{"description":"Documents matching 'subject compliance'","count":10000,"total_pages":50,"next_page_url":"https://www.federalregister.gov/api/v1/documents?conditions%5Bterm%5D=subject+compliance&format=json&page=2","results":[{"title":"Certificates of Compliance; Correction","type":"Rule","abstract":"On January 8, 2025, in consultation with U.S. Customs and Border Protection (CBP), the U.S. Consumer Product Safety Commission (Commission or CPSC) issued a final rule to revise the agency's regulation for Certificates of Compliance (certificates). The final rule contained two \"effective dates\" for products subject to the final rule based on how products were manufactured or imported into the United States. CPSC is making a technical correction to the DATES section of the final rule because the Office of the Federal Register requires one \"effective date.\" The corrected final rule will contain one \"effective date\" for the final rule and two \"applicability dates\" based on how products are manufactured or imported into the United States. This technical correction has no substantive effect on the dates by which products subject to the final rule must be in compliance.","document_number":"2025-18521","html_url":"https://www.federalregister.gov/documents/2025/09/24/2025-18521/certificates-of-compliance-correction","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-09-24/pdf/2025-18521.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-18521.pdf?1758631516","publication_date":"2025-09-24","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":"eFilingsupport@cpsc.gov \n .\n \n \n \n \n SUPPLEMENTARY INFORMATION: \n \n The Commission is making a technical correction to the \n DATES \n section of the final rule. This correction has no substantive effect on the dates by which products <span class=\"match\">subject</span> to the final rule must be in <span class=\"match\">compliance</span>. The final rule revises the requirements for certificates of <span class=\"match\">compliance</span> (certificates) in 16 CFR part 1110. 90 FR 1800. The final rule applies to importers, domestic manufacturers, \n \n and private labelers who are required to issue certificates for consumer products and substances \n 1 \n"},{"title":"Protection of Human Subjects","type":"Rule","abstract":"The Corporation for National and Community Service (operating as AmeriCorps) is finalizing its adoption of the Federal Policy for Protection of Human Subjects (referred to as the Common Rule). The Common Rule outlines the basic ethical principles and procedures that an agency will abide by when conducting or sponsoring research involving human subjects. Among the procedures required by the Common Rule are use of institutional review boards (IRBs), obtaining informed consent of research subjects, and requiring submission of assurances of compliance with the rule. AmeriCorps is making the Common Rule applicable to itself, meaning that all research involving human subjects conducted, supported, or otherwise subject to regulation by AmeriCorps will be subject to the Common Rule's ethical principles and procedures.","document_number":"2024-24517","html_url":"https://www.federalregister.gov/documents/2024/10/29/2024-24517/protection-of-human-subjects","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2024-10-29/pdf/2024-24517.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2024-24517.pdf?1730119516","publication_date":"2024-10-29","agencies":[{"raw_name":"CORPORATION FOR NATIONAL AND COMMUNITY SERVICE","name":"Corporation for National and Community Service","id":91,"url":"https://www.federalregister.gov/agencies/corporation-for-national-and-community-service","json_url":"https://www.federalregister.gov/api/v1/agencies/91","parent_id":null,"slug":"corporation-for-national-and-community-service"}],"excerpts":"manner that the identity of the human <span class=\"match\">subjects</span> cannot readily be ascertained, directly or through identifiers linked to the <span class=\"match\">subjects</span>; \n (ii) Any disclosure of the human <span class=\"match\">subjects</span>' responses outside the research would not reasonably place the <span class=\"match\">subjects</span> at risk of criminal or civil liability or be damaging to the <span class=\"match\">subjects</span>' financial standing, employability, educational advancement, or reputation; or \n (iii) The information obtained is recorded by the investigator in such a manner that the identity of the human <span class=\"match\">subjects</span> can readily be ascertained, directly"},{"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":"Agency (EPA or Agency) is proposing to extend certain <span class=\"match\">compliance</span> dates applicable to certain entities <span class=\"match\">subject</span> 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) <span class=\"match\">compliance</span> dates for non-federal owners and operators to match the <span class=\"match\">compliance</span> dates for federal agencies and their contractors. For both PCE and CTC, this proposal would extend the <span class=\"match\">compliance</span> date for initial monitoring for inhalation exposure"},{"title":"Order Granting Conditional Substituted Compliance in Connection With Certain Capital and Financial Reporting Requirements Applicable to a Nonbank Swap Dealer Domiciled in the French Republic and Subject to the European Union's Investment Firms Regulation and Investment Firms Directive","type":"Rule","abstract":"The Commodity Futures Trading Commission (\"Commission\" or \"CFTC\") is issuing an order regarding an application submitted by Goldman Sachs Paris Inc. et Cie requesting that the Commission determine that the capital and financial reporting laws and regulations of the European Union applicable to a CFTC-registered swap dealer, which is organized and domiciled in the French Republic and subject to the Investment Firms Regulation (EU) 2019/2033 (\"IFR\") and Investment Firms Directive (EU) 2019/2034 (\"IFD\") legislative package, provide sufficient bases for an affirmative finding of comparability with respect to the Commission's swap dealer capital and financial reporting requirements adopted under the Commodity Exchange Act. The order provides that a nonbank swap dealer organized and domiciled in the French Republic and subject to the IFR and IFD legislative package may satisfy the capital requirements and the financial reporting rules under the applicable provisions of the Commodity Exchange Act and Commission regulations by complying with certain specified European Union laws and regulations and conditions set forth in the order.","document_number":"2026-09693","html_url":"https://www.federalregister.gov/documents/2026/05/14/2026-09693/order-granting-conditional-substituted-compliance-in-connection-with-certain-capital-and-financial","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-05-14/pdf/2026-09693.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-09693.pdf?1778676326","publication_date":"2026-05-14","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"}],"excerpts":"Substituted <span class=\"match\">Compliance</span> in Connection With Certain Capital and Financial Reporting Requirements Applicable to Nonbank Swap Dealers <span class=\"match\">Subject</span> to Regulation by the Financial Services Agency of Japan, 89 FR 58470 (July 18, 2024); Order Granting Conditional Substituted <span class=\"match\">Compliance</span> in Connection With Certain Capital and Financial Reporting Requirements Applicable to Nonbank Swap Dealer <span class=\"match\">Subject</span> to Regulation by the Mexican Comision Nacional Bancaria y de Valores and Banco de Mexico, 89 FR 58505 (July 18, 2024); Order Granting Conditional Substituted <span class=\"match\">Compliance</span> in"},{"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":"This amendment aligns the <span class=\"match\">compliance</span> dates for non-Federally owned or operated industrial or commercial laboratories with the <span class=\"match\">compliance</span> dates established in the 2024 risk management rule for Federal agencies and their contractors (Ref. 2). Specifically, this final rule extends three <span class=\"match\">compliance</span> dates for non-Federally owned or operated industrial or commercial laboratories. For initial monitoring, the <span class=\"match\">compliance</span> date is extended from May 5, 2025, to November 9, 2026. For establishing regulated areas and ensuring <span class=\"match\">compliance</span> with the Existing Chemical"},{"title":"Permitted Payment Stablecoin Issuer Anti-Money Laundering/Countering the Financing of Terrorism and Sanctions Compliance Risk Management","type":"Proposed Rule","abstract":"The Office of the Comptroller of the Currency (OCC), in coordination with the Department of the Treasury's Financial Crimes Enforcement Network (FinCEN) and the Office of Foreign Assets Control (OFAC), proposes to issue regulations to implement the Guiding and Establishing National Innovation for U.S. Stablecoins Act's requirement to issue regulations implementing appropriate Bank Secrecy Act (BSA) and sanctions compliance standards for permitted payment stablecoin issuers subject to the OCC's jurisdiction.","document_number":"2026-12692","html_url":"https://www.federalregister.gov/documents/2026/06/24/2026-12692/permitted-payment-stablecoin-issuer-anti-money-launderingcountering-the-financing-of-terrorism-and","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-06-24/pdf/2026-12692.