{"description":"Documents matching 'security again they told stop issued requirements'","count":660,"total_pages":33,"next_page_url":"https://www.federalregister.gov/api/v1/documents?conditions%5Bterm%5D=security+again+they+told+stop+issued+requirements&format=json&page=2","results":[{"title":"Restoring Integrity to the Issuance of Non-Domiciled Commercial Drivers Licenses (CDL)","type":"Rule","abstract":"FMCSA amends the Federal regulations for State Driver's Licensing Agencies (SDLAs) issuing commercial driving credentials to non-domiciled individuals. This final rule reaffirms, with minor changes, the provisions of the interim final rule (IFR) published on September 29, 2025. Specifically, this final rule limits eligibility for non-domiciled Commercial Learner's Permits (CLPs) and Commercial Driver's Licenses (CDLs) for foreign-domiciled individuals to those who hold specific, verifiable employment-based nonimmigrant status. This rule reaffirms the IFR requirements, aligning the issuance of non- domiciled CDLs with FMCSA's statutory mandate to ensure the fitness of all drivers who operate a CMV. By limiting eligibility to statuses subject to enhanced consular vetting of driver history and interagency screening, FMCSA restores the integrity of the CDL system, closes a significant safety gap, and enhances the safety of the traveling public.","document_number":"2026-02965","html_url":"https://www.federalregister.gov/documents/2026/02/13/2026-02965/restoring-integrity-to-the-issuance-of-non-domiciled-commercial-drivers-licenses-cdl","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-02-13/pdf/2026-02965.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-02965.pdf?1770844509","publication_date":"2026-02-13","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":"Federal Motor Carrier Safety Administration","name":"Federal Motor Carrier Safety Administration","id":181,"url":"https://www.federalregister.gov/agencies/federal-motor-carrier-safety-administration","json_url":"https://www.federalregister.gov/api/v1/agencies/181","parent_id":492,"slug":"federal-motor-carrier-safety-administration"}],"excerpts":"contrary to Federal regulations. In this regard, SDLAs have <span class=\"match\">issued</span> noncompliant non-domiciled CDLs that extend beyond the expiration of drivers' lawful presence in the United States, <span class=\"match\">issued</span> non-domiciled CDLs to citizens of Mexico and Canada not present in the United States under the DACA program, <span class=\"match\">issued</span> non-domiciled CDLs to lawful permanent residents who should have been <span class=\"match\">issued</span> regular CDLs, and <span class=\"match\">issued</span> non-domiciled CDLs without providing evidence that it verified the driver's lawful presence in the United States under the standards set forth in 49 CFR"},{"title":"Mandatory Toy Safety Standards: Requirements for Neck Floats","type":"Rule","abstract":"Section 106(a) of the Consumer Product Safety Improvement Act of 2008 (CPSIA) mandates that ASTM F963 shall be a mandatory toy safety standard. ASTM F963-23, however, does not establish specific performance requirements for aquatic toys, such as neck floats. The U.S. Consumer Product Safety Commission (CPSC or Commission) is issuing this final rule establishing additional performance requirements specifically for neck floats and revised labeling requirements for neck floats to address fatal hazards associated with neck floats. The Commission is also amending CPSC's list of notice of requirements (NORs) to include neck floats.","document_number":"2025-22827","html_url":"https://www.federalregister.gov/documents/2025/12/15/2025-22827/mandatory-toy-safety-standards-requirements-for-neck-floats","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-12-15/pdf/2025-22827.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-22827.pdf?1765547125","publication_date":"2025-12-15","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":"flammability <span class=\"match\">requirements</span>). Therefore, to clarify, ASTM F963-23 contains certain performance <span class=\"match\">requirements</span> and labeling <span class=\"match\">requirements</span> for all toys, including aquatic toys, as discussed in more detail in section I of this preamble. In addition, ASTM F963-23 contains specific labeling <span class=\"match\">requirements</span> for aquatic toys but does not contain specific performance <span class=\"match\">requirements</span> for aquatic toys. The NPR referred to the performance <span class=\"match\">requirements</span> applicable to all toys as “general <span class=\"match\">requirements</span>” in § 1250.5(c). To prevent any confusion about applicable <span class=\"match\">requirements</span> for neck"},{"title":"Employment Authorization Reform for Asylum Applicants","type":"Proposed Rule","abstract":"The U.S. Department of Homeland Security (DHS) proposes to modify regulations governing applications for asylum and withholding of removal (asylum applications) and employment authorization based on a pending asylum application. The proposed rule would change filing and eligibility requirements for aliens requesting employment authorization and an employment authorization document (EAD) based on a pending asylum application. The changes include pausing acceptance of EAD applications from asylum applicants during periods when affirmative asylum average processing time exceeds 180 days, extending the waiting period to apply for employment authorization to 365 days, changing EAD application processing time requirements, and adding eligibility requirements.","document_number":"2026-03595","html_url":"https://www.federalregister.gov/documents/2026/02/23/2026-03595/employment-authorization-reform-for-asylum-applicants","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-02-23/pdf/2026-03595.