I-SEARCH (tm) V1.89P Retrieved Documents Listing on 10/22/93 at 10:49:41. Database: USCODE Search: (24:CITE) ------DocID 31487 Document 1 of 244------ -CITE- 24 USC TITLE 24 -EXPCITE- TITLE 24 -HEAD- TITLE 24 - HOSPITALS AND ASYLUMS -MISC1- Chap. Sec. 1. Navy Hospitals, Naval Home, Army and Navy Hospital, and Hospital Relief for Seamen and Others 1 2. Soldiers' and Airmen's Home (Repealed) 41 3. National Home for Disabled Volunteer Soldiers 71 4. Saint Elizabeths Hospital 161 5. Columbia Institution for the Deaf (Omitted) 231 6. Freedmen's Hospital (Omitted) 261 7. National Cemeteries 271 7A. Private and Commercial Cemeteries (Repealed) 298 8. Gorgas Hospital 301 9. Hospitalization of Mentally Ill Nationals Returned From Foreign Countries 321 10. Armed Forces Retirement Home 401 ------DocID 8977 Document 2 of 244------ -CITE- 5 USC APPENDIX - REORGANIZATION PLAN NO. 24 OF 1950 -EXPCITE- TITLE 5 APPENDIX REORGANIZATION PLANS REORGANIZATION PLAN NO -HEAD- REORGANIZATION PLAN NO. 24 OF 1950 -MISC1- Reorganization Plan No. 24 of 1950, which proposed transfer of the Reconstruction Finance Corporation to the Department of Commerce, was submitted to Congress on May 9, 1950, and was disapproved by the Senate on July 6, 1950. ------DocID 9110 Document 3 of 244------ -CITE- 7 USC Sec. 24 -EXPCITE- TITLE 7 CHAPTER 1 -HEAD- Sec. 24. Regulations respecting commodity broker debtors; definitions -STATUTE- (a) Notwithstanding title 11, the Commission may provide, with respect to a commodity broker that is a debtor under chapter 7 of title 11, by rule or regulation - (1) that certain cash, securities, other property, or commodity contracts are to be included in or excluded from customer property or member property; (2) that certain cash, securities, other property, or commodity contracts are to be specifically identifiable to a particular customer in a specific capacity; (3) the method by which the business of such commodity broker is to be conducted or liquidated after the date of the filing of the petition under such chapter, including the payment and allocation of margin with respect to commodity contracts not specifically identifiable to a particular customer pending their orderly liquidation; (4) any persons to which customer property and commodity contracts may be transferred under section 766 of title 11; and (5) how the net equity of a customer is to be determined. (b) As used in this section, the terms 'commodity broker', 'commodity contract', 'customer', 'customer property', 'member property', 'net equity', and 'security' have the meanings assigned such terms for the purposes of subchapter IV of chapter 7 of title 11. -SOURCE- (Sept. 21, 1922, ch. 369, Sec. 20, formerly Sec. 19, as added Nov. 6, 1978, Pub. L. 95-598, title III, Sec. 302, 92 Stat. 2673, renumbered and amended July 27, 1982, Pub. L. 97-222, Sec. 20, 96 Stat. 241.) -MISC1- AMENDMENTS 1982 - Subsec. (a)(3). Pub. L. 97-222, Sec. 20(b), inserted ', including the payment and allocation of margin with respect to commodity contracts not specifically identifiable to a particular customer pending their orderly liquidation'. EFFECTIVE DATE Section effective Nov. 6, 1978, see section 402(d) of Pub. L. 95-598, set out as a note preceding section 101 of Title 11, Bankruptcy. ------DocID 9683 Document 4 of 244------ -CITE- 7 USC CHAPTER 24 -EXPCITE- TITLE 7 CHAPTER 24 -HEAD- CHAPTER 24 - PERISHABLE AGRICULTURAL COMMODITIES ------DocID 14609 Document 5 of 244------ -CITE- 10 USC APPENDIX - RULES OF COURT OF MILITARY APPEALS Rule 24 -EXPCITE- TITLE 10 APPENDIX UNITED STATES COURT OF MILITARY APPEALS BRIEFS -HEAD- Rule 24. Form and Content, Limitations, Style, and Classified Information -STATUTE- (a) Form and content. All briefs will be legible and will be substantially as follows: -MISC1- IN THE UNITED STATES COURT OF MILITARY APPEALS United States, (Appellee) (Appellant) (Respondent) BRIEF ON BEHALF OF v. (APPELLANT, XXXXXXXXXXXXXXXX, APPELLEE, ETC.) (Full typed name, rank, CMR. DKT. NO. XX service & service no. of USCMA DKT. NO. X accused) (Appellant) (Appellee) (Petitioner) INDEX OF BRIEF (SEE RULE 24(C)(2)) TABLE OF CASES, STATUTES, AND OTHER AUTHORITIES STATEMENT OF THE CASE (Set forth a concise chronology including the results of the accused's trial, action by the convening authority, the officer exercising general court-martial jurisdiction (if any), and the Court of Military Review as well as any other pertinent information regarding the proceedings.) STATEMENT OF FACTS (Set forth a concise statement of the facts of the case material to the issue or issues presented, including specific page references to each relevant portion of the record of trial. Answers may adopt appellant's or petitioner's statement of facts if there is no dispute, may state additional facts, or, if there is a dispute, may restate the facts as they appear from appellee's or respondent's viewpoint. The repetition of uncontroverted matters is not desired.) ISSUE(S) PRESENTED (Set forth each issue granted review by the Court, raised in the certificate for review or in the mandatory review case, or presented in the petition for extraordinary relief, writ appeal petition, or petition for new trial. Issues presented will be set forth in upper case letters, and each will be followed by separate arguments pertaining to that issue.) ARGUMENT (Discuss briefly the point of law presented, citing and quoting such authorities as are deemed pertinent.) CONCLUSION (State briefly the relief sought as to each issue presented, for example, reversal of the Court of Military Review decision and dismissal of the charges, grant of a new trial, the extraordinary relief sought, etc. No particular form of language is required, so long as the brief concludes with a clear prayer for specific court action.) APPENDIX (The brief of the appellant or petitioner shall include an appendix containing a copy of the Court of Military Review decision, unpublished opinions cited in the brief, and relevant extracts of rules and regulations. The appellee or respondent shall similarly file an appendix containing a copy of any additional unpublished opinions and relevant extracts of rules and regulations cited in the answer.) XXXXXXXXXXXXXXXXXXX (Signature of counsel) XXXXXXXXXXXXXXXXXXX (Typed name of counsel) XXXXXXXXXXXXXXXXXXX (Address of counsel) XXXXXXXXXXXXXXXXXXX (Telephone no. of counsel) CERTIFICATE OF FILING AND SERVICE I certify that a copy of the foregoing was (mailed) (delivered) to the Court and (mailed) (delivered) to (enter name of each counsel of record) on XXX. (Date) XXXXXXXXXXXXXXXXXXX (Typed name and signature) XXXXXXXXXXXXXXXXXXX (Address and telephone no.) (b) Page limitations. Unless otherwise authorized by order of the Court or by motion of a party granted by the Court (see Rule 30), the page limitations for briefs filed with the Court, not including appendices, shall be as follows: (1) Briefs of appellants/petitioners shall not exceed 50 pages; (2) Answers of appellees/respondents shall not exceed 50 pages; (3) Replies of appellants/petitioners shall not exceed 15 pages; (c) Style. (1) Except for records of trial and as otherwise provided by Rule 27(a)(6), all pleadings or other papers relative to a case shall be typewritten and double spaced on white paper, 8.5 by 11 inches in size, securely fastened at the top. Copies of typewritten pleadings and papers may include those produced by any process capable of producing a clearly legible block image on white paper but shall not include ordinary carbon copies. If papers are filed in any other form, the Clerk shall require the substitution of new copies, but such substitution will not affect the filing date of the papers or pleadings involved. See Rule 37. (2) All pleadings presented to the Court shall, unless they are less than 20 pages in length, be preceded by a subject index of the matter contained therein, with page references, and a table of cases (alphabetically arranged with citations), textbooks and statutes cited, with references to the pages where cited. (3) Citations shall conform with the Uniform System of Citation. (4) All references to the record of trial shall include page numbers or exhibit designations, as appropriate. (5) No pleading or other paper filed with the Court shall incorporate by reference any material from any other source. (d) Classified information. Classified information will be included in documents filed with the Court only when necessary to a proper consideration of the issues involved. The original or one complete copy of a document containing the classified information shall be filed with the Court. The party filing such document shall give written notice to the Clerk and to all other parties prior to the time of such filing that such document contains classified information. In addition, there shall be filed in accordance with Rule 37 an original and four copies of each such document from which the classified information has been deleted or omitted in such manner that the pages which contained the deleted or omitted classified information are clearly identified. (As amended Oct. 1, 1987.) ------DocID 14664 Document 6 of 244------ -CITE- 10 USC APPENDIX - RULES OF COURTS OF MILITARY REVIEW Rule 24 -EXPCITE- TITLE 10 APPENDIX COURTS OF MILITARY REVIEW -HEAD- Rule 24. Continuances and interlocutory matters -STATUTE- Except as otherwise provided in Rule 19(d), the Court, in its discretion, may extend any time limits prescribed and may dispose of any interlocutory or other appropriate matter not specifically covered by these rules, in such manner as may appear to be required for a full, fair, and expeditious consideration of the case. See Rule 4. ------DocID 15156 Document 7 of 244------ -CITE- 11 USC APPENDIX - BANKRUPTCY RULES Form 24 -EXPCITE- TITLE 11 APPENDIX BANKRUPTCY RULES AND OFFICIAL FORMS OFFICIAL FORMS -HEAD- Form 24. - Notice to Trustee of Selection and of Time Fixed for Filing a Complaint Objecting to Discharge of Debtor -STATUTE- (CAPTION AS IN FORM NO. 2) NOTICE TO TRUSTEE OF SELECTION AND OF TIME FIXED FOR FILING A COMPLAINT OBJECTING TO DISCHARGE OF DEBTOR To XXXXXX, of *XXXXXXXX: You are hereby notified of your election (or appointment) as trustee of the estate of the above-named debtor. The amount of your bond has been fixed at $XXXX. You are required to notify XXXXXX, Bankruptcy Judge, at XXXXXXXX, in writing within five days following receipt of this notice of your acceptance or rejection of the office. If you accept, your bond must be filed with the court on or before XXXXXX. (If appropriate) You are further notified that XXXXXX has been fixed as the last day for the filing by you or any other party in interest of a complaint objecting to the discharge of the debtor. Dated: XXXXXX XXXXXXXXXXX Clerk of the Bankruptcy Court. * State mailing address. -MISC1- NOTES OF ADVISORY COMMITTEE ON RULES This form is to be used in giving the notice required by Rule 2008. If a blanket bond has been authorized pursuant to Rule 2010(a), the second sentence of the form and the last sentence of the first paragraph may be deleted. ------DocID 15192 Document 8 of 244------ -CITE- 12 USC Sec. 24 -EXPCITE- TITLE 12 CHAPTER 2 SUBCHAPTER I -HEAD- Sec. 24. Corporate powers of associations -STATUTE- Upon duly making and filing