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-12692.pdf?1782218717","publication_date":"2026-06-24","agencies":[{"raw_name":"DEPARTMENT OF THE TREASURY","name":"Treasury Department","id":497,"url":"https://www.federalregister.gov/agencies/treasury-department","json_url":"https://www.federalregister.gov/api/v1/agencies/497","parent_id":null,"slug":"treasury-department"},{"raw_name":"Office of the Comptroller of the Currency","name":"Comptroller of the Currency","id":80,"url":"https://www.federalregister.gov/agencies/comptroller-of-the-currency","json_url":"https://www.federalregister.gov/api/v1/agencies/80","parent_id":497,"slug":"comptroller-of-the-currency"}],"excerpts":"regulations implementing appropriate Bank Secrecy Act (BSA) and sanctions <span class=\"match\">compliance</span> standards for permitted payment stablecoin issuers <span class=\"match\">subject</span> to the OCC's jurisdiction. \n \n \n DATES: \n Comments must be received by July 24, 2026. \n \n \n ADDRESSES: \n Commenters are encouraged to submit comments through the Federal eRulemaking Portal. Please use the title “Permitted Payment Stablecoin Issuer Anti-Money Laundering/Countering the Financing of Terrorism and Sanctions <span class=\"match\">Compliance</span> Risk Management” to facilitate the organization and distribution of the comments"},{"title":"Waste Prevention, Production Subject to Royalties, and Resource Conservation; Extension of Phase-In Requirements","type":"Rule","abstract":"The Bureau of Land Management (BLM, we) is promulgating this direct final rule (DFR) to amend its regulations to extend the phase-in dates for compliance with regulations related to both measurement-and- sampling requirements for high-pressure flares and the submission of Leak Detection and Repair (LDAR) programs.","document_number":"2025-22820","html_url":"https://www.federalregister.gov/documents/2025/12/15/2025-22820/waste-prevention-production-subject-to-royalties-and-resource-conservation-extension-of-phase-in","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-12-15/pdf/2025-22820.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-22820.pdf?1765547123","publication_date":"2025-12-15","agencies":[{"raw_name":"DEPARTMENT OF THE INTERIOR","name":"Interior Department","id":253,"url":"https://www.federalregister.gov/agencies/interior-department","json_url":"https://www.federalregister.gov/api/v1/agencies/253","parent_id":null,"slug":"interior-department"},{"raw_name":"Bureau of Land Management","name":"Land Management Bureau","id":275,"url":"https://www.federalregister.gov/agencies/land-management-bureau","json_url":"https://www.federalregister.gov/api/v1/agencies/275","parent_id":253,"slug":"land-management-bureau"}],"excerpts":"This DFR will extend the deadline to comply with these two requirements to December 10, 2026. Other <span class=\"match\">compliance</span> deadlines for high-pressure flares with monthly flaring volumes greater than or equal to 6,000 Mcf and less than 30,000 Mcf (in effect since June 10, 2025), and flares with monthly flaring volumes greater than 30,000 Mcf (in effect since December 10, 2024) remain in effect and, to the best of the BLM's knowledge, operators are in <span class=\"match\">compliance</span>. \n This rule is consistent with broader energy policy goals, as reflected in Executive Order (E.O.)"},{"title":"Delinquent Filer Voluntary Compliance Program","type":"Notice","abstract":"This notice describes changes to the Department of Labor's Delinquent Filer Voluntary Compliance Program (DFVC Program or Program).","document_number":"2025-24082","html_url":"https://www.federalregister.gov/documents/2025/12/31/2025-24082/delinquent-filer-voluntary-compliance-program","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-12-31/pdf/2025-24082.