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-03595.pdf?1771595129","publication_date":"2026-02-23","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":"aliens who were convicted of crimes after receiving their initial EAD, thereby enhancing public safety and strengthening national <span class=\"match\">security</span>. Finally, applying these changes to renewals as well as initials results in efficiencies for USCIS adjudicators, who would only have to apply one set of eligibility <span class=\"match\">requirements</span> for (c)(8) EADs and not one set of eligibility <span class=\"match\">requirements</span> for initial (c)(8)s and a different set of <span class=\"match\">requirements</span> for renewal (c)(8)s. \n The provisions that apply only to initial (c)(8) EAD applications include the proposed changes to the"},{"title":"Designation-Restrict the Operation of Unmanned Aircraft in Close Proximity to a Fixed Site Facility","type":"Proposed Rule","abstract":"This action would implement section 2209, of the FAA Extension, Safety and Security Act of 2016, by establishing a process for operators and proprietors of certain fixed site facilities to request and maintain an unmanned aircraft flight restriction. The proposal also establishes requirements for applicants to demonstrate the unmanned aircraft flight restriction is necessary for: aviation safety, protection of people and property on the ground, national security, or homeland security. Lastly, the proposal identifies the types of operations that are allowed in the unmanned aircraft flight restriction UAFR.","document_number":"2026-08943","html_url":"https://www.federalregister.gov/documents/2026/05/06/2026-08943/designation-restrict-the-operation-of-unmanned-aircraft-in-close-proximity-to-a-fixed-site-facility","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-05-06/pdf/2026-08943.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-08943.pdf?1777985132","publication_date":"2026-05-06","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":"Protective <span class=\"match\">Security</span> (§ 74.56) \n FAA proposes under § 74.56 the outline of protective <span class=\"match\">security</span> that satisfies the eligibility <span class=\"match\">requirements</span> under § 74.54. As high-risk sites, FAA expects facilities to have layered <span class=\"match\">security</span> measures to protect against a multitude of threats, including threats from unmanned aircraft. Therefore, sites would be required to show they meet all of the following <span class=\"match\">security</span> <span class=\"match\">requirements</span>: \n (1) Access to the facility, certain areas, or key components must be restricted \n (2) The facility must have designated <span class=\"match\">security</span> personnel"},{"title":"Use of Electronic Payroll Data To Improve Program Administration","type":"Rule","abstract":"Section 824 of the Bipartisan Budget Act of 2015 (BBA) authorizes the Commissioner of Social Security to enter into information exchanges with payroll data providers to obtain wage and employment information. We use wage and employment information to administer the Old-Age, Survivors, and Disability Insurance (OASDI) disability and Supplemental Security Income (SSI) programs under titles II and XVI of the Social Security Act (Act). We are updating our rules pursuant to the BBA, which requires us to prescribe, by regulation, procedures for implementing the access to and use of the information held by payroll data providers. We expect this final rule will support proper use of information exchanges with payroll data providers that will help us administer our programs more efficiently, improve our customers' experience, and prevent improper payments under titles II and XVI of the Act, which can otherwise occur when we do not receive timely and accurate wage and employment information.","document_number":"2024-30593","html_url":"https://www.federalregister.gov/documents/2024/12/31/2024-30593/use-of-electronic-payroll-data-to-improve-program-administration","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-12-31/pdf/2024-30593.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-30593.pdf?1735566310","publication_date":"2024-12-31","agencies":[{"raw_name":"Social Security Administration","name":"Social Security Administration","id":470,"url":"https://www.federalregister.gov/agencies/social-security-administration","json_url":"https://www.federalregister.gov/api/v1/agencies/470","parent_id":null,"slug":"social-security-administration"}],"excerpts":" Old-age, survivors, and disability insurance, Reporting and recordkeeping <span class=\"match\">requirements</span>, Social <span class=\"match\">Security</span>. \n \n Administrative practice and procedure, Aged, Blind, Disability benefits, Public Assistance programs, Reporting and recordkeeping <span class=\"match\">requirements</span>, Supplemental <span class=\"match\">Security</span> Income (SSI). \n \n Administrative practice and procedure, Organization and functions (Government agencies), Operational effectiveness, Social <span class=\"match\">Security</span>. \n \n \n The Acting Commissioner of Social <span class=\"match\">Security</span>, Carolyn W. Colvin, having reviewed and approved this document, is delegating"},{"title":"Medicare and Medicaid Programs; Patient Protection and Affordable Care Act; Interoperability Standards and Prior Authorization for Drugs for Medicare Advantage Organizations, Medicaid Managed Care Plans, State Medicaid Agencies, Children's Health Insurance Program (CHIP) Agencies and CHIP Managed Care Entities, and Issuers of Qualified Health Plans on the Federally-Facilitated Exchanges","type":"Proposed Rule","abstract":"These proposals are intended to improve the electronic exchange of health care data and streamline processes related to prior authorization by increasing the interoperability of systems used across the health care industry. We are proposing new requirements for Medicare Advantage (MA) organizations, state Medicaid fee-for-service (FFS) programs, state Children's Health Insurance Program (CHIP) FFS programs, Medicaid managed care plans, CHIP managed care entities, and Qualified Health Plan (QHP) issuers on the Federally-facilitated Exchanges (FFEs), including issuers that offer small group market QHPs on the Federally-facilitated Small Business Health Options Program (FF- SHOP) Exchanges (hereinafter referred to as \"small group market QHP issuers on the FF-SHOPs\") (collectively \"impacted payers\"), to make available electronic prior authorization for drugs. We are also proposing to extend many existing interoperability requirements for the prior authorization of non-drug items and services to include prior authorizations for drugs to further reduce patient and provider burden. We are also proposing to require impacted payers to report their application programming interfaces (API) endpoints and related information for the Patient Access, Provider Directory, Provider Access, Payer-to-Payer, and Prior Authorization APIs to CMS. To help assess the impact of our policies, we are proposing to collect API usage metrics. In addition, we are proposing to apply the existing interoperability requirements to small group market QHP issuers on the FF-SHOPs as impacted payers. To improve impacted payers' ability to exchange health information while continuing CMS's drive toward interoperability, we are proposing to require certain Health Level Seven (HL7[supreg]) Fast Healthcare Interoperability Resources (FHIR[supreg]) implementation guides (IGs) that are currently recommended. In addition, HHS is proposing to adopt the HL7 FHIR base standard and certain associated specifications and IGs as the Health Insurance Portability and Accountability Act of 1996 (hereinafter referred to as \"HIPAA\") (Pub. L. 104-191, enacted Aug. 21, 1996) standards for dental, professional, and institutional \"referral certification and authorization\" transactions and \"eligibility for a health plan\" transactions associated with prior authorization. We are proposing to add a definition for \"failure to report,\" which would allow CMS to impose a civil monetary penalty (CMP) on applicable manufacturers or applicable group purchasing organizations (GPOs) if those entities fail to grant CMS timely access to documents for the purposes of an audit. Finally, ONC is using this rulemaking to propose to adopt updated versions of certain health information technology (health IT) standards and specifications for HHS use, such as CMS's interoperability requirements, to support a more robust health IT infrastructure.","document_number":"2026-07205","html_url":"https://www.federalregister.gov/documents/2026/04/14/2026-07205/medicare-and-medicaid-programs-patient-protection-and-affordable-care-act-interoperability-standards","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-04-14/pdf/2026-07205.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-07205.pdf?1775852111","publication_date":"2026-04-14","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":"Centers for Medicare & Medicaid Services","name":"Centers for Medicare & Medicaid Services","id":45,"url":"https://www.federalregister.gov/agencies/centers-for-medicare-medicaid-services","json_url":"https://www.federalregister.gov/api/v1/agencies/45","parent_id":221,"slug":"centers-for-medicare-medicaid-services"},{"raw_name":"Office of the Secretary"}],"excerpts":"Throughout this proposed rule, we will refer to “QHP <span class=\"match\">issuers</span> on the FFEs” where we propose <span class=\"match\">requirements</span> that apply to both individual market QHP <span class=\"match\">issuers</span> on the FFEs and small group market QHP <span class=\"match\">issuers</span> on the FF-SHOPs, and we will refer to “small group market QHP <span class=\"match\">issuers</span> on the FF-SHOPs” in proposals to apply <span class=\"match\">requirements</span> in 45 CFR 156.221, 45 CFR 156.222, and 45 CFR 156.223 that we previously finalized for individual market QHP <span class=\"match\">issuers</span> on the FFEs. We are proposing that references to QHP <span class=\"match\">issuers</span> on the FFEs in 45 CFR 156.221, 45 CFR 156.222, and 45"},{"title":"Cyber Incident Reporting for Critical Infrastructure Act (CIRCIA) Reporting Requirements","type":"Proposed Rule","abstract":"The Cyber Incident Reporting for Critical Infrastructure Act of 2022 (CIRCIA), as amended, requires the Cybersecurity and Infrastructure Security Agency (CISA) to promulgate regulations implementing the statute's covered cyber incident and ransom payment reporting requirements for covered entities. CISA seeks comment on the proposed rule to implement CIRCIA's requirements and on several practical and policy issues related to the implementation of these new reporting requirements.","document_number":"2024-06526","html_url":"https://www.federalregister.gov/documents/2024/04/04/2024-06526/cyber-incident-reporting-for-critical-infrastructure-act-circia-reporting-requirements","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-04-04/pdf/2024-06526.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-06526.pdf?1711543528","publication_date":"2024-04-04","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":"present a risk to health. A report must be made even if the event was caused by user error.\n \n \n • \n Transportation <span class=\"match\">Security</span> Administration (TSA) <span class=\"match\">Security</span> Directives and <span class=\"match\">Security</span> Program Amendments. \n TSA has <span class=\"match\">issued</span> several <span class=\"match\">Security</span> Directives and <span class=\"match\">Security</span> Program Amendments requiring various Transportation Systems Sector entities to report cybersecurity incidents to CISA.\n 12 \n \n These include, among other provisions, reporting <span class=\"match\">requirements</span> for certain passenger railroad carrier and rail transit systems, hazardous and natural gas pipeline owners and"},{"title":"DoNotPay, Inc..; Analysis of Proposed Consent Order To Aid Public Comment","type":"Notice","abstract":"The consent agreement in this matter settles alleged violations of federal law prohibiting unfair or deceptive acts or practices. The attached Analysis of Proposed Consent Order to Aid Public Comment describes both the allegations in the complaint and the terms of the consent order--embodied in the consent agreement--that would settle these allegations.","document_number":"2024-22400","html_url":"https://www.federalregister.gov/documents/2024/09/30/2024-22400/donotpay-inc-analysis-of-proposed-consent-order-to-aid-public-comment","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-09-30/pdf/2024-22400.