articles of association and an organization certificate a national banking association shall become, as from the date of the execution of its organization certificate, a body corporate, and as such, and in the name designated in the organization certificate, it shall have power - First. To adopt and use a corporate seal. Second. To have succession from February 25, 1927, or from the date of its organization if organized after February 25, 1927, until such time as it be dissolved by the act of its shareholders owning two-thirds of its stock, or until its franchise becomes forfeited by reason of violation of law, or until terminated by either a general or a special Act of Congress or until its affairs be placed in the hands of a receiver and finally wound up by him. Third. To make contracts. Fourth. To sue and be sued, complain and defend, in any court of law and equity, as fully as natural persons. Fifth. To elect or appoint directors, and by its board of directors to appoint a president, vice president, cashier, and other officers, define their duties, require bonds of them and fix the penalty thereof, dismiss such officers or any of them at pleasure, and appoint others to fill their places. Sixth. To prescribe, by its board of directors, bylaws not inconsistent with law, regulating the manner in which its stock shall be transferred, its directors elected or appointed, its officers appointed, its property transferred, its general business conducted, and the privileges granted to it by law exercised and enjoyed. (FOOTNOTE 1) So in original. (1) the term 'qualified Canadian government obligations' means any debt obligation which is backed by Canada, any Province of Canada, or any political subdivision of any such Province to a degree which is comparable to the liability of the United States, any State, or any political subdivision thereof for any obligation which is backed by the full faith and credit of the United States, such State, or such political subdivision, and such term includes any debt obligation of any agent of Canada or any such Province or any political subdivision of such Province if - (A) the obligation of the agent is assumed in such agent's capacity as agent for Canada or such Province or such political subdivision; and (B) Canada, such Province, or such political subdivision on whose behalf such agent is acting with respect to such obligation is ultimately and unconditionally liable for such obligation; and (2) the term 'Province of Canada' means a Province of Canada and includes the Yukon Territory and the Northwest Territories and their successors. Eighth. To contribute to community funds, or to charitable, philanthropic, or benevolent instrumentalities conducive to public welfare, such sums as its board of directors may deem expedient and in the interests of the association, if it is located in a State the laws of which do not expressly prohibit State banking institutions from contributing to such funds or instrumentalities. Ninth. To issue and sell securities which are guaranteed pursuant to section 1721(g) of this title. Tenth. To invest in tangible personal property, including, without limitation, vehicles, manufactured homes, machinery, equipment, or furniture, for lease financing transactions on a net lease basis, but such investment may not exceed 10 percent of the assets of the association. -SOURCE- (R.S. Sec. 5136; July 1, 1922, ch. 257, Sec. 1, 42 Stat. 767; Feb. 25, 1927, ch. 191, Sec. 2, 44 Stat. 1226; June 16, 1933, ch. 89, Sec. 16, 48 Stat. 184; Aug. 23, 1935, ch. 614, title III, Sec. 308, 49 Stat. 709; Feb. 3, 1938, ch. 13, Sec. 13, 52 Stat. 26; June 11, 1940, ch. 301, 54 Stat. 261; June 29, 1949, ch. 276, Sec. 1, 63 Stat. 298; July 15, 1949, ch. 338, title VI, Sec. 602(a), 63 Stat. 439; Apr. 9, 1952, ch. 169, 66 Stat. 49; Aug. 2, 1954, ch. 649, title II, Sec. 203, 68 Stat. 622; Aug. 23, 1954, ch. 834, Sec. 2, 68 Stat. 771; July 26, 1956, ch. 741, title II, Sec. 201(c), 70 Stat. 667; Aug. 6, 1959, Pub. L. 86-137, Sec. 2, 73 Stat. 285; Aug. 7, 1959, Pub. L. 86-147, Sec. 10, 73 Stat. 301; Sept. 8, 1959, Pub. L. 86-230, Sec. 1(a), 73 Stat. 457; Sept. 16, 1959, Pub. L. 86-278, 73 Stat. 563; Sept. 23, 1959, Pub. L. 86-372, title IV, Sec. 420, 73 Stat. 679; Sept. 2, 1964, Pub. L. 88-560, title VII, Sec. 701(c), 78 Stat. 800; Mar. 16, 1966, Pub. L. 89-369, Sec. 10, 80 Stat. 72; Nov. 3, 1966, Pub. L. 89-754, title V, Sec. 504(a)(1), 80 Stat. 1277; May 25, 1967, Pub. L. 90-19, Sec. 27(a), 81 Stat. 28; Aug. 1, 1968, Pub. L. 90-448, title VIII, Sec. 804(c), 807(j), title IX, Sec. 911, title XVII, Sec. 1705(h), 82 Stat. 543, 545, 550, 605; Aug. 12, 1970, Pub. L. 91-375, Sec. 6(d), 84 Stat. 776; June 23, 1972, Pub. L. 92-318, title I, Sec. 133(c)(1), 86 Stat. 269; Dec. 9, 1969, Pub. L. 91-143, Sec. 12(b), as added July 13, 1972, Pub. L. 92-349, title I, Sec. 101, 86 Stat. 466; Oct. 18, 1972, Pub. L. 92-500, Sec. 12(n), 86 Stat. 902; Aug. 16, 1973, Pub. L. 93-100, Sec. 5(c), 87 Stat. 344; Dec. 29, 1973, Pub. L. 93-224, Sec. 14, 87 Stat. 941; Dec. 31, 1973, Pub. L. 93-234, title II, Sec. 207, 87 Stat. 984; Aug. 22, 1974, Pub. L. 93-383, title II, Sec. 206, title VIII, Sec. 805(c)(1), 88 Stat. 668, 726; Mar. 31, 1980, Pub. L. 96-221, title VII, Sec. 711, 94 Stat. 189; Aug. 13, 1981, Pub. L. 97-35, title XIII, Sec. 1342(a), 95 Stat. 743; Oct. 15, 1982, Pub. L. 97-320, title IV, Sec. 404(b), 96 Stat. 1511; Jan. 12, 1983, Pub. L. 97-457, Sec. 18, 96 Stat. 2509; Oct. 3, 1984, Pub. L. 98-440, title I, Sec. 105(c), 98 Stat. 1691; Oct. 12, 1984, Pub. L. 98-473, title I, Sec. 101(1) (title I, Sec. 101), 98 Stat. 1884, 1885; Aug. 10, 1987, Pub. L. 100-86, title I, Sec. 108, 101 Stat. 579; Sept. 28, 1988, Pub. L. 100-449, title III, Sec. 308, 102 Stat. 1877; Nov. 5, 1990, Pub. L. 101-513, title V, Sec. 562(c)(10)(B), (e)(1)(B), 104 Stat. 2036, 2037.) -REFTEXT- REFERENCES IN TEXT Title 62 of the Revised Statutes, referred to in par. Seventh, was in the original 'this Title' meaning title 62 of the Revised Statutes, consisting of R.S. Sec. 5133 to 5243, which are classified to sections 21, 22 to 24, 25a, 26 to 29, 35 to 37, 39, 51, 52, 53, 56, 57, 59 to 62, 66, 71, 72 to 76, 81 to 91, 93, 93a, 94, 101a, 102, 104, 107 to 110, 123, 124, 131 to 138, 141 to 144, 151, 152, 161, 164, 168 to 175, 181 to 186, 192 to 196, 481 to 485, 501, 541, 548, and 582 of this title. See, also, sections 8, 333, 334, 475, 656, 709, 1004, and 1005 of Title 18, Crimes and Criminal Procedure. For complete classification of R.S. Sec. 5133 to 5243 to the Code, see Tables. The Federal Farm Loan Act, referred to in par. Seventh, is act July 17, 1916, ch. 245, 39 Stat. 360, which was classified to section 641 et seq. of this title prior to its repeal by Pub. L. 92-181, Sec. 5.26(a), Dec. 10, 1971, 85 Stat. 624. See chapter 23 (Sec. 2001 et seq.) of this title. The National Housing Act, referred to in par. Seventh, is act June 27, 1934, ch. 847, 48 Stat. 1246, as amended. Title XI of the National Housing Act is title XI of act June 27, 1934, ch. 847, as added by act Nov. 3, 1966, Pub. L. 89-754, title V, Sec. 502(a), 80 Stat. 1274, which is classified generally to subchapter IX-B (Sec. 1749aaa et seq.) of chapter 13 of this title. For complete classification of this Act to the Code, see section 1701 of this title and Tables. Section 110 of the Housing Act of 1949 (42 U.S.C. 1460), referred to in par. Seventh, was omitted from the Code pursuant to section 5316 of Title 42, The Public Health and Welfare, which terminated authority to make grants or loans under title I of that Act (42 U.S.C. 1450 et seq.) after Jan. 1, 1975. The United States Housing Act of 1937, referred to in par. Seventh, is act Sept. 1, 1937, ch. 896, as revised generally by Pub. L. 93-383, title II, Aug. 22, 1974, 88 Stat. 653, and is classified to chapter 8 (Sec. 1437 et seq.) of Title 42. For complete classification of this Act to the Code, see Short Title note set out under section 1437 of Title 42 and Tables. The Housing and Urban Development Act of 1968, referred to in par. Seventh, is Pub. L. 90-448, Aug. 1, 1968, 82 Stat. 476, as amended. Title IX of the Housing and Urban Development Act is classified principally to chapter 49 (Sec. 3931 et seq.) of Title 42. For complete classification of this Act to the Code, see Short Title of 1968 Amendment note set out under section 1701 of this title and Tables. -COD- CODIFICATION Amendment by Pub. L. 98-473 is based on section 211(a) of title II of S. 2416, as introduced in the Senate on Mar. 13, 1984, which was enacted into permanent law by section 101(1) of Pub. L. 98-473. R.S. Sec. 5136 derived from act June 3, 1864, ch. 106, Sec. 8, 13 Stat. 101, which was the National Bank Act. See section 38 of this title. -MISC3- AMENDMENTS 1990 - Par. Seventh. Pub. L. 101-513 inserted 'the European Bank for Reconstruction and Development,' before 'the Inter-American Development Bank,' and substituted 'the African Development Bank, the Inter-American Investment Corporation, or the International Finance Corporation,' for 'the African Development Bank or the Inter-American Investment Corporation,'. 1988 - Par. Seventh. Pub. L. 100-449 inserted provisions authorizing national banking associations to deal in, underwrite, and purchase Canadian government obligations for the association's own account. 1987 - Par. Tenth. Pub. L. 100-86 added par. Tenth. 1984 - Par. Seventh. Pub. L. 98-473 inserted reference to the Inter-American Investment Corporation. Pub. L. 98-440 inserted provision that the limitations and restrictions contained in this paragraph as to an association purchasing investment securities for its own account shall not apply to securities offered and sold pursuant to section 15 U.S.C. 77d(5), or that are mortgage related securities (as defined in 15 U.S.C. 78c(a)(41)), subject to such regulations as the Comptroller of the Currency may prescribe. 1983 - Par. Seventh. Pub. L. 97-457 substituted '10 per centum of the association's' for '10 per centum of its' after 'exceed at any time'. 1982 - Par. Seventh. Pub. L. 97-320 substituted 'Provided further, That notwithstanding any other provision of this paragraph, the association may purchase for its own account shares of stock of a bank insured by the Federal Deposit Insurance Corporation or a holding company which owns or controls such an insured bank if the stock of such bank or company is owned exclusively (except to the extent directors' qualifying shares are required by law) by depository institutions and such bank or company and all subsidiaries thereof are engaged exclusively in providing services for other depository institutions and their officers, directors, and employees, but in no event shall the total amount of such stock held by the association in any bank or holding company exceed at any time 10 per centum of its capital stock and paid in and unimpaired surplus and in no event shall the purchase of such stock result in an association's acquiring more than 5 per centum of any class of voting securities of such bank or company' for 'Provided further, That, notwithstanding any other provision of this paragraph, the association may purchase for its own account shares of stock of a bank insured by the Federal Deposit Insurance Corporation if the stock of such bank is owned exclusively by other banks (except to the extent State law requires directors qualifying shares) and if such bank is engaged exclusively in providing banking services for other banks and their officers, directors, or employees, but in no event shall the total amount of such stock held by the association exceed at any time 10 per centum of its capital stock and paid in and unimpaired surplus, and in no event shall the purchase of such stock result in the association's acquiring more than 5 per centum of any class of voting securities of such bank'. 