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-24082.pdf?1767102316","publication_date":"2025-12-31","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":"consist of medical care (non-plan MEWAs) and Entities Claiming Exception (ECEs), who fail to file a Form M-1 annually and upon the occurrence of specific events may be <span class=\"match\">subject</span> to civil penalties under ERISA section 502(c)(5). Administrators of MEWAs that are group health plans (plan MEWAs) who fail to file a Form M-1 annually and upon the occurrence of specific events may be <span class=\"match\">subject</span> to civil penalties under section 502(c)(2) of ERISA. \n \n Following a review of the DFVC Program, as modified in 2002 and 2013, the Department has determined to expand"},{"title":"Registry of Nonbank Covered Persons Subject to Certain Agency and Court Orders; Rescission","type":"Rule","abstract":"The Consumer Financial Protection Bureau (Bureau or CFPB) is issuing a final rule to rescind its rule requiring certain types of nonbank covered persons subject to certain final public orders obtained or issued by a government agency in connection with the offering or provision of a consumer financial product or service to report the existence of the orders and related information to a Bureau registry.","document_number":"2025-19689","html_url":"https://www.federalregister.gov/documents/2025/10/29/2025-19689/registry-of-nonbank-covered-persons-subject-to-certain-agency-and-court-orders-rescission","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-10-29/pdf/2025-19689.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-19689.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":"certain nonbank covered persons as defined in CFPA section 1024(a)(1).\n 38 \n \n Section 1024(b)(1) requires the Bureau to periodically require reports and conduct examinations of persons <span class=\"match\">subject</span> to its supervisory authority to assess <span class=\"match\">compliance</span> with Federal consumer financial law, obtain information about the activities and <span class=\"match\">compliance</span> systems or procedures of persons <span class=\"match\">subject</span> to its supervisory authority, and detect and assess risks to consumers and to markets for consumer financial products and services.\n 39 \n \n Section 1024(b)(2) requires that the Bureau"},{"title":"FY 2025 Annual Compliance Report","type":"Notice","abstract":"The Postal Service has filed an Annual Compliance Report on the costs, revenues, rates, and quality of service associated with its products in fiscal year 2025. Within 90 days, the Commission must evaluate that information and issue its determination as to whether rates were compliant and whether service standards in effect were met. To assist in this, the Commission seeks public comments on the Postal Service's Annual Compliance Report.","document_number":"2025-24211","html_url":"https://www.federalregister.gov/documents/2026/01/02/2025-24211/fy-2025-annual-compliance-report","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-01-02/pdf/2025-24211.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-24211.pdf?1767188718","publication_date":"2026-01-02","agencies":[{"raw_name":"POSTAL REGULATORY COMMISSION","name":"Postal Regulatory Commission","id":409,"url":"https://www.federalregister.gov/agencies/postal-regulatory-commission","json_url":"https://www.federalregister.gov/api/v1/agencies/409","parent_id":null,"slug":"postal-regulatory-commission"}],"excerpts":"ACTION: \n Notice. \n \n \n SUMMARY: \n The Postal Service has filed an Annual <span class=\"match\">Compliance</span> Report on the costs, revenues, rates, and quality of service associated with its products in fiscal year 2025. Within 90 days, the Commission must evaluate that information and issue its determination as to whether rates were compliant and whether service standards in effect were met. To assist in this, the Commission seeks public comments on the Postal Service's Annual <span class=\"match\">Compliance</span> Report. \n \n \n DATES: \n \n Comments are due: \n January 27, 2026. \n Reply Comments are"},{"title":"Bay Area Compliance Laboratories: Grant of Expansion of Recognition","type":"Notice","abstract":"In this notice, OSHA announces the final decision to expand the scope of recognition for Bay Area Compliance Laboratories as a Nationally Recognized Testing Laboratory (NRTL).","document_number":"2026-04722","html_url":"https://www.federalregister.gov/documents/2026/03/11/2026-04722/bay-area-compliance-laboratories-grant-of-expansion-of-recognition","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-03-11/pdf/2026-04722.