension Release”).\n \n \n \n Subsequently, the Commissions became aware of remaining significant challenges associated with coming into <span class=\"match\">compliance</span> with the Final Form PF by June 12, 2025, and further extended the <span class=\"match\">compliance</span> date to October 1, 2025 (the “Current <span class=\"match\">Compliance</span> Date”).\n 6 \n \n Accordingly, <span class=\"match\">filers</span> have been allowed to <span class=\"match\">file</span> the version of Form PF in effect prior to the Final Form PF amendments (the “Current Form PF”) until the Current <span class=\"match\">Compliance</span> Date.\n \n \n \n 6 \n  \n Form PF; Reporting Requirements for All <span class=\"match\">Filers</span> and Large"},{"title":"Collection of Information Under Review by Office of Management and Budget; OMB Control Number: 1625-0119","type":"Notice","abstract":"In compliance with the Paperwork Reduction Act of 1995 the U.S. Coast Guard is forwarding an Information Collection Request (ICR), abstracted below, to the Office of Management and Budget (OMB), Office of Information and Regulatory Affairs (OIRA), requesting an extension of its approval for the following collection of information: 1625-0119, Coast Guard Exchange System Scholarship Application; without change. Our ICR describes the information we seek to collect from the public. Review and comments by OIRA ensure we only impose paperwork burdens commensurate with our performance of duties.","document_number":"2026-09668","html_url":"https://www.federalregister.gov/documents/2026/05/14/2026-09668/collection-of-information-under-review-by-office-of-management-and-budget-omb-control-number","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-05-14/pdf/2026-09668.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-09668.pdf?1778676323","publication_date":"2026-05-14","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":"Coast Guard","name":"Coast Guard","id":53,"url":"https://www.federalregister.gov/agencies/coast-guard","json_url":"https://www.federalregister.gov/api/v1/agencies/53","parent_id":227,"slug":"coast-guard"}],"excerpts":"SUMMARY: \n In <span class=\"match\">compliance</span> with the Paperwork Reduction Act of 1995 the U.S. Coast Guard is forwarding an Information Collection Request (ICR), abstracted below, to the Office of Management and Budget (OMB), Office of Information and Regulatory Affairs (OIRA), requesting an extension of its approval for the following collection of information: 1625-0119, Coast Guard Exchange System Scholarship Application; without change. Our ICR describes the information we seek to collect from the public. Review and comments by OIRA ensure we only <span class=\"match\">impose</span> paperwork burdens"},{"title":"Collection of Information Under Review by Office of Management and Budget; OMB Control Number: 1625-0023","type":"Notice","abstract":"In compliance with the Paperwork Reduction Act of 1995 the U.S. Coast Guard is forwarding an Information Collection Request (ICR), abstracted below, to the Office of Management and Budget (OMB), Office of Information and Regulatory Affairs (OIRA), requesting an extension of its approval for the following collection of information: 1625-0023, Barge Fleeting Facility Records; without change. Our ICR describes the information we seek to collect from the public. Review and comments by OIRA ensure we only impose paperwork burdens commensurate with our performance of duties.","document_number":"2026-09674","html_url":"https://www.federalregister.gov/documents/2026/05/14/2026-09674/collection-of-information-under-review-by-office-of-management-and-budget-omb-control-number","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-05-14/pdf/2026-09674.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-09674.pdf?1778676324","publication_date":"2026-05-14","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":"Coast Guard","name":"Coast Guard","id":53,"url":"https://www.federalregister.gov/agencies/coast-guard","json_url":"https://www.federalregister.gov/api/v1/agencies/53","parent_id":227,"slug":"coast-guard"}],"excerpts":"1625-0023.\n \n Previous Request for Comments \n This request provides a 30-day comment period <span class=\"match\">required</span> by OIRA. The Coast Guard published the 60-day notice (90 FR 55149, December 1, 2025) <span class=\"match\">required</span> by 44 U.S.C. 3506(c)(2). That notice elicited no comments. Accordingly, no changes have been made to the Collection. \n Information Collection Request \n \n Title: \n Barge Fleeting Facility Records.\n \n \n OMB Control Number: \n 1625-0023.\n \n \n Summary: \n The regulations <span class=\"match\">require</span> the person in charge of certain barge fleeting facilities to keep records of twice daily"},{"title":"Registry of Supervised Nonbanks That Use Form Contracts To Impose Terms and Conditions That Seek To Waive or Limit Consumer Legal Protections; Withdrawal of Proposed Rule","type":"Proposed Rule","abstract":"The Consumer Financial Protection Bureau (Bureau or CFPB) is withdrawing its Notice of Proposed Rule: Registry of Supervised Nonbanks That Use Form Contracts To Impose Terms and Conditions That Seek To Waive or Limit Consumer Legal Protections, published on February 1, 2023 (Proposed Rule), and is providing this notice of withdrawal. The Bureau has determined that legislative rulemaking is not necessary or appropriate at this time to address the subject matter of the Proposed Rule. The Bureau will not take any further action on the Proposed Rule.","document_number":"2025-19690","html_url":"https://www.federalregister.gov/documents/2025/10/29/2025-19690/registry-of-supervised-nonbanks-that-use-form-contracts-to-impose-terms-and-conditions-that-seek-to","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-10-29/pdf/2025-19690.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-19690.pdf?1761655507","publication_date":"2025-10-29","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":"at 6909 n.17 (“existing law permits certain contractual waivers or limitations in consumer contracts” that would be <span class=\"match\">required</span> to register); \n id. \n at 6911 (mortgage regulations permit consumers to waive rescission rights in certain circumstances); \n id. \n at 6913 (“permissible arbitration agreements”).\n \n \n \n <span class=\"match\">Under</span> the Proposed Rule, nonbank covered persons subject to the Bureau's supervisory authority would have been <span class=\"match\">required</span> to <span class=\"match\">file</span> annual reports with the CFPB regarding both the covered terms and conditions that they include in their form contracts"}]}