1981 - Par. Seventh. Pub. L. 97-35 inserted reference to the African Development Bank. 1980 - Par. Seventh. Pub. L. 96-221 inserted proviso relating to purchase of stock in bankers' banks. 1974 - Par. Seventh. Pub. L. 93-383 substituted 'section 6(g) of the United States Housing Act of 1937' for references to section 1421a(b) of title 42 wherever appearing, struck out 'either' before '(1)', '(which obligations shall have a maturity of not more than eighteen months)' in cl. (1) and 'or' before '(2)', added cl. (3), and inserted reference to mortgages, obligations, or other securities sold by the Federal Home Loan Mortgage Corporation pursuant to section 1454 or 1455 of this title. 1973 - Par. Seventh. Pub. L. 93-234 authorized investments by national banks in agricultural credit corporations. Pub. L. 93-224 inserted 'or obligations of the Federal Financing Bank' after 'or obligations, participations, or other instruments of or issued by the Federal National Mortgage Association or the Government National Mortgage Association'. Pub. L. 93-100 inserted provision that the association may purchase shares of stock issued by state housing corporations incorporated in the state in which the association is located and make investments in loans and commitments for loans to such corporations with certain limitations. 1972 - Par. Seventh. Pub. L. 92-500 inserted 'or obligations of the Environmental Financing Authority' after 'Government National Mortgage Association'. Pub. L. 92-349 inserted provisions that limitations and restrictions contained in this section as to dealing in and underwriting investment securities shall not apply to obligations of the Washington Metropolitan Area Transit Authority which are guaranteed by the Secretary of Transportation under section 9 of the National Capital Transportation Act of 1969. Pub. L. 92-318 included obligations or other instruments or securities of the Student Loan Marketing Association. 1970 - Par. Seventh. Pub. L. 91-375 made limitations and restrictions contained in this section as to dealing in and underwriting investment securities inapplicable to bonds, notes and other obligations issued by the United States Postal Service. 1968 - Par. Seventh. Pub. L. 90-448, Sec. 807(j), inserted 'or the Government National Mortgage Association' after 'Federal National Mortgage Association'. Pub. L. 90-448, Sec. 911, authorized the association to purchase for its own account shares of stock issued by a corporation authorized to be created pursuant to sections 3931-3940 of title 42, and to make investments in a partnership, limited partnership, or joint venture formed pursuant to section 3937(a) or 3937(c) of title 42. Pub. L. 90-448, Sec. 1705(h), included obligations issued by any State or political subdivision or any agency of a State or political subdivision for housing, university, or dormitory purposes. Par. Ninth. Pub. L. 90-448, Sec. 804(c), added par. Ninth. 1967 - Par. Seventh. Pub. L. 90-19 substituted 'Secretary of Housing and Urban Development (hereafter in this sentence referred to as the 'Secretary')' for 'Federal Housing Administrator'; and 'Secretary' for 'Housing and Home Finance Administrator' after 'local public agency and the', for 'Administrator' in two instances just before 'agrees to lend', and for 'Public Housing Administration' wherever appearing in cls. (1) and (2), respectively. 1966 - Par. Seventh. Pub. L. 89-754 made limitations and restrictions for dealing, underwriting, and purchasing for its own account of investment securities inapplicable to obligations which are insured by Secretary of Housing and Urban Development under provisions relating to mortgage insurance for group practice facilities. Pub. L. 89-369 inserted provisions that limitations and restrictions contained in this section as to dealing in and underwriting investment securities shall not apply to obligations issued by the Asian Development Bank. 1964 - Par. Seventh. Pub. L. 88-560 substituted 'or obligations, participations, or other instruments of or issued by the Federal National Mortgage Association' for 'or obligations of the Federal National Mortgage Association'. 1959 - Par. Seventh. Pub. L. 86-372 substituted 'monies in an aggregate amount which (together with any other monies irrevocably committed to the payment of interest on such obligations) will suffice to pay, when due, the interest on and all installments (including the final installment) of the principal of such obligations, which monies under the terms of said agreement are required to be used for such payments' for 'prior to the maturity of such obligations (which obligations shall have a maturity of not more than eighteen months), monies in an amount which (together with any other monies irrevocably committed to the payment of interest on such obligations) will suffice to pay the principal of such obligations with interest to maturity thereon, which monies under the terms of said agreement are required to be used for the purpose of paying the principal of and the interest on such obligations at their maturity' after 'local public agency,'. Pub. L. 86-278 substituted 'any' for 'either' before 'of said organizations' in last sentence. Pub. L. 86-230 struck out 'or the Home Owners' Loan Corporation' after 'Federal Home Loan Banks'. Pub. L. 86-147 inserted provisions that limitations and restrictions contained in this section as to dealing in and underwriting investment securities shall not apply to obligations issued by the Inter-American Development Bank. Pub. L. 86-137 inserted provisions that limitations and restrictions contained in this section as to dealing in and underwriting investment securities shall not apply to bonds, notes and other obligations issued by the Tennessee Valley Authority. 1959 - Par. Seventh. Pub. L. 86-372 substituted 'monies in an aggregate amount which (together with any other monies irrevocably committed to the payment of interest on such obligations) will suffice to pay, when due, the interest on and all installments (including the final installment) of the principal of such obligations, which monies under the terms of said agreement are required to be used for such payments' for 'prior to the maturity of such obligations (which obligations shall have a maturity of not more than eighteen months), monies in an amount which (together with any other monies irrevocably committed to the payment of interest on such obligations) will suffice to pay the principal of such obligations with interest to maturity thereon, which monies under the terms of said agreement are required to be used for the purpose of paying the principal of and the interest on such obligations at their maturity' following 'local public agency,'. Pub. L. 86-278 substituted 'any' for 'either' before 'of said organizations' in last sentence. Pub. L. 86-230 struck out 'or the Home Owners' Loan Corporation' after 'Federal Home Loan Banks'. Pub. L. 86-147 inserted provisions that limitations and restrictions contained in this section as to dealing in and underwriting investment securities shall not apply to obligations issued by the Inter-American Development Bank. Pub. L. 86-137 inserted provisions that limitations and restrictions contained in this section as to dealing in and underwriting investment securities shall not apply to bonds, notes and other obligations issued by the Tennessee Valley Authority. 1956 - Par. Seventh. Act July 26, 1956, removed restriction which prohibited a national bank from investing in obligations of the thirteen banks for cooperatives an amount exceeding 10 percent of its capital stock actually paid in and unimpaired and 10 percent of its unimpaired surplus. 1954 - Par. Seventh. Act Aug. 23, 1954, substituted 'thirteen banks for cooperatives organized under the Farm Credit Act of 1933, or any of them' for 'Central Bank for Cooperatives' in last sentence. Act Aug. 2, 1954, substituted 'or obligations of the Federal National Mortgage Association' for 'or obligations of national mortgage associations' in sixth sentence. 1952 - Par. Seventh. Act Apr. 9, 1952, enabled national banks and State member banks of the Federal Reserve System to receive compensation in the distribution of debentures issued by the Central Bank for Cooperation. 1949 - Par. Seventh. Act July 15, 1949, inserted, in next to last sentence, 'or such obligations of any local public agency (as defined in section 110(h) of the Housing Act of 1949) as are secured by an agreement between the local public agency and the Housing and Home Finance Administrator in which the local public agency agrees to borrow from said Administrator, and said Administrator agrees to lend to said local public agency, prior to the maturity of such obligations (which obligations shall have a maturity of not more than eighteen months), monies in an amount which (together with any other monies irrevocably committed to the payment of interest on such obligations) will suffice to pay the principal of such obligations with interest to maturity thereon, which monies under the terms of said agreement are required to be used for the purpose of paying the principal of and the interest on such obligations at their maturity, or such obligations of a public housing agency (as defined in the United States Housing Act of 1937, as amended) as are secured either (1) by an agreement between the public housing agency and the Public Housing Administration in which the public housing agency agrees to borrow from the Public Housing Administration, and the Public Housing Administration agrees to lend to the public housing agency, prior to the maturity of such obligations (which obligations shall have a maturity of not more than eighteen months), monies in an amount which (together with any other monies irrevocably committed to the payment of interest on such obligations) will suffice to pay the principal of such obligations with interest to maturity thereon, which monies under the terms of said agreement are required to be used for the purpose of paying the principal of and the interest on such obligations at their maturity, or (2) by a pledge of annual contributions under an annual contributions contract between such public housing agency and the Public Housing Administration if such contract shall contain the covenant by the Public Housing Administration which is authorized by subsection (b) of section 22 of the United States Housing Act of 1937, as amended, and if the maximum sum and the maximum period specified in such contract pursuant to said subsection 22(b) shall not be less than the annual amount and the period for payment, which are requisite to provide for the payment when due of all installments of principal and interest on such obligations'. Act June 29, 1949, inserted last sentence to permit national banks and State member banks of the Federal Reserve System to deal in and underwrite obligations issued by the International Bank subject to certain limitations. 