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-04722.pdf?1773146708","publication_date":"2026-03-11","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":"Occupational Safety and Health Administration","name":"Occupational Safety and Health Administration","id":386,"url":"https://www.federalregister.gov/agencies/occupational-safety-and-health-administration","json_url":"https://www.federalregister.gov/api/v1/agencies/386","parent_id":271,"slug":"occupational-safety-and-health-administration"}],"excerpts":"information. Based on a review of this evidence, OSHA finds that BACL meets the requirements of 29 CFR 1910.7 for expansion of recognition, <span class=\"match\">subject</span> to the specified limitations and conditions. OSHA, therefore, is proceeding with this final notice to grant expansion of BACL's scope of recognition. OSHA limits the expansion of BACL's recognition to testing and certification of products for demonstration of <span class=\"match\">compliance</span> to the test standards listed below in Table 1. \n \n Table 1—List of Appropriate Test Standards for Inclusion in BACL's NRTL Scope of Recognition"},{"title":"Extension of the Date by Which Neck Floats Must Be Tested and Certified Subject to the Submission of Samples","type":"Notice","abstract":"The U.S. Consumer Product Safety Commission (Commission or CPSC) is announcing that the Commission is extending, by 60 days, the date by which manufacturers (including importers) of neck floats must comply with the third party testing and certification requirements for children's products under the Consumer Product Safety Act (CPSA). The extension is being provided because the Commission has determined that there is an insufficient number of third party conformity assessment bodies accredited by the Commission to permit testing and certification of neck floats by the effective date of June 15, 2026. To be eligible for this extension, manufacturers (including importers) must submit a sample of the finished product, intended for sale, to the Commission. This extension for third party testing and certification does not apply to any other requirements of the neck float final rule. All neck floats within the scope of the neck float final rule must be sold in compliance with all other requirements of that rule as of June 15, 2026, the effective date of the final rule.","document_number":"2026-09977","html_url":"https://www.federalregister.gov/documents/2026/05/19/2026-09977/extension-of-the-date-by-which-neck-floats-must-be-tested-and-certified-subject-to-the-submission-of","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-05-19/pdf/2026-09977.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-09977.pdf?1779108311","publication_date":"2026-05-19","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":"the <span class=\"match\">compliance</span> date for the testing and certification requirements from June 15, 2026, to August 16, 2026. Accordingly, manufacturers of a neck float <span class=\"match\">subject</span> to 16 CFR 1250.5 must have sufficient samples of any such product, or samples that are identical in all material respects to such product, that is manufactured after August 16, 2026, tested by a third party conformity assessment body accredited to do so by the Commission. Further, for neck floats manufactured after August 16, 2026, the manufacturer must issue a certificate of <span class=\"match\">compliance</span> with"},{"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 under 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":"Implementing the Guiding and Establishing National Innovation for U.S. Stablecoins Act for the Issuance of Stablecoins by Entities Subject to the Jurisdiction of the Office of the Comptroller of the Currency","type":"Proposed Rule","abstract":"The Office of the Comptroller of the Currency (OCC) proposes to issue regulations to implement the Guiding and Establishing National Innovation for U.S. Stablecoins Act regarding the issuance of payment stablecoins and certain related activities by entities subject to the OCC's jurisdiction.","document_number":"2026-04089","html_url":"https://www.federalregister.gov/documents/2026/03/02/2026-04089/implementing-the-guiding-and-establishing-national-innovation-for-us-stablecoins-act-for-the","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-03-02/pdf/2026-04089.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-04089.pdf?1772199923","publication_date":"2026-03-02","agencies":[{"raw_name":"DEPARTMENT OF THE TREASURY","name":"Treasury Department","id":497,"url":"https://www.federalregister.gov/agencies/treasury-department","json_url":"https://www.federalregister.gov/api/v1/agencies/497","parent_id":null,"slug":"treasury-department"},{"raw_name":"Office of the Comptroller of the Currency","name":"Comptroller of the Currency","id":80,"url":"https://www.federalregister.gov/agencies/comptroller-of-the-currency","json_url":"https://www.federalregister.gov/api/v1/agencies/80","parent_id":497,"slug":"comptroller-of-the-currency"}],"excerpts":"stablecoin issuers would not incur new <span class=\"match\">compliance</span> costs under the proposed rule. \n Miscellaneous Administrative and <span class=\"match\">Compliance</span> Requirements \n The proposed rule includes other administrative and <span class=\"match\">compliance</span> mandates