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-22400.pdf?1727441147","publication_date":"2024-09-30","agencies":[{"raw_name":"FEDERAL TRADE COMMISSION","name":"Federal Trade Commission","id":192,"url":"https://www.federalregister.gov/agencies/federal-trade-commission","json_url":"https://www.federalregister.gov/api/v1/agencies/192","parent_id":null,"slug":"federal-trade-commission"}],"excerpts":"regulations.gov \n website.\n \n \n Because of heightened <span class=\"match\">security</span> screening, postal mail addressed to the Commission will be subject to delay. We strongly encourage you to submit your comments online through the \n https://www.regulations.gov \n website. If you prefer to file your comment on paper, write “DoNotPay, Inc.; File No. 232 3042” on your comment and on the envelope, and mail your comment to the following address: Federal Trade Commission, Office of the Secretary, 600 Pennsylvania Avenue NW, Mail <span class=\"match\">Stop</span> H-144 (Annex D), Washington, DC 20580.\n \n \n Because"},{"title":"Hazardous Materials: FAST Act Requirements for Real-Time Train Consist Information","type":"Rule","abstract":"PHMSA is amending the Hazardous Materials Regulations to require railroads that carry hazardous materials to generate in electronic form, maintain, and provide to first responders, emergency response officials, and law enforcement personnel, certain information regarding hazardous materials in rail transportation to enhance emergency response and investigative efforts. The amendments in this final rule address a safety recommendation of the National Transportation Safety Board and statutory mandates in The Fixing America's Surface Transportation Act, as amended by the Infrastructure, Investment, and Jobs Act, and complement existing regulatory requirements pertaining to the generation, maintenance, and provision of similar information in hard copy form, as well as other hazard communication requirements.","document_number":"2024-13474","html_url":"https://www.federalregister.gov/documents/2024/06/24/2024-13474/hazardous-materials-fast-act-requirements-for-real-time-train-consist-information","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-06-24/pdf/2024-13474.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-13474.pdf?1718973914","publication_date":"2024-06-24","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":"seven special permits (SPs) have been <span class=\"match\">issued</span>,\n 12 \n \n including for six Class I railroads: DOT-SP 20954 (<span class=\"match\">issued</span> to BNSF Railway Company); DOT-SP 21046 (<span class=\"match\">issued</span> to CSX Transportation and currently expired); DOT-SP 21053 (<span class=\"match\">issued</span> to Canadian National Railway Company); DOT-SP 21323 (<span class=\"match\">issued</span> to Canadian Pacific Railway Company and currently expired); DOT-SP 21059 (<span class=\"match\">issued</span> to Union Pacific Railroad Company); and DOT-SP 21110 (<span class=\"match\">issued</span> to Norfolk Southern Railroad). A single special permit (DOT-SP 21266) has been <span class=\"match\">issued</span> to a Class III railroad: Richmond Pacific"},{"title":"Retirement Security Rule: Definition of an Investment Advice Fiduciary","type":"Rule","abstract":"The Department of Labor (Department) is adopting a final rule defining when a person renders \"investment advice for a fee or other compensation, direct or indirect\" with respect to any moneys or other property of an employee benefit plan, for purposes of the definition of a \"fiduciary\" in the Employee Retirement Income Security Act of 1974 (Title I of ERISA or the Act). The final rule also applies for purposes of Title II of ERISA to the definition of a fiduciary of a plan defined in Internal Revenue Code (Code), including an individual retirement account or other plan identified in the Code. The Department also is publishing elsewhere in this issue of the Federal Register amendments to Prohibited Transaction Exemption 2020-02 (Improving Investment Advice for Workers & Retirees) and to several other existing administrative exemptions from the prohibited transaction rules applicable to fiduciaries under Title I and Title II of ERISA.","document_number":"2024-08065","html_url":"https://www.federalregister.gov/documents/2024/04/25/2024-08065/retirement-security-rule-definition-of-an-investment-advice-fiduciary","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-04-25/pdf/2024-08065.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-08065.pdf?1713962724","publication_date":"2024-04-25","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":"“recommendation of any <span class=\"match\">securities</span> transaction or other investment transaction or any investment strategy involving <span class=\"match\">securities</span> or other investment property” is defined as recommendations as to: \n (i) The advisability of acquiring, holding, disposing of, or exchanging, <span class=\"match\">securities</span> or other investment property, investment strategy, or how <span class=\"match\">securities</span> or other investment property should be invested after the <span class=\"match\">securities</span> or other investment property are rolled over, transferred, or distributed from the plan or IRA; \n \n (ii) The management of <span class=\"match\">securities</span> or other investment"},{"title":"Federal Independent Dispute Resolution Operations","type":"Rule","abstract":"This document sets forth these final rules related to certain provisions of the No Surprises Act regarding the Federal independent dispute resolution (IDR) process, which was established as part of the Consolidated Appropriations Act, 2021 (CAA). These rules finalize new requirements relating to the disclosure of information that group health plans and health insurance issuers offering group or individual health insurance coverage must include