1940 - Par. Eighth. Act June 11, 1940, added par. Eighth. 1938 - Par. Seventh. Act Feb. 3, 1938, inserted 'or obligations of national mortgage associations' in last sentence. 1935 - Par. Seventh. Act Aug. 23, 1935, amended second, fourth, and last sentences. 1933 - Act June 16, 1933, among other changes, struck out closing paragraph prohibiting transaction of any business by association prior to authorization by Comptroller, except that necessarily preliminary to organization. 1927 - Act Feb. 25, 1927, struck out definite period of succession in par. Second, and inserted provisos in par. Seventh. EFFECTIVE AND TERMINATION DATES OF 1988 AMENDMENT Amendment by Pub. L. 100-449 effective on date United States-Canada Free-Trade Agreement enters into force (Jan. 1, 1989), and to cease to have effect on date Agreement ceases to be in force, see section 501(a), (c) of Pub. L. 100-449, set out in a note under section 2112 of Title 19, Customs Duties. EFFECTIVE DATE OF 1981 AMENDMENT Amendment by Pub. L. 97-35 effective Aug. 13, 1981, see section 1372 of Pub. L. 97-35, set out as an Effective Date note under section 290i of Title 22, Foreign Relations and Intercourse. EFFECTIVE DATE OF 1973 AMENDMENTS Amendment by Pub. L. 93-224 effective Dec. 29, 1973, see section 20 of Pub. L. 93-224, set out as an Effective Date note under section 2281 of this title. Amendment by Pub. L. 93-100 effective Aug. 16, 1973, see section 8 of Pub. L. 93-100, set out as an Effective Date note under section 1469 of this title. EFFECTIVE DATE OF 1970 AMENDMENT For effective date of amendment by Pub. L. 91-375, see section 15(a) of Pub. L. 91-375, set out as an Effective Date note preceding section 101 of Title 39, Postal Service. EFFECTIVE DATE OF 1968 AMENDMENT For effective date of amendment by title VIII of Pub. L. 90-448, see section 808 of Pub. L. 90-448, set out as an Effective Date note under section 1716b of this title. EFFECTIVE DATE OF 1956 AMENDMENT Amendment by act July 26, 1956, effective Jan. 1, 1957, see section 202(a) of act July 26, 1956. EFFECTIVE DATE OF 1933 AMENDMENT Section 16 of act June 16, 1933, provided that restrictions of this section as to dealing in investment securities shall take effect one year after June 16, 1933. -TRANS- EXCEPTION AS TO TRANSFER OF FUNCTIONS Functions vested by any provision of law in Comptroller of the Currency, referred to in this section, not included in transfer of functions to Secretary of the Treasury, see note set out under section 1 of this title. ABOLITION OF HOME OWNERS' LOAN CORPORATION For dissolution and abolishment of Home Owners' Loan Corporation, by act June 30, 1953, ch. 170, Sec. 21, 67 Stat. 126, see note set out under section 1463 of this title. -CROSS- CROSS REFERENCES Definition of State and State housing corporation, see section 1470 of this title. Home Owners' Loan Corporation, termination of functions, see section 712a of Title 15, Commerce and Trade. Investment of customers' moneys by futures commission merchants in investment securities, see section 6d of Title 7, Agriculture. National Housing Act, applicability of this section to, see section 1733 of this title. State member banks of Federal Reserve System, dealings in investment securities as subject to limitations and conditions of par. 'Seventh' of this section, see section 335 of this title. -SECREF- SECTION REFERRED TO IN OTHER SECTIONS This section is referred to in sections 335, 371c, 378, 1733, 1841, 1843, 3102 of this title; title 22 section 286k-2. ------DocID 16645 Document 9 of 244------ -CITE- 12 USC CHAPTER 24 -EXPCITE- TITLE 12 CHAPTER 24 -HEAD- CHAPTER 24 - FEDERAL FINANCING BANK -MISC1- Sec. 2281. Congressional findings and declaration of purpose. 2282. Definitions. 2283. Creation of Federal Financing Bank. 2284. Board of Directors. 2285. Functions. (a) Purchase and sale of obligations issued, sold, or guaranteed by Federal agencies. (b) Yield. (c) Fees. 2285a. Acquisition of obligations involving loan guarantees for New York City. 2286. Approval of financing plans by Secretary of the Treasury. (a) Method, source, timing, terms, and conditions of sale of obligations issued or sold by Federal agencies. (b) Grant or denial of approval by Secretary. (c) Time and form for submission of financing plans. 2287. Initial capital. 2288. Bank obligations. (a) Maximum amount of obligations issued publicly and outstanding at any one time. (b) Purchase and sale of obligations of Federal Financing Bank by Secretary of the Treasury as public debt transactions. (c) Authority of Federal Financing Bank to require Secretary of the Treasury to purchase obligations of the Bank. (d) Bank obligations as lawful investments. 2289. General powers. 2290. Exemptions. (a) Federal, State, and local taxes. (b) Exempt securities. (c) Budget status of Federal agencies; restrictions. 2291. Preparation of obligations. 2292. Annual report to the President and Congress. 2293. Budget and audit provisions of Government corporation control law applicable. 2294. Payments on behalf of public bodies. 2294a. Contracts for periodic payments to offset costs of purchase of obligations of local public housing agencies. 2295. Authority or responsibility under other provisions of law not to be affected or impaired. 2296. Increase not authorized in amounts of obligations issued, sold, or guaranteed by Federal agencies. -SECREF- CHAPTER REFERRED TO IN OTHER SECTIONS This chapter is referred to in section 1824 of this title; title 42 sections 8814, 8835. ------DocID 17000 Document 10 of 244------ -CITE- 13 USC Sec. 24 -EXPCITE- TITLE 13 CHAPTER 1 SUBCHAPTER II -HEAD- Sec. 24. Special employment provisions -STATUTE- (a) The Secretary may utilize the services of nontemporary employees of the Bureau (by assignment, promotion, appointment, detail, or otherwise) in temporary positions established for any census, for not to exceed the period during which appropriations are available for that census. Whenever the Secretary determines that the services of an employee which have been utilized under this section are no longer required in such a temporary position, he may, without regard to the provisions of any other law, return the employee to a continuing position, with rank and compensation not less than that which he held in his last permanent position in the Bureau: Provided, That no employee shall, by reason of his service in a temporary position under this subsection, lose the protection of any law or regulation with respect to his separation, suspension, furlough, or reduction in rank or compensation below the level held in his last permanent position in the Bureau. Service by a nontemporary employee in a temporary position under this subsection shall be creditable for step-increases (both periodic and longevity) under title VII of the Classification Act of 1949, as amended, as though it were a continuation of service in his last permanent position. (b) As used in this title with respect to appointments or positions, 'temporary' shall be construed to mean not in excess of one year, or not in excess of the specific period during which appropriations are available for the conduct of a particular census, whichever is longer. No employee of the Bureau who holds only a temporary appointment within the meaning of this section shall be considered as other than strictly temporary for purposes of any other provision of law relating to separations, suspensions, or reductions in rank or compensation. (c) The enlisted men and officers of the uniformed services may be appointed and compensated for service in temporary enumerator positions for the enumeration of personnel of the uniformed services. (d) The Secretary may fix compensation on a piece-price basis without limitation as to the amount earned per diem, and payments may be made to enumerators for the use of private automobiles on official business without regard to section 4 of the Travel Expense Act of 1949, as amended (5 U.S.C. 837), but at rates not in excess of the rates provided by that Act. (e) The Secretary may authorize the expenditure of necessary sums for travel expenses of persons selected for appointment for attendance at training courses held by the Department of Commerce with respect to any of the work provided for by law. (f) Notwithstanding any other provision of law prohibiting the expenditure of public money for telephone service, the Secretary, under such regulations as he shall prescribe, may authorize reimbursement for tolls or charges for telephone service from private residences or private apartments to the extent such charges are determined by the Secretary to have been incurred to facilitate the collection of information in connection with the censuses and surveys authorized by this title. -SOURCE- (Aug. 31, 1954, ch. 1158, 68 Stat. 1015; Sept. 13, 1960, Pub. L. 86-769, Sec. 3, 74 Stat. 911; Aug. 31, 1964, Pub. L. 88-535, 78 Stat. 744.) -MISC1- HISTORICAL AND REVISION NOTES Based on title 13, U.S.C., 1952 ed., Sec. 111, 122, 203, 252, and section 1442 of title 42, U.S.C. 1952 ed., The Public Health and Welfare (Mar. 6, 1902, ch. 139, Sec. 7, 32 Stat. 52; June 7, 1906, ch. 3048, 34 Stat. 218; June 18, 1929, ch. 28, Sec. 3, 46 Stat. 21; 1939 Reorganization Plan No. II, Sec. 4(e), eff. July 1, 1939, 4 F.R. 2731, 53 Stat. 1431; 1940 Reorganization Plan No. III, Sec. 3, eff. June 30, 1940, 5 F.R. 2107, 54 Stat. 1232; June 25, 1947, ch. 124, 61 Stat. 163; June 19, 1948, ch. 502, Sec. 2, 62 Stat. 479; July 6, 1949, ch. 298, Sec. 1, 2, 63 Stat. 406; July 15, 1949, ch. 338, title VI, Sec. 607, 63 Stat. 441; Oct. 28, 1949, ch. 782, title XI, Sec. 1106(a), 63 Stat. 972; Sept. 7, 1950, ch. 910, Sec. 2, 4, 64 Stat. 784, 785). Section consolidates those provisions of sections 111, 122, 203 and 252 of title 13, U.S.C., 1952 ed., which related to appointment of special personnel for census work, collection of statistics, etc., and the use of permanent employees for such purpose, with that part of subsection (b) of section 1442 of title 42, U.S.C., 1952 ed., which made such section 203 applicable to housing censuses (subchapter II of chapter 5 of this title). The provisions have been reworded to make it clear that they relate to all collections of statistics, censuses, etc., provided for in this title. References to the Director of the Census have been changed to references to the Secretary (of Commerce) to conform with 1950 Reorganization Plan No. 5, Sec. 1, 2, eff. May 24, 1950, 15 F.R. 3174, 64 Stat. 1263. See Revision Note to section 4 of this title. Words 'except that such special agents shall be appointed in accordance with the civil service laws' were omitted as obsolete and unnecessary in view of the Classification Act of 1949 (see 5 U.S.C., 1952 ed., ch. 21). The provisions of section 203 of title 13, U.S.C., 1952 ed., relating to per diem rates of compensation for special agents, to authority to detail permanent employees and special agents to act as supervisors or enumerators, and to duties thereof, were omitted as obsolete and superseded by the