which include risk management mandates in § 15.13; and <span class=\"match\">compliance</span> mandates in § 15.14. The OCC estimated the cost of all mandates in these sections. \n \n The OCC assessed that for non-OCC-regulated-bank affiliated permitted \n \n payment stablecoin issuers that miscellaneous administrative and <span class=\"match\">compliance</span> mandates in the proposed rule effectively"},{"title":"Agency Information Collection Activities; Proposed Renewal Collection and Request for Comment; Submission of Protocols and Study Reports for Environmental Research Involving Human Subjects","type":"Notice","abstract":"In compliance with the Paperwork Reduction Act (PRA), this document announces the availability of and solicits public comment on the following Information Collection Request (ICR) that EPA is planning to submit to the Office of Management and Budget (OMB): Submission of Protocols and Study Reports for Environmental Research Involving Human Subjects (EPA ICR No. 2195.07 and OMB Control No. 2070-0169). This ICR represents a renewal of an existing ICR that is currently approved through April 30, 2026. Before submitting the ICR to OMB for review and approval under the PRA, EPA is soliciting comments on specific aspects of the information collection that is summarized in this document. The ICR and accompanying material are available in the docket for public review and comment.","document_number":"2025-13819","html_url":"https://www.federalregister.gov/documents/2025/07/23/2025-13819/agency-information-collection-activities-proposed-renewal-collection-and-request-for-comment","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-07-23/pdf/2025-13819.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-13819.pdf?1753188310","publication_date":"2025-07-23","agencies":[{"raw_name":"ENVIRONMENTAL PROTECTION AGENCY","name":"Environmental Protection Agency","id":145,"url":"https://www.federalregister.gov/agencies/environmental-protection-agency","json_url":"https://www.federalregister.gov/api/v1/agencies/145","parent_id":null,"slug":"environmental-protection-agency"}],"excerpts":"ACTION: \n Notice. \n \n \n SUMMARY: \n In <span class=\"match\">compliance</span> with the Paperwork Reduction Act (PRA), this document announces the availability of and solicits public comment on the following Information Collection Request (ICR) that EPA is planning to submit to the Office of Management and Budget (OMB): Submission of Protocols and Study Reports for Environmental Research Involving Human <span class=\"match\">Subjects</span> (EPA ICR No. 2195.07 and OMB Control No. 2070-0169). This ICR represents a renewal of an existing ICR that is currently approved through April 30, 2026. Before submitting"},{"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":"Extending the Compliance Deadline for the PFOA and PFOS Maximum Contaminant Levels","type":"Proposed Rule","abstract":"In this proposed rulemaking, the U.S. Environmental Protection Agency (EPA) proposes a federal exemption, pursuant to Safe Drinking Water Act (SDWA) 1416(f) and 1450(a)(1), that will extend the dates of compliance with the Maximum Contaminant Levels (MCLs) for perfluorooctanoic acid (PFOA) and perfluorooctane sulfonic acid (PFOS) from April 26, 2029, to April 26, 2031, for those systems that submit a request. The Agency requests comment on this proposal, including the mechanisms through which the MCL compliance deadlines for PFOA and PFOS can be exempted, and has identified specific areas where public input will be helpful for the EPA in developing the final rule. In addition to seeking written input, the EPA will be holding a public hearing on July 7, 2026.","document_number":"2026-10086","html_url":"https://www.federalregister.gov/documents/2026/05/20/2026-10086/extending-the-compliance-deadline-for-the-pfoa-and-pfos-maximum-contaminant-levels","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-05-20/pdf/2026-10086.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-10086.pdf?1779194712","publication_date":"2026-05-20","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":"would not result in an URTH while water systems work towards implementation of <span class=\"match\">compliance</span> technologies or other non-treatment <span class=\"match\">compliance</span> strategies to ensure <span class=\"match\">compliance</span> with the PFOA and PFOS MCLs by the end of the proposed exemption period (April 26, 2031).