along with the initial payment or notice of denial of payment for certain items and services subject to the surprise billing protections in the No Surprises Act. These final rules also require plans and issuers to communicate information by using claim adjustment reason codes (CARCs) and remittance advice remark codes (RARCs), as specified in guidance, when providing any paper or electronic remittance advice (ERA) to an entity that does not have a contractual relationship with the plan or issuer. This document also finalizes amendments to certain requirements related to the open negotiation period preceding the Federal IDR process, the initiation of the Federal IDR process, the Federal IDR dispute eligibility review process, and the payment and collection of administrative fees and certified IDR entity fees. This document also finalizes the definition of bundled payment arrangements, amends requirements related to batched items and services and amends the rules for extensions of timeframes due to extenuating circumstances. Additionally, this document finalizes provisions that require plans and issuers to register in the Federal IDR portal. In accordance with Federal law, a summary of these rules may be found at https://www.regulations.gov/.","document_number":"2026-11140","html_url":"https://www.federalregister.gov/documents/2026/06/04/2026-11140/federal-independent-dispute-resolution-operations","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-06-04/pdf/2026-11140.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-11140.pdf?1780348210","publication_date":"2026-06-04","agencies":[{"raw_name":"OFFICE OF PERSONNEL MANAGEMENT","name":"Personnel Management Office","id":406,"url":"https://www.federalregister.gov/agencies/personnel-management-office","json_url":"https://www.federalregister.gov/api/v1/agencies/406","parent_id":null,"slug":"personnel-management-office"},{"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":"Internal Revenue Service","name":"Internal Revenue Service","id":254,"url":"https://www.federalregister.gov/agencies/internal-revenue-service","json_url":"https://www.federalregister.gov/api/v1/agencies/254","parent_id":497,"slug":"internal-revenue-service"},{"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"},{"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":" \n The Departments clarify that the <span class=\"match\">requirement</span> to use specified CARCs and RARCs under these final rules will be in addition to the disclosure <span class=\"match\">requirements</span> at 26 CFR 54.9816-6(d), 29 CFR 2590.716-6(d), and 45 CFR 149.140(d) and Federal IDR registry <span class=\"match\">requirements</span> at 26 CFR 54.9816-9, 29 CFR 2590.716-9, and 45 CFR 149.530. To the extent that a CARC or RARC could be used to fulfill a separate disclosure <span class=\"match\">requirement</span>, such as the <span class=\"match\">requirements</span> at 29 CFR 2590.716-6(d) and 45 CFR 149.140(d), the Departments will <span class=\"match\">issue</span> future guidance to identify how and"},{"title":"Patient Protection and Affordable Care Act, HHS Notice of Benefit and Payment Parameters for 2027; and Basic Health Program","type":"Rule","abstract":"This final rule contains provisions to improve implementation of the Patient Protection and Affordable Care Act, including payment parameters and provisions related to the HHS-operated risk adjustment and risk adjustment data validation (HHS-RADV) programs, as well as 2027 user fee rates for issuers offering qualified health plans (QHPs) through Federally-facilitated Exchanges (FFEs) and State-based Exchanges on the Federal platform (SBE-FPs). This final rule also includes provisions related to civil money penalties (CMPs) for noncompliant issuers and other responsible entities; standards governing agents, brokers, and web-brokers; the expansion and codification of hardship exemption eligibility; implementation of the State Exchange Improper Payment Measurement (SEIPM); provider access standards and essential community provider standards for QHP certification; QHP certification of non-network plans; a prohibition on issuers from including routine non-pediatric dental services as an Essential Health Benefit (EHB); requirements related to defrayal for the cost of any State-required benefits in addition to the EHB; cost- sharing flexibilities for catastrophic and individual market bronze plans; establishment of catastrophic plans with plan terms of up to 10 consecutive plan years; QHP issuer quality improvement strategies (QISs); and revisions affecting which enrollees are included in Federal Basic Health Program (BHP) payment calculations to States. This final rule also includes amendments to implement certain provisions of the Working Families Tax Cut (WFTC) legislation.","document_number":"2026-10050","html_url":"https://www.federalregister.gov/documents/2026/05/20/2026-10050/patient-protection-and-affordable-care-act-hhs-notice-of-benefit-and-payment-parameters-for-2027-and","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-05-20/pdf/2026-10050.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-10050.pdf?1779135308","publication_date":"2026-05-20","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":"Centers for Medicare & Medicaid Services","name":"Centers for Medicare & Medicaid Services","id":45,"url":"https://www.federalregister.gov/agencies/centers-for-medicare-medicaid-services","json_url":"https://www.federalregister.gov/api/v1/agencies/45","parent_id":221,"slug":"centers-for-medicare-medicaid-services"},{"raw_name":"Office of the Secretary"}],"excerpts":"and ECP <span class=\"match\">requirements</span> for assessing whether non-network plans provide sufficient choice of providers. \n For PY 2027 and subsequent plan years, we are finalizing, with modification, our proposed changes to the QHP certification <span class=\"match\">requirements</span> for ECPs included within a network plan <span class=\"match\">issuer's</span> provider network. First, we are not finalizing our proposal to reduce the minimum percentage <span class=\"match\">requirement</span> from 35 to 20 percent for