Classification Act of 1949. The provision of section 203 of title 13, U.S.C., 1952 ed., that the Director of the Census might delegate to the supervisors the authority to appoint enumerators, was omitted because all functions of the Director and other officers and employees of the Department of Commerce and its bureaus and agencies were transferred to the Secretary by 1950 Reorganization Plan No. 5, referred to above. However, section 4 of this title provides for delegation of functions by the Secretary. Words 'on a temporary basis' were inserted after 'appointed' in subsection (a) for the purpose of clarity. Changes were made in phraseology and arrangement. Remainder of section 203 of title 13, U.S.C., 1952 ed., is incorporated in this subchapter, and for remainder of sections 111, 122 and 252 thereof, and of section 1442 of title 42, U.S.C., 1952 ed. (which has been transferred in its entirety to this revised title), see Distribution Table. -REFTEXT- REFERENCES IN TEXT Title VII of the Classification Act of 1949, as amended, referred to in subsec. (a), is title VII of act Oct. 28, 1949, ch. 872, 63 Stat. 967, as amended, which was classified to sections 1121 to 1123 of former Title 5, Executive Departments and Government Officers and Employees, and was repealed by Pub. L. 89-554, Sec. 8(a), Sept. 6, 1966, 80 Stat. 632, and reenacted by the first section thereof as sections 5335 and 5336 of Title 5, Government Organization and Employees. Section 4 of the Travel Expense Act of 1949, as amended (5 U.S.C. 837), referred to in subsec. (d), was repealed by Pub. L. 89-554, Sec. 8(a), Sept. 6, 1966, 80 Stat. 632, and reenacted by the first section thereof as section 5704 of Title 5. -MISC2- AMENDMENTS 1964 - Subsec. (f). Pub. L. 88-535 added subsec. (f). 1960 - Pub. L. 86-769 amended section generally, and among other changes, permitted the utilization of nontemporary employees in temporary service, and their return, when the Secretary so determines, to a continuing position with rank and compensation not less than that of their last permanent position, with no loss of protection of any law or regulation with respect to their separation, suspension, furlough or reduction in rank or compensation below their last permanent position, provided that service by nontemporary employees in temporary positions is creditable for step-increases as though a continuation of their last permanent positions, defined 'temporary', and provided for payments to enumerators for the use of private automobiles on official business. SALARY PROTECTION FOR EMPLOYEES SUBJECT TO CLASSIFICATION ACT OF 1949 Special provisions of this section respecting utilization of nontemporary employees of the Bureau of the Census in temporary positions in connection with any census unaffected by provisions for salary protection to employees subject to Classification Act of 1949, see section 103 of Pub. L. 87-270, title I, Sept. 21, 1961, 75 Stat. 569. -CROSS- CROSS REFERENCES Collection and publication of foreign commerce and trade statistics, applicability of section to, see section 307 of this title. Duties of employees doing census work and making surveys, see section 25 of this title. -SECREF- SECTION REFERRED TO IN OTHER SECTIONS This section is referred to in section 307 of this title. ------DocID 17466 Document 11 of 244------ -CITE- 15 USC Sec. 24 -EXPCITE- TITLE 15 CHAPTER 1 -HEAD- Sec. 24. Liability of directors and agents of corporation -STATUTE- Whenever a corporation shall violate any of the penal provisions of the antitrust laws, such violation shall be deemed to be also that of the individual directors, officers, or agents of such corporation who shall have authorized, ordered, or done any of the acts constituting in whole or in part such violation, and such violation shall be deemed a misdemeanor, and upon conviction therefor of any such director, officer, or agent he shall be punished by a fine of not exceeding $5,000 or by imprisonment for not exceeding one year, or by both, in the discretion of the court. -SOURCE- (Oct. 15, 1914, ch. 323, Sec. 14, 38 Stat. 736.) -REFTEXT- REFERENCES IN TEXT The antitrust laws, referred to in text, are defined in section 12 of this title. ------DocID 17766 Document 12 of 244------ -CITE- 15 USC Sec. 80a-24 -EXPCITE- TITLE 15 CHAPTER 2D SUBCHAPTER I -HEAD- Sec. 80a-24. Registration of securities under Securities Act of 1933 -STATUTE- (a) Registration statement; contents In registering under the Securities Act of 1933 (15 U.S.C. 77a et seq.), any security of which it is the issuer, a registered investment company, in lieu of furnishing a registration statement containing the information and documents specified in schedule A of said Act (15 U.S.C. 77aa), may file a registration statement containing the following information and documents: (1) such copies of the registration statement filed by such company under this subchapter, and of such reports filed by such company pursuant to section 80a-29 of this title or such copies of portions of such registration statement and reports, as the Commission shall designate by rules and regulations; and (2) such additional information and documents (including a prospectus) as the Commission shall prescribe by rules and regulations as necessary or appropriate in the public interest or for the protection of investors. (b) Filing of three copies of advertisement, pamphlet, etc. in connection with public offering; time of filing It shall be unlawful for any of the following companies, or for any underwriter for such a company, in connection with a public offering of any security of which such company is the issuer, to make use of the mails or any means or instrumentalities of interstate commerce, to transmit any advertisement, pamphlet, circular, form letter, or other sales literature addressed to or intended for distribution to prospective investors unless three copies of the full text thereof have been filed with the Commission or are filed with the Commission within ten days thereafter: (1) any registered open-end company; (2) any registered unit investment trust; or (3) any registered face-amount certificate company. (c) Additional requirement for prospectuses relating to periodic payment plan certificates or face-amount certificate In addition to the powers relative to prospectuses granted the Commission by section 10 of the Securities Act of 1933 (15 U.S.C. 77j), the Commission is authorized to require, by rules and regulations or order, that the information contained in any prospectus relating to any periodic payment plan certificate or face-amount certificate registered under the Securities Act of 1933 (15 U.S.C. 77a et seq.), on or after the effective date of this subchapter be presented in such form and order of items, and such prospectus contain such summaries of any portion of such information, as are necessary or appropriate in the public interest or for the protection of investors. (d) Application of other provisions to securities of investment companies, face-amount certificate companies, and open-end companies or unit investment trust The exemption provided by paragraph (8) of section 3(a) of the Securities Act of 1933 (15 U.S.C. 77c(a)(8)) shall not apply to any security of which an investment company is the issuer. The exemption provided by paragraph (11) of said section 3(a) (15 U.S.C. 77c(a)(11)) shall not apply to any security of which a registered investment company is the issuer. The exemption provided by section 4(3) of the Securities Act of 1933 (15 U.S.C. 77d(3)) shall not apply to any transaction in a security issued by a face-amount certificate company or in a redeemable security issued by an open-end management company or unit investment trust if any other security of the same class is currently being offered or sold by the issuer or by or through an underwriter in a distribution which is not exempted from section 5 of said Act (15 U.S.C. 77e), except to such extent and subject to such terms and conditions as the Commission, having due regard for the public interest and the protection of investors, may prescribe by rules or regulations with respect to any class of persons, securities, or transactions. (e) Amendment of registration statements relating to securities issued by face-amount certificate companies, open-end management companies or unit investment trusts (1) A registration statement under the Securities Act of 1933 (15 U.S.C. 77a et seq.) relating to a security issued by a face-amount certificate company or a redeemable security issued by an open-end management company or unit investment trust may be amended after its effective date so as to increase the securities specified therein as proposed to be offered. At the time of filing such amendment there shall be paid to the Commission a fee, calculated in the manner specified in section 6(b) of said Act (15 U.S.C. 77f(b)), with respect to the additional securities therein proposed to be offered. (2) The filing of such an amendment to a registration statement under the Securities Act of 1933 (15 U.S.C. 77a et seq.) shall not be deemed to have taken place unless it is accompanied by a United States postal money order or a certified bank check or cash for the amount of the fee required under paragraph (1) of this subsection. (3) For the purposes of section 11 of the Securities Act of 1933, as amended (15 U.S.C. 77k) the effective date of the latest amendment filed pursuant to this subsection or otherwise shall be deemed the effective date of the registration statement with respect to securities sold after such amendment shall have become effective. For the purposes of section 13 of the Securities Act of 1933, as amended (15 U.S.C. 77m), no such security shall be deemed to have been bona fide offered to the public prior to the effective date of the latest amendment filed pursuant to this subsection. Except to the extent the Commission otherwise provides by rules or regulations as appropriate in the public interest or for the protection of investors, no prospectus relating to a security issued by a face-amount certificate company or a redeemable security issued by an open-end management company or unit investment trust which varies for the purposes of subsection (a)(3) of section 10 of the Securities Act of 1933 (15 U.S.C. 77j(a)(3)) from the latest prospectus filed as a part of the registration statement shall be deemed to meet the requirements of said section 10 (15 U.S.C. 77j) unless filed as part of an amendment to the registration statement under said Act (15 U.S.C. 77a et seq.) and such amendment has become effective. (f) Effective date of registration statements in cases of securities sold in excess of securities included in effective registration statement In the case of securities issued by a face-amount certificate company or redeemable securities issued by an open-end management company or unit investment trust, which are sold in an amount in excess of the number of securities included in an effective registration statement of any such company, such company may, in accordance with such rules and regulations as the Commission shall adopt as it deems necessary or appropriate in the public interest or for the protection of investors, elect to have the registration of such securities deemed