\n \n Under SDWA, as well as the proposed national exemptions rulemaking, an “unreasonable risk” determination applies only to PWSs in the context of evaluating SDWA 1416(a) criteria and their ability to achieve <span class=\"match\">compliance</span> with NPDWRs. The EPA acknowledges that there are risks to human health due to"},{"title":"Implementing the Guiding and Establishing National Innovation for U.S. Stablecoins Act for the Issuance of Stablecoins by Entities Subject to the Jurisdiction of the National Credit Union Administration","type":"Proposed Rule","abstract":"The NCUA Board (Board) is seeking comment on proposed regulations to implement portions of the Guiding and Establishing National Innovation for U.S. Stablecoins Act (GENIUS Act). The GENIUS Act charges the NCUA with licensing, regulating, and supervising Payment Stablecoin issuers that are subsidiaries of federally insured credit unions (FICU subsidiaries). In February 2026, the NCUA issued proposed regulations to govern investments in and licensing of permitted payment stablecoin issuers subject to the NCUA's jurisdiction. This current proposal supplements the previous proposal and would govern the issuance of Payment Stablecoins and certain related activities by entities subject to the NCUA's jurisdiction. This proposal would also make amendments to address share insurance coverage, tokenized shares, and other conforming and clarifying amendments.","document_number":"2026-09915","html_url":"https://www.federalregister.gov/documents/2026/05/18/2026-09915/implementing-the-guiding-and-establishing-national-innovation-for-us-stablecoins-act-for-the","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2026-05-18/pdf/2026-09915.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2026-09915.pdf?1778849126","publication_date":"2026-05-18","agencies":[{"raw_name":"NATIONAL CREDIT UNION ADMINISTRATION","name":"National Credit Union Administration","id":335,"url":"https://www.federalregister.gov/agencies/national-credit-union-administration","json_url":"https://www.federalregister.gov/api/v1/agencies/335","parent_id":null,"slug":"national-credit-union-administration"}],"excerpts":"202(g)(3) in its sole discretion. Because of the importance of maintaining minimum Reserve Asset levels, the proposed rule would include automatic consequences for any non-<span class=\"match\">compliance</span> intended to prevent any concerns from developing further. This provision is intended to prevent chronic non-<span class=\"match\">compliance</span> with minimum Reserve Asset requirements. The NCUA expects to ensure <span class=\"match\">compliance</span> with other requirements in the proposed rule using traditional supervisory methods, namely having examiners identify concerns that can be escalated into enforcement actions"},{"title":"Registry of Nonbank Covered Persons Subject to Certain Agency and Court Orders; Proposed Rescission","type":"Proposed Rule","abstract":"The Consumer Financial Protection Bureau (Bureau or CFPB) is proposing to rescind its rule requiring certain types of nonbank covered persons subject to certain final public orders obtained or issued by a government agency in connection with the offering or provision of a consumer financial product or service to report the existence of the orders and related information to a Bureau registry.","document_number":"2025-08345","html_url":"https://www.federalregister.gov/documents/2025/05/14/2025-08345/registry-of-nonbank-covered-persons-subject-to-certain-agency-and-court-orders-proposed-rescission","pdf_url":"https://www.govinfo.gov/content/pkg/FR-2025-05-14/pdf/2025-08345.pdf","public_inspection_pdf_url":"https://public-inspection.federalregister.gov/2025-08345.pdf?1747140308","publication_date":"2025-05-14","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":"proposing to rescind the rule and regulations adopted on July 8, 2024, via 89 FR 56028, Registry of Nonbank Covered Persons <span class=\"match\">Subject</span> to Certain Agency and Court Orders, and codified in 12 CFR part 1092 (the “NBR Rule”). That rule requires certain types of nonbank covered persons <span class=\"match\">subject</span> to certain final public orders of a government agency to report the existence of the orders and related information and to file annual <span class=\"match\">compliance</span> reports. The Bureau is proposing to repeal the rule and is seeking comments on that proposal, including non-speculative and"},{"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":"ACTION: \n Final rule; extension of <span class=\"match\">compliance</span> date. \n \n \n SUMMARY: \n The Securities and Exchange Commission (the “Commission”) is extending the <span class=\"match\">compliance</span> 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 <span class=\"match\">compliance</span> dates for those Form N-PORT amendments are extended"}]}