both medical QHP and SADP <span class=\"match\">issuers</span>. Second, we are finalizing our proposal to modify the narrative justification <span class=\"match\">requirements</span> at §§ 156"},{"title":"Improving Performance, Accountability and Responsiveness in the Civil Service","type":"Rule","abstract":"The Office of Personnel Management (OPM) is issuing a rule to increase career employee accountability. Agency supervisors report great difficulty removing employees for poor performance or misconduct. The final rule authorizes agencies to move policy-influencing positions into Schedule Policy/Career. These positions will remain career jobs filled on a nonpartisan basis. Yet they will be at-will positions excepted from adverse action procedures or appeals. This will allow agencies to quickly remove employees from critical positions who engage in misconduct, perform poorly, or obstruct the democratic process by intentionally subverting Presidential directives. The rule requires agencies to establish internal policies protecting employees from prohibited personnel practices.","document_number":"2026-02375","html_url":"https://www.federalregister.gov/documents/2026/02/06/2026-02375/improving-performance-accountability-and-responsiveness-in-the-civil-service","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-02-06/pdf/2026-02375.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-02375.pdf?1770299117","publication_date":"2026-02-06","agencies":[{"raw_name":"OFFICE OF PERSONNEL MANAGEMENT","name":"Personnel Management Office","id":406,"url":"https://www.federalregister.gov/agencies/personnel-management-office","json_url":"https://www.federalregister.gov/api/v1/agencies/406","parent_id":null,"slug":"personnel-management-office"}],"excerpts":"recently, to address <span class=\"match\">issues</span> concerning the constitutionality of the appointment of administrative law judges performing various administrative adjudication functions within executive agencies, President Trump <span class=\"match\">issued</span> E.O. 13843 on July 10, 2018, “Excepting Administrative Law Judges from the Competitive Service.” \n 240 \n \n This E.O. established Schedule E within the excepted service. OPM <span class=\"match\">issued</span> a final rule establishing, \n inter alia, \n criteria for pay setting for administrative law judges under Schedule E and had previously <span class=\"match\">issued</span> a proposed rule addressing"},{"title":"Negative Option Rule","type":"Rule","abstract":"The Federal Trade Commission (\"FTC\" or \"Commission\") issues final amendments to the Commission's trade regulation \"Rule Concerning Use of Prenotification Negative Option Plans,\" retitled the \"Rule Concerning Recurring Subscriptions and Other Negative Option Programs\" (\"Rule,\" \"final Rule\" or \"Negative Option Rule\"). The final Rule now applies to all negative option programs in any media. This document also contains the text of the final Rule, the Rule's Statement of Basis and Purpose (\"SBP\"), and a final regulatory analysis.","document_number":"2024-25534","html_url":"https://www.federalregister.gov/documents/2024/11/15/2024-25534/negative-option-rule","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-11-15/pdf/2024-25534.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-25534.pdf?1731591921","publication_date":"2024-11-15","agencies":[{"raw_name":"FEDERAL TRADE COMMISSION","name":"Federal Trade Commission","id":192,"url":"https://www.federalregister.gov/agencies/federal-trade-commission","json_url":"https://www.federalregister.gov/api/v1/agencies/192","parent_id":null,"slug":"federal-trade-commission"}],"excerpts":"Informal Hearing (88 FR 85525, “Hearing Notice”). The Hearing Notice designated the Honorable Carol Fox Foelak, Administrative Law Judge for the <span class=\"match\">Securities</span> Exchange Commission, to serve as the presiding officer of the informal hearing and scheduled the informal hearing for January 16, 2024. In the Hearing Notice, the Commission <span class=\"match\">again</span> did not designate any disputed <span class=\"match\">issues</span> of material fact, finding the <span class=\"match\">issues</span> raised by IAB and NCTA did not need to be resolved at the informal hearing through cross-examination.\n 52 \n \n \n \n \n 52 \n  88 FR 85526-27.\n \n \n"},{"title":"United States of America v. XCL Resources Holdings, LLC, Verdun Oil Company II, LLC, and EP Energy LLC; Proposed Final Judgment and Competitive Impact Statement","type":"Notice","abstract":null,"document_number":"2025-01252","html_url":"https://www.federalregister.gov/documents/2025/01/21/2025-01252/united-states-of-america-v-xcl-resources-holdings-llc-verdun-oil-company-ii-llc-and-ep-energy-llc","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-01-21/pdf/2025-01252.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-01252.pdf?1737121517","publication_date":"2025-01-21","agencies":[{"raw_name":"DEPARTMENT OF JUSTICE","name":"Justice Department","id":268,"url":"https://www.federalregister.gov/agencies/justice-department","json_url":"https://www.federalregister.gov/api/v1/agencies/268","parent_id":null,"slug":"justice-department"},{"raw_name":"Antitrust Division","name":"Antitrust Division","id":23,"url":"https://www.federalregister.gov/agencies/antitrust-division","json_url":"https://www.federalregister.gov/api/v1/agencies/23","parent_id":268,"slug":"antitrust-division"}],"excerpts":"certain acquiring persons, and certain persons whose voting <span class=\"match\">securities</span> or assets are acquired, to file notifications with the Department of Justice and the FTC (collectively, the “federal antitrust agencies”) and to observe a waiting period before consummating certain acquisitions of voting <span class=\"match\">securities</span> or assets. 