effective as of the time of their sale, upon payment to the Commission, within six months after any such sale, of a registration fee of three times the amount of the fee which would have otherwise been applicable to such securities. Upon any such election and payment, the registration statement of such company shall be considered to have been in effect with respect to such shares. The Commission may also adopt rules and regulations as it deems necessary or appropriate in the public interest or for the protection of investors to permit the registration of an indefinite number of the securities issued by a face-amount certificate company or redeemable securities issued by an open-end management company or unit investment trust. -SOURCE- (Aug. 22, 1940, ch. 686, title I, Sec. 24, 54 Stat. 825; Aug. 10, 1954, ch. 667, title IV, Sec. 402, 403, 68 Stat. 689; Dec. 14, 1970, Pub. L. 91-547, Sec. 13, 84 Stat. 1423; Dec. 4, 1987, Pub. L. 100-181, title VI, Sec. 617, 101 Stat. 1262.) -REFTEXT- REFERENCES IN TEXT The Securities Act of 1933, referred to in subsecs. (a), (c), and (e), is act May 27, 1933, ch. 38, title I, 48 Stat. 74, as amended, which is classified generally to subchapter I (Sec. 77a et seq.) of chapter 2A of this title. For complete classification of this Act to the Code, see section 77a of this title and Tables. For the effective date of this subchapter, referred to in subsec. (c), see section 80a-52 of this title. -MISC2- AMENDMENTS 1987 - Subsec. (d). Pub. L. 100-181 struck out ', except a security sold or disposed of by the issuer or bona fide offered to the public prior to the effective date of this subchapter and with respect to a security so sold, disposed of, or offered, shall not apply to any new offering thereof on or after the effective date of this subchapter' at end of second sentence. 1970 - Subsec. (d). Pub. L. 91-547, Sec. 13(a), substituted 'section 4(3) of the Securities Act of 1933' for 'the third clause of section 4(1) of the Securities Act of 1933' and struck out the comma before 'if any'. Subsec. (f). Pub. L. 91-547, Sec. 13(b), added subsec. (f). 1954 - Subsec. (d). Act Aug. 10, 1954, Sec. 402, inserted provision making dealer's exemption contained in third clause of section 77d(1) of this title inapplicable to transactions in the securities of investment companies that are offered to the public on a continuous basis, subject to certain exceptions. Subsec. (e). Act Aug. 10, 1954, Sec. 403, added subsec. (e). EFFECTIVE DATE OF 1970 AMENDMENT Amendment by Pub. L. 91-547 effective Dec. 14, 1970, see section 30 of Pub. L. 91-547, set out as a note under section 80a-52 of this title. EFFECTIVE DATE OF 1954 AMENDMENT Amendment by act Aug. 10, 1954, effective sixty days after Aug. 10, 1954, see note under section 77b of this title. -TRANS- TRANSFER OF FUNCTIONS For transfer of functions of Securities and Exchange Commission, with certain exceptions, to Chairman of such Commission, see Reorg. Plan No. 10 of 1950, Sec. 1, 2, eff. May 24, 1950, 15 F.R. 3175, 64 Stat. 1265, set out under section 78d of this title. -SECREF- SECTION REFERRED TO IN OTHER SECTIONS This section is referred to in section 80a-6 of this title. ------DocID 18422 Document 13 of 244------ -CITE- 15 USC CHAPTER 24 -EXPCITE- TITLE 15 CHAPTER 24 -HEAD- CHAPTER 24 - TRANSPORTATION OF GAMBLING DEVICES -MISC1- Sec. 1171. Definitions. 1172. Transportation of gambling devices as unlawful; exceptions; authority of Federal Trade Commission. 1173. Registration of manufacturers and dealers. (a) Activities requiring registration; contents of registration statement. (b) Numbering of devices. (c) Records; required information. (d) Retention of records. (e) Dealing in, owning, possessing, or having custody of devices not marked or numbered; false entries in records. (f) Authority of Federal Bureau of Investigation. 1174. Labeling and marking of shipping packages. 1175. Specific jurisdictions within which manufacturing, repairing, selling, possessing, etc., prohibited. 1176. Penalties. 1177. Confiscation of gambling devices and means of transportation; laws governing. 1178. Nonapplicability of chapter to certain machines and devices. ------DocID 19650 Document 14 of 244------ -CITE- 16 USC Sec. 24 -EXPCITE- TITLE 16 CHAPTER 1 SUBCHAPTER V -HEAD- Sec. 24. Jurisdiction over park; fugitives from justice -STATUTE- The Yellowstone National Park, as its boundaries now are defined, or as they may be hereafter defined or extended, shall be under the sole and exclusive jurisdiction of the United States. All the laws applicable to places under the sole and exclusive jurisdiction of the United States, shall have force and effect in said park. Nothing in this Act shall be construed to forbid the service in the park of any civil or criminal process of any court having jurisdiction in the States of Idaho, Montana, and Wyoming. All fugitives from justice taking refuge in said park shall be subject to the same laws as refugees from justice found in the State of Wyoming. -SOURCE- (May 7, 1894, ch. 72, Sec. 1, 28 Stat. 73.) -REFTEXT- REFERENCES IN TEXT This Act, referred to in text, is act May 7, 1894, which is classified to sections 24 to 30a of this title. For complete classification of this Act to the Code, see Tables. -COD- CODIFICATION Section 2 of act May 7, 1894, provided that the Yellowstone National Park should be part of the judicial district of Wyoming, and that the courts of the United States for the district should have jurisdiction of all offenses committed within the park. It was superseded by act Mar. 3, 1911, ch. 231, Sec. 115, 36 Stat. 1130, constituting the State of Wyoming and Yellowstone National Park the judicial district of Wyoming, that section being in turn superseded by act June 5, 1924, ch. 260, 43 Stat. 388. Provisions of that act are covered by section 131 of Title 28, Judiciary and Judicial Procedure. -MISC3- WYOMING: JURISDICTION OVER PARK The act admitting the State of Wyoming into the Union, act July 10, 1890, ch. 664, 26 Stat. 222, contained a proviso annexed to the description of the boundaries of the State, in section 2 of the act, as follows: 'That nothing in this act contained shall repeal or affect any act of Congress relating to the Yellowstone National Park, or the reservation of the Park as now defined, or as may be hereafter defined or extended, or the power of the United States over it; and nothing contained in this act shall interfere with the right and ownership of the United States in said park and reservation as it now is or may hereafter be defined or extended by law; but exclusive legislation, in all cases whatsoever, shall be exercised by the United States, which shall have exclusive control and jurisdiction over the same; but nothing in this proviso contained shall be construed to prevent the service within said park of civil and criminal process lawfully issued by the authority of said State.' -CROSS- CROSS REFERENCES Laws of States adopted for areas within Federal jurisdiction, see section 13 of Title 18, Crimes and Criminal Procedure. -SECREF- SECTION REFERRED TO IN OTHER SECTIONS This section is referred to in sections 21b, 30a of this title. ------DocID 20431 Document 15 of 244------ -CITE- 16 USC Sec. 410cc-24 -EXPCITE- TITLE 16 CHAPTER 1 SUBCHAPTER LIX-A Part B -HEAD- Sec. 410cc-24. Withholding of funds; criteria -STATUTE- The Secretary may refuse to obligate or expend any money appropriated for the purposes described in section 410cc-13(a)(1) or section 410cc-13(a)(2) of this title if the Secretary determines that - (a) the city of Lowell has failed to establish regulations or laws consistent with the standards and criteria established pursuant to section 410cc-32(e) of this title within one year after the date such standards and criteria have been established, except that the Secretary may extend such one-year period for not more than six months if the Secretary determines that the city has made a good faith effort to establish such regulations or laws; (b) the city of Lowell has failed to notify the Commission of (1) applications for building permits or zoning variances respecting any property which is included in the index established pursuant to section 410cc-32(d) of this title, or (2) any proposals of the city of Lowell to change the regulations or laws described in paragraph (c)(1) of this subsection; (c)(1) during the period before the city of Lowell has established regulations or laws consistent with the standards and criteria established pursuant to section 410cc-32(e) of this title, the city of Lowell has granted any building permit or zoning variance or has taken any other action respecting any property within the park or preservation district, which either the Secretary or the Commission consider to be inconsistent with such standards and criteria; (2) after the city of Lowell has established the regulations or laws described in subparagraph (1) of this paragraph, the city of Lowell has granted any building permit or zoning variance or has taken any other action respecting any property within the park or preservation district, which either the Secretary or the Commission consider to be inconsistent with such regulations or laws; or (d) the Commission has not made good faith efforts to (1) provide for the preservation, restoration, management, development, or maintenance of property within the park and preservation district or (2) carry out the park preservation plan approved under section 410cc-32 of this title. -SOURCE- (Pub. L. 95-290, title II, Sec. 204, June 5, 1978, 92 Stat. 294.) -SECREF- SECTION REFERRED TO IN OTHER SECTIONS This section is referred to in section 410cc-25 of this title. ------DocID 21117 Document 16 of 244------ -CITE- 16 USC Sec. 460m-24 -EXPCITE- TITLE 16 CHAPTER 1 SUBCHAPTER LXXI-A -HEAD- Sec. 460m-24. Class I or class II redesignation for clean air purposes -STATUTE- For the purposes of part C of the Clean Air Act (42 U.S.C. 7470 et seq.), the State may redesignate the national river only as class I or class II. -SOURCE- (Pub. L. 95-625, title XI, Sec. 1111, Nov. 10, 1978, 92 Stat. 3548.) -REFTEXT- REFERENCES IN TEXT The Clean Air Act, referred to in text, is act July 14, 1955, ch. 360, as amended generally by Pub. L. 88-206, Dec. 17, 1963, 77 Stat. 392, and later by Pub. L. 95-95, Aug. 7, 1977, 91 Stat. 685. The Clean Air Act was originally classified to chapter 15B (Sec. 1857 et seq.) of Title 42, The Public Health and Welfare. On enactment of Pub. L. 95-95, the Act was reclassified to chapter 85 (Sec. 7401 et seq.) of Title 42. Part C of the Clean Air Act is classified generally to part C (Sec. 7470 et seq.) of subchapter I of chapter 85 of Title 42. For complete classification of this Act to the Code, see Short Title note set out under section 7401 of Title 42 and Tables. ------DocID 21214 Document 17 of 244------ -CITE- 16 USC Sec. 460u-24 -EXPCITE- TITLE 16 CHAPTER 1 SUBCHAPTER LXXIX -HEAD- Sec. 460u-24. Little Calumet River and Burns/Portage Waterway -STATUTE- (a) Cooperative agreement The Secretary may enter into a cooperative agreement with the Little Calumet River Basin Development Commission, the State of Indiana or any political subdivision thereof for the planning, management, and interpretation of recreational facilities on the tract within the boundaries of Indiana Dunes National Lakeshore identified as tract numbered 09-177 or on lands under the jurisdiction of the State of Indiana or political subdivision thereof along the Little Calumet River and Burns Waterway. The cooperative agreement may include provision for the planning of public facilities for boating, canoeing, fishing, hiking, bicycling, and other compatible recreational activities. Any recreational developments on lands under the jurisdiction of the National Park Service planned pursuant to this cooperative agreement shall be in a manner consistent with the purposes of this subchapter, including section 460u-6(b) of this title. (b) Study The Secretary shall conduct a study regarding the options available for linking the portions of the lakeshore which are divided by the Little Calumet River and Burns/Portage Waterway so as to coordinate the management and recreational use of the lakeshore. The Secretary shall submit the results of the study to the Committee on Interior and Insular Affairs of the United States House of Representatives and the Committee on Energy and Natural Resources of the United States Senate within two years after October 29, 1986. Effective October 1, 1986, there is authorized to be appropriated such sums as may be necessary for the purposes of conducting the study. -SOURCE- (Pub. L. 89-761, Sec. 24, as added Pub. L. 99-583, Sec. 1(i), Oct. 29, 1986, 100 Stat. 3320.) ------DocID 22830 Document 18 of 244------ -CITE- 16 USC CHAPTER 24 -EXPCITE- TITLE 16 CHAPTER 24 -HEAD- CHAPTER 24 - CONSERVATION AND PROTECTION OF NORTH PACIFIC FUR SEALS -MISC1- SUBCHAPTER I - FUR SEAL MANAGEMENT Sec. 1151. Definitions. 1152. Prohibitions. 1153. Sealing permitted by Aleuts, Eskimos, and Indians. 1154. Scientific research on fur seal resources; use of fur seals for educational, scientific, or exhibition purposes. 1155. Authority of Secretary of Commerce. (a) Regulations with respect to taking of fur seals on Pribilof Islands and on lands subject to United States jurisdiction. (b) Agreements with public and private entities. (c) Taking of fur seals on Saint Paul and Saint George Islands; preference; separate fund in Treasury. 1156. Enforcement provisions. (a) Search of vessels; certificate of identification; exhibition to master. (b) Seizure; arrest; notice; delivery of vessel or person to authorized officials; custody. (c) Testimony of enforcement agents. 1157. North Pacific Fur Seal Commission; appointment of United States Commissioner, Deputy Commissioner, and Advisors; duties, compensation, and travel expenses. 1158. Acceptance or rejection by Secretaries of State and Commerce of Commission recommendations. 1159. Federal agency consultations with and technical assistance to Secretary of Commerce or Commission; reimbursement for assistance. SUBCHAPTER II - ADMINISTRATION OF PRIBILOF ISLANDS 1161. Administration of fur seal rookeries and other Federal real and personal property on Pribilof Islands. 1162. Authority of Secretary to operate, maintain, and repair Government-owned property; necessary facilities, services, and equipment for Federal employees and dependents. 1163. Responsibility of Alaska to meet educational needs of Pribilof Islands citizens. 1164. Responsibility of Secretary of Health and Human Services to provide medical and dental care to Pribilof Islands natives. 1165. Disposal of Federal property on Pribilof Islands. (a) Submission to Congress of property transfer document. (b) Contents of property transfer document. (c) Report to Congress of fair market value of transferred property. (d) Memorandum of Understanding. (e) Taxation. (f) Agreements with governmental agencies and third parties. (g) Report to Congress on status of negotiations. 1166. Pribilof Islands Trust. (a) Establishment; funding; distributions; investments. (b) Administration of Trust. (c) Trust instruments. (d) Separate portions of Trust for independent benefit of community of St. Paul and community of St. George. (e) Authorization of appropriation; interim distributions. (f) Interest and proceeds from Trust. (g) Annual report to Congress. (h) Exemption from taxation. 1167. Leases, permits, agreements, and contracts with public or private agencies or persons. 1168. Civil service retirement benefits. (a) Credit for services performed by natives. (b) Adjustment of annuities. (c) Nonentitlement to lump-sum benefits. (d) Reimbursement from Operations, Research, and Facilities Account of National Oceanic and Atmospheric Administration in Department of Commerce. 1169. Regulations. 1169a. Annuities and survivor annuities; recomputation. SUBCHAPTER III - ENFORCEMENT 1171. Seizure and forfeiture of vessels. 1172. Practice and procedure. (a) Joint responsibility; designation by Secretary of State officers and employees as Federal law enforcement agents; non-Federal employees for civil service purposes. (b) Issuance of warrants and other process. (c) Execution of warrants or other process by enforcement agents. (d) Arrests and searches by enforcement agents. (e) Seizure of vessels and related articles. (f) Seizure and disposition of fur seals. 1173. Regulations. 1174. Penalties. 1175. Authorization of appropriations. 1181 to 1187. Omitted. -SECREF- CHAPTER REFERRED TO IN OTHER SECTIONS This chapter is referred to in sections 1402, 3125 of this title. ------DocID 25107 Document 19 of 244------ -CITE- 18 USC APPENDIX - RULES OF CRIMINAL PROCEDURE Rule 24 -EXPCITE- TITLE 18 RULES OF CRIMINAL PROCEDURE FOR THE UNITED STATES DISTRICT COURTS VI -HEAD- Rule 24. Trial Jurors -STATUTE- (a) Examination. The court may permit the defendant or the defendant's attorney and the attorney for the government to conduct the examination of prospective jurors or may itself conduct the examination. In the latter event the court shall permit the defendant or the defendant's attorney and the attorney for the government to supplement the examination by such further inquiry as it deems proper or shall itself submit to the prospective jurors such additional questions by the parties or their attorneys as it deems proper. (b) Peremptory Challenges. If the offense charged is punishable by death, each side is entitled to 20 peremptory challenges. If the offense charged is punishable by imprisonment for more than one year, the government is entitled to 6 peremptory challenges and the defendant or defendants jointly to 10 peremptory challenges. If the offense charged is punishable by imprisonment for not more than one year or by fine or both, each side is entitled to 3 peremptory challenges. If there is more than one defendant, the court may allow the defendants additional peremptory challenges and permit them to be exercised separately or jointly. (c) Alternate Jurors. The court may direct that not more than 6 jurors in addition to the regular jury be called and impanelled to sit as alternate jurors. Alternate jurors in the order in which they are called shall replace jurors who, prior to the time the jury retires to consider its verdict, become or are found to be unable or disqualified to perform their duties. Alternate jurors shall be drawn in the same manner, shall have the same qualifications, shall be subject to the same examination and challenges, shall take the same oath and shall have the same functions, powers, facilities and privileges as the regular jurors. An alternate juror who does not replace a regular juror shall be discharged after the jury retires to consider its verdict. Each side is entitled to 1 peremptory challenge in addition to those otherwise allowed by law if 1 or 2 alternate jurors are to be impanelled, 2 peremptory challenges if 3 or 4 alternate jurors are to be impanelled, and 3 peremptory challenges if 5 or 6 alternate jurors are to be impanelled. The additional peremptory challenges may be used against an alternate juror only, and the other peremptory challenges allowed by these rules may not be used against an alternate juror. -SOURCE- (As amended Feb. 28, 1966, eff. July 1, 1966; Mar. 9, 1987, eff. Aug. 1, 1987.) -MISC1- NOTES OF ADVISORY COMMITTEE ON RULES Note to Subdivision (a). This rule is similar to Rule 47(a) of the Federal Rules of Civil Procedure (28 U.S.C., Appendix) and also embodies the practice now followed by many Federal courts in criminal cases. Uniform procedure in civil and criminal cases on this point seems desirable. Note to Subdivision (b). This rule embodies existing law, 28 U.S.C. 424 (now 1870) (Challenges), with the following modifications. In capital cases the number of challenges is equalized as between the defendant and the United States so that both sides have 20 challenges, which only the defendant has at present. While continuing the existing rule that multiple defendants are deemed a single party for purposes of challenges, the rule vests in the court discretion to allow additional peremptory challenges to multiple defendants and to permit such challenges to be exercised separately or jointly. Experience with cases involving numerous defendants indicates the desirability of this modification. Note to Subdivision (c). This rule embodies existing law, 28 U.S.C. (former) 417a (Alternate jurors), as well as the practice prescribed for civil cases by Rule 47(b) of the Federal Rules of Civil Procedure (28 U.S.C., Appendix), except that the number of possible alternate jurors that may be impaneled is increased from two to four, with a corresponding adjustment of challenges. NOTES OF ADVISORY COMMITTEE ON RULES - 1966 AMENDMENT Experience has demonstrated that four alternate jurors may not be enough for some lengthy criminal trials. See e.g., United States v. Bentvena, 288 F.2d 442 (2d Cir. 1961); Reports of the Proceedings of the Judicial Conference of the United States, 1961, p. 104. The amendment to the first sentence increases the number authorized from four to six. The fourth sentence is amended to provide an additional peremptory challenge where a fifth or sixth alternate juror is used. The words 'or are found to be' are added to the second sentence to make clear that an alternate juror may be called in the situation where it is first discovered during the trial that a juror was unable or disqualified to perform his duties at the time he was sworn. See United States v. Goldberg, 330 F.2d 30 (3rd Cir. 1964), cert. den. 377 U.S. 953 (1964). NOTES OF ADVISORY COMMITTEE ON RULES - 1987 AMENDMENT The amendments are technical. No substantive change is intended. CONGRESSIONAL DISAPPROVAL OF PROPOSED AMENDMENT Section 2(c) of Pub. L. 95-78, July 30, 1977, 91 Stat. 320, effective Oct. 1, 1977, provided that: 'The amendment proposed by the Supreme Court (in its order of Apr. 26, 1977) to rule 24 of such Rules of Criminal Procedure is disapproved and shall not take effect.' -CROSS- FEDERAL RULES OF CIVIL PROCEDURE Alternate jurors, see rule 47, Title 28, Appendix, Judiciary and Judicial Procedure. Examination of jurors, see rule 47. CROSS REFERENCES Challenges of jurors, see section 1870 of Title 28, Judiciary and Judicial Procedure. ------DocID 25166 Document 20 of 244------ -CITE- 19 USC Sec. 21 to 24 -EXPCITE- TITLE 19 CHAPTER 1 -HEAD- Sec. 21 to 24. Repealed. Aug. 2, 1956, ch. 887, Sec. 4(a)(8)-(11), (13), 70 Stat. 947 -MISC1- Sections 21 to 23 prescribed oath of office for customs officers and assistant appraisers. Section 24 related to designation of persons to administer oath of office. Section 21 was based on R.S. Sec. 2616. Section 22 was based on R.S. Sec. 2614; act July 5, 1932, ch. 430, title 1, 47 Stat. 584. Section 23 was based on R.S. Sec. 2615; July 5, 1932, ch. 430, title 1, 47 Stat. 584. Section 24 was based on R.S. Sec. 2617; act Feb. 8, 1875, ch. 36, Sec. 11, 18 Stat. 309. ------DocID 26080 Document 21 of 244------ -CITE- 20 USC Sec. 24 -EXPCITE- TITLE 20 CHAPTER 2 -HEAD- Sec. 24. Supervision of expenditures by States; quarterly payments to States -STATUTE- The Department of Education shall annually ascertain whether the several States are using, or are prepared to use, the money received by them in accordance with the provisions of this chapter. On or before the first day of January of each year the Department of Education shall certify to the Secretary of the Treasury each State which has accepted the provisions of this chapter and complied therewith, certifying the amounts which each State is entitled to receive under the provisions of this chapter. Upon such certification the Secretary of the Treasury shall pay quarterly to the custodian for vocational education of each State the moneys to which it is entitled under the provisions of this chapter. The moneys so received by the custodian for vocational education for any State shall be paid out on the requisition of the State board as reimbursement for expenditures already incurred to such schools as are approved by said State board and are entitled to receive such moneys under the provisions of this chapter. -SOURCE- (Feb. 23, 1917, ch. 114, Sec. 14, 39 Stat. 935; Ex. Ord. No. 6166, Sec. 15, June 10, 1933; 1939 Reorg. Plan No. I, Sec. 201, 204, eff. July 1, 1939, 4 F.R. 2728, 53 Stat. 1424; 1953 Reorg. Plan No. 1, Sec. 5, 8, eff. Apr. 11, 1953, 18 F.R. 2053, 67 Stat. 631; Oct. 17, 1979, Pub. L. 96-88, title III, Sec. 301, title V, Sec. 507, 93 Stat. 677, 692.) -REFTEXT- REFERENCES IN TEXT This chapter, referred to in text, was in the original 'this Act', meaning act Feb. 23, 1917, which was classified to sections 11 to 15 and 16 to 28 of this title. Other sections formerly contained in this chapter were based on other acts, and have been omitted or repealed. -TRANS- TRANSFER OF FUNCTIONS 'Department of Education' substituted in text for 'Department of Health, Education, and Welfare' pursuant to sections 301 and 507 of Pub. L. 96-88, which are classified to sections 3441 and 3507 of this title and which transferred functions and offices (relating to education) of Department of Health, Education, and Welfare to Department of Education. Functions of Federal Security Administrator transferred to Secretary of Health, Education, and Welfare and all agencies of Federal Security Agency transferred to Department of Health, Education, and Welfare by section 5 of Reorg. Plan No. 1 of 1953, set out in the Appendix to Title 5, Government Organization and Employees. Federal Security Agency and office of Administrator abolished by section 8 of Reorg. Plan No. 1 of 1953. Transfer of functions of Federal Board for Vocational Education to Department of the Interior under Ex. Ord. No. 6166, set out as a note under section 901 of Title 5, and from there to Federal Security Agency by Reorg. Plan No. I of 1939, and in 1946 abolishment of Board and its functions by Reorg. Plan No. 2 of 1946, see notes set out under section 11 of this title. ------DocID 26504 Document 22 of 244------ -CITE- 20 USC CHAPTER 24 -EXPCITE- TITLE 20 CHAPTER 24 -HEAD- CHAPTER 24 - GRANTS FOR EDUCATIONAL MATERIALS, FACILITIES AND SERVICES, AND STRENGTHENING OF EDUCATIONAL AGENCIES -COD- CODIFICATION Titles I to IX of the Elementary and Secondary Education Act of 1965, Pub. L. 89-10, Apr. 11, 1965, 79 Stat. 27, as amended, which were classified to this chapter (Sec. 821 et seq.), subchapter II (Sec. 241a et seq.) of chapter 13, and subchapter I (Sec. 1801 et seq.) of chapter 40 of this title, were amended generally by Pub. L. 95-561, Nov. 1, 1978, 92 Stat. 2152, known as the Education Amendments of 1978, which is classified generally to chapter 47 (Sec. 2701 et seq.) of this title. Former sections of the Elementary and Secondary Education Act of 1965 which were classified to sections 821 to 900a-5 of this title were either omitted or transferred as set forth in the following table: --------------------------------------------------------------------- Former Sections Present Sections --------------------------------------------------------------------- 821 3082 822 3083 823 3084 824 3085 825 3086 826 3086 827 3086 841 Omitted 842 Omitted 843 Omitted 844 Omitted 844a Omitted 844b Omitted 845 Omitted 846 Omitted 847 Omitted 847a Omitted 848 1232b 861 3150 862 3150 863 3161 864 3162 865 2943 866 3163 866a Omitted 866b 3161 866c 3162 866d Omitted 867 2833 867a 2833 867b Omitted 867c Omitted 868 3171 869 3148 869a 2851 869b Omitted 870 Omitted 871 1411(a) 872 Omitted 873(a)(1) 1411(e), (f) 873(a)(2)-(c) Omitted 874(a) 1413(a)(1), (2) 874(b) 1413(a)(4) 874(c) 1413(a)(6) 874(d) 1413(a)(9) 874(e) 1413(a)(11) 874(f) Omitted 874(g) 1413(a)(7) 874(h) 1413(a)(10) 874(i) Omitted 874(j) Omitted 874(k) 1413(a)(3) 875 1226a-1, 1420 876(a), (b) 1413(c)(1), (2) 877 1416(b) 877a(a) 1426 877a(b), (c) 1421(a), (b) 877a(d) 1226a-1 877b(a)-(d) 1422(a)-(d) 877b(e) 1424(a) 877b(f) 1401(4) 877b(g) 1404(b) 877b(h) Omitted 877b(i) 1226a-1 877b(j) 1426 877c(a) 1433 877c(b) 1436 878(a) 1233b(1), 1403(a) 878(b) 1403(b) 878(c), (d) 1233c, 1233d 879 1402 880 1232b 880a 1401(1) 880b 3222 880b-1 3223 880b-2 3251 880b-3 3231 880b-3a 3232 880b-4 3251 880b-5 3242 880b-6 Omitted 880b-7 3231 880b-8 3232 880b-9 3233 880b-10 3241 880b-11 3242 880b-12 3251 880b-13 3252 881 3381 882 Omitted 883 3382 884 3383 885 3384 886 Omitted 887 Omitted 887a Omitted 887b Omitted 887c 3385 887c-1 3385a 887c-2 3385b 887d Omitted 887e 3386 888 Omitted 900 3361 900a 3362 900a-1 3363 900a-2 3364 900a-3 3365 900a-4 3366 900a-5 3367 ------------------------------- ------DocID 28262 Document 23 of 244------ -CITE- 21 USC Sec. 24 -EXPCITE- TITLE 21 CHAPTER 1 SUBCHAPTER II -HEAD- Sec. 24. Omitted -COD- CODIFICATION Section, act Mar. 4, 1915, ch. 144, 38 Stat. 1102, related to payment of the cost of inspection under a provision authorizing the investigation of the character of chemical and physical tests applied to American food products in foreign countries and the inspection of such products before shipment to such countries at the request of the shippers or owners. That provision was repeated in subsequent appropriation acts but was omitted from the appropriation act of July 12, 1943, ch. 221, 57 Stat. 494, and from all subsequent appropriation acts. ------DocID 28790 Document 24 of 244------ -CITE- 22 USC Sec. 24 -EXPCITE- TITLE 22 CHAPTER 1 -HEAD- Sec. 24. Repealed. Aug. 13, 1946, ch. 957, title XI, Sec. 1131(67), 60 Stat. 1040 -MISC1- Section, act May 3, 1945, ch. 105, Sec. 12, 59 Stat. 105, related to restriction on the transaction of business by officers and employees. See section 805 of this title. EFFECTIVE DATE OF REPEAL Repeal effective three months after Aug. 13, 1946, see section 1141 of act Aug. 13, 1946. ------DocID 29020 Document 25 of 244------ -CITE- 22 USC Sec. 277d-24 -EXPCITE- TITLE 22 CHAPTER 7 SUBCHAPTER IV -HEAD- Sec. 277d-24. Definitions; exemption from administrative procedure provisions -STATUTE- As used in sections 277d-17 to 277d-25 of this title, the term 'land' shall include interests in land, and the term 'fair value' shall mean fair value of the interest acquired. The provisions of such sections shall be exempt from the operations of subchapter II of chapter 5, and chapter 7, of title 5. -SOURCE- (Pub. L. 88-300, Sec. 8, Apr. 29, 1964, 78 Stat. 186.) -COD- CODIFICATION 'Subchapter II of chapter 5, and chapter 7, of title 5' substituted in text for 'the Administrative Procedure Act of June 11, 1946 (60 Stat. 237), as amended (5 U.S.C. 1001-1011)' on authority of Pub. L. 89-554, Sec. 7(b), Sept. 6, 1966, 80 Stat. 631, the first section of which enacted Title 5, Government Organization and Employees. -SECREF- SECTION REFERRED TO IN OTHER SECTIONS This section is referred to in sections 277d-17, 277d-18, 277d-22, 277d-25 of this title. ------DocID 29917 Document 26 of 244------ -CITE- 22 USC CHAPTER 24 -EXPCITE- TITLE 22 CHAPTER 24 -HEAD- CHAPTER 24 - MUTUAL SECURITY PROGRAM -MISC1- SUBCHAPTER I - GENERAL AND ADMINISTRATIVE PROVISIONS Sec. 1750 to 1753a. Repealed. 1754. Foreign currencies. (a) Availability and use. (b) Availability to Members and employees of Congress; authorization requirements; reports. 1755 to 1782. Repealed or Omitted. 1783. Coordination with foreign policy. 1784 to 1795. Repealed. 1796. Participation in Joint Commission on Rural Reconstruction in China. 1797. Repealed. SUBCHAPTER II - MILITARY ASSISTANCE 1811 to 1834. Repealed. SUBCHAPTER III - ECONOMIC ASSISTANCE PART A - DEFENSE SUPPORT 1841 to 1852. Repealed. 1853. Assistance to Yugoslavia. 1854. Repealed. PART B - DEVELOPMENT LOAN FUND 1870 to 1876. Repealed. PART C - TECHNICAL COOPERATION 1891 to 1896. Repealed. 1896a. Restriction on commitments for technical assistance. 1896b. Colombo Plan Council for Technical Cooperation; authorization. 1897, 1898. Repealed. PART D - SPECIAL ASSISTANCE AND OTHER PROGRAMS 1920, 1921. Repealed. 1922. Surplus agricultural commodities; funds for shipments. 1923 to 1927. Repealed. 1928. North Atlantic Treaty Organization. (a) Authorization for expenses. (b) Appointment of personal representative. (c) Duration of staff service. 1928a. North Atlantic Treaty Parliamentary Conference; participation; appointment of United States Group. 1928b. Authorization of appropriations. 1928c. Report to the Congress. 1928d. Auditing and accounting. 1928e. North Atlantic Assembly; appropriations for expenses of annual meeting. 1929 to 1936. Repealed. 1937. Irish counterpart account; approval of disposition. 1938 to 1941. Repealed. 1942. Development assistance in Latin America; Congressional declaration of policy. 1943. Authorization of appropriations; restrictions; reports to Congressional committees. 1944. Reconstruction assistance in Chile; authorization of appropriations. 1945. Utilization of funds for assistance in Latin America; availability for transportation of immigrants from Ryukyuan Archipelago. SUBCHAPTER IV - CONTINGENCY FUND 1951. Repealed. -SECREF- CHAPTER REFERRED TO IN OTHER SECTIONS This chapter is referred to in sections 1945, 2103 of this title; title 26 sections 995, 1441. ------DocID 6929 Document 27 of 244------ -CITE- 2 USC Sec. 24 -EXPCITE- TITLE 2 CHAPTER 2 -HEAD- Sec. 24. Secretary of Senate or assistant secretary may administer oaths -STATUTE- The Secretary of the Senate, and the assistant secretary thereof, shall, respectively, have power to administer any oath or affirmation required by law, or by the rules or orders of the Senate, to be taken by any officer of the Senate, and to any witness produced before it. -SOURCE- (Apr. 18, 1876, ch. 66, Sec. 2, 19 Stat. 34; July 9, 1971, Pub. L. 92-51, 85 Stat. 125.) -CHANGE- CHANGE OF NAME Assistant secretary of the Senate deemed successor in references to chief clerk of the Senate in all laws, rules, resolutions, and orders, effective July 1, 1971