15 U.S.C. 18a(a) and (b). Of relevance here, the notice and waiting <span class=\"match\">requirements</span> apply if, as a result of the acquisition, the acquiring person will “hold” assets or voting <span class=\"match\">securities</span> above the HSR Act's size of transaction threshold (which"},{"title":"Non-Power Production or Utilization Facility License Renewal","type":"Rule","abstract":"The U.S. Nuclear Regulatory Commission (NRC) is amending its regulations that govern the license renewal process for certain production or utilization facilities. In this final rule, the NRC collectively refers to these facilities as non-power production or utilization facilities (NPUFs). This final rule revises the definitions of \"non-power reactor,\" \"research reactor,\" and \"testing facility.\" This final rule also eliminates license terms for licenses for facilities used for medical therapy or research and development, other than testing facilities; these licenses are issued under the authority of Sections 104a or 104c of the Atomic Energy Act of 1954, as amended (AEA). This final rule defines the license renewal process for licenses issued to testing facilities under the authority of Section 104c of the AEA or commercial or industrial NPUFs (including testing facilities) under the authority of Section 103 of the AEA. This final rule requires all NPUF licensees to submit to the NRC final safety analysis report (FSAR) updates at intervals not to exceed 5 years. In addition, this final rule provides an accident dose criterion of 1 Roentgen equivalent man (rem) (0.01 sievert [Sv]) total effective dose equivalent (TEDE) for NPUFs other than testing facilities. The NRC is also issuing final implementation guidance for this final rule.","document_number":"2024-30721","html_url":"https://www.federalregister.gov/documents/2024/12/30/2024-30721/non-power-production-or-utilization-facility-license-renewal","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-12-30/pdf/2024-30721.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-30721.pdf?1735307120","publication_date":"2024-12-30","agencies":[{"raw_name":"NUCLEAR REGULATORY COMMISSION","name":"Nuclear Regulatory Commission","id":383,"url":"https://www.federalregister.gov/agencies/nuclear-regulatory-commission","json_url":"https://www.federalregister.gov/api/v1/agencies/383","parent_id":null,"slug":"nuclear-regulatory-commission"}],"excerpts":"application must include a supplement to the environmental report that complies with the <span class=\"match\">requirements</span> of 10 CFR 51.56. \n \n (e) \n <span class=\"match\">Issuance</span> of a renewed license. \n (1) A renewed license will be of the class for which the operating license currently in effect was <span class=\"match\">issued</span>.\n \n (2) A renewed license will be <span class=\"match\">issued</span> for a fixed period of time. The term of any renewed license may not exceed 40 years. \n (3) A renewed license will become effective immediately upon its <span class=\"match\">issuance</span>, thereby superseding the operating license previously in effect. If a renewed license"},{"title":"Retirement Security Rule: Definition of an Investment Advice Fiduciary","type":"Proposed Rule","abstract":"This document contains a proposed amendment to the regulation defining when a person renders \"investment advice for a fee or other compensation, direct or indirect\" with respect to any moneys or other property of an employee benefit plan, for purposes of the definition of a \"fiduciary\" in the Employee Retirement Income Security Act of 1974 (Title I of ERISA or the Act). The proposal also would amend the parallel regulation defining for purposes of Title II of ERISA, a \"fiduciary\" of a plan defined in Internal Revenue Code (Code) section 4975, including an individual retirement account. The Department also is publishing elsewhere in today's Federal Register proposed amendments to Prohibited Transaction Exemption 2020-02 (Improving Investment Advice for Workers & Retirees) and to several other existing administrative exemptions from the prohibited transaction rules applicable to fiduciaries under Title I and Title II of ERISA.","document_number":"2023-23779","html_url":"https://www.federalregister.gov/documents/2023/11/03/2023-23779/retirement-security-rule-definition-of-an-investment-advice-fiduciary","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2023-11-03/pdf/2023-23779.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2023-23779.pdf?1698929122","publication_date":"2023-11-03","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":" \n Swaps and <span class=\"match\">Security</span>-Based Swaps \n \n Swaps and <span class=\"match\">security</span>-based swaps are a broad class of financial transactions defined and regulated under amendments to the Commodity Exchange Act and the <span class=\"match\">Securities</span> Exchange Act of 1934 (<span class=\"match\">Securities</span> Exchange Act) by the Dodd-Frank Act. Section 4s(h) of the Commodity Exchange Act \n 124 \n \n and section 15F of the <span class=\"match\">Securities</span> Exchange Act \n 125 \n \n establish similar business conduct standards for dealers and major participants in swaps or <span class=\"match\">security</span>-based swaps. Special rules apply for swap and <span class=\"match\">security</span>-based swap transactions"},{"title":"Employment of Workers With Disabilities Under Section 14(c) of the Fair Labor Standards Act","type":"Proposed Rule","abstract":"The Fair Labor Standards Act (FLSA or Act) authorizes the Secretary of Labor to issue certificates allowing employers to pay productivity-based subminimum wages to workers with disabilities, but only where such certificates are necessary to prevent the curtailment of opportunities for employment. Employment opportunities for individuals with disabilities have vastly expanded in recent decades, in part due to significant legal and policy developments. Based on that evidence, the Department has tentatively concluded that subminimum wages are no longer necessary to prevent the curtailment of employment opportunities for individuals with disabilities and thus proposes to phase out the issuance of section 14(c) certificates.","document_number":"2024-27880","html_url":"https://www.federalregister.gov/documents/2024/12/04/2024-27880/employment-of-workers-with-disabilities-under-section-14c-of-the-fair-labor-standards-act","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-12-04/pdf/2024-27880.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-27880.pdf?1733233519","publication_date":"2024-12-04","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":"Wage and Hour Division","name":"Wage and Hour Division","id":524,"url":"https://www.federalregister.gov/agencies/wage-and-hour-division","json_url":"https://www.federalregister.gov/api/v1/agencies/524","parent_id":271,"slug":"wage-and-hour-division"}],"excerpts":"or physical or mental deficiency” at productivity-based subminimum wages.\n 10 \n \n The FLSA explicitly authorizes the Secretary to <span class=\"match\">issue</span> regulations governing the <span class=\"match\">issuance</span> of subminimum wage certificates.\n \n \n \n 10 \n  29 U.S.C. 214(c)(1).\n \n \n \n In authorizing the Secretary to <span class=\"match\">issue</span> certificates allowing employers to pay subminimum wages, Congress included a significant statutory limitation by permitting the <span class=\"match\">issuance</span> of certificates only “to the extent necessary to prevent curtailment of opportunities for employment.” At the same time, Congress determined"},{"title":"Special Purpose Acquisition Companies, Shell Companies, and Projections","type":"Rule","abstract":"The Securities and Exchange Commission (\"Commission\") is adopting rules intended to enhance investor protections in initial public offerings by special purpose acquisition companies (commonly known as SPACs) and in subsequent business combination transactions between SPACs and private operating companies (commonly known as de- SPAC transactions). Specifically, we are adopting disclosure requirements with respect to, among other things, compensation paid to sponsors, conflicts of interest, dilution, and the determination, if any, of the board of directors (or similar governing body) of a SPAC regarding whether a de-SPAC transaction is advisable and in the best interests of the SPAC and its security holders. We are adopting rules that require a minimum dissemination period for the distribution of security holder communication materials in connection with de-SPAC transactions. We are adopting rules that require the re-determination of smaller reporting company (\"SRC\") status in connection with de- SPAC transactions. We are also adopting rules that address the scope of the safe harbor for forward-looking statements under the Private Securities Litigation Reform Act of 1995. Further, we are adopting a rule that would deem any business combination transaction involving a reporting shell company, including a SPAC, to be a sale of securities to the reporting shell company's shareholders and are adopting amendments to a number of financial statement requirements applicable to transactions involving shell companies. In addition, we are providing guidance on the status of potential underwriters in de-SPAC transactions and adopting updates to our guidance regarding the use of projections in Commission filings as well as requiring additional disclosure regarding projections when used in connection with business combination transactions involving SPACs. Finally, we are providing guidance for SPACs to consider when analyzing their status under the Investment Company Act of 1940.","document_number":"2024-01853","html_url":"https://www.federalregister.gov/documents/2024/02/26/2024-01853/special-purpose-acquisition-companies-shell-companies-and-projections","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-02-26/pdf/2024-01853.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-01853.pdf?1708695913","publication_date":"2024-02-26","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":"initiative in founding and organizing the business or enterprise of an <span class=\"match\">issuer</span>; or (ii) Any person who, in connection with the founding and organizing of the business or enterprise of an <span class=\"match\">issuer</span>, directly or indirectly receives in consideration of services or property, or both services and property, 10 percent or more of any class of <span class=\"match\">securities</span> of the <span class=\"match\">issuer</span> or 10 percent or more of the proceeds from the sale of any class of such <span class=\"match\">securities</span>. However, a person who receives such <span class=\"match\">securities</span> or proceeds either solely as underwriting commissions or solely in"},{"title":"Rytr LLC; Analysis of Proposed Consent Order To Aid Public Comment","type":"Notice","abstract":"The consent agreement in this matter settles alleged violations of Federal law prohibiting unfair or deceptive acts or practices. The attached Analysis of Proposed Consent Order to Aid Public Comment describes both the allegations in the complaint and the terms of the consent order--embodied in the consent agreement--that would settle these allegations.","document_number":"2024-22767","html_url":"https://www.federalregister.gov/documents/2024/10/03/2024-22767/rytr-llc-analysis-of-proposed-consent-order-to-aid-public-comment","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-10-03/pdf/2024-22767.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-22767.pdf?1727873125","publication_date":"2024-10-03","agencies":[{"raw_name":"FEDERAL TRADE COMMISSION","name":"Federal Trade Commission","id":192,"url":"https://www.federalregister.gov/agencies/federal-trade-commission","json_url":"https://www.federalregister.gov/api/v1/agencies/192","parent_id":null,"slug":"federal-trade-commission"}],"excerpts":"regulations.gov \n website.\n \n \n Because of heightened <span class=\"match\">security</span> screening, postal mail addressed to the Commission will be subject to delay. We strongly encourage you to submit your comments online through the \n https://www.regulations.gov \n website. If you prefer to file your comment on paper, write “Rytr LLC; File No. 232 3052” on your comment and on the envelope, and mail your comment to the following address: Federal Trade Commission, Office of the Secretary, 600 Pennsylvania Avenue NW, Mail <span class=\"match\">Stop</span> H-144 (Annex R), Washington, DC 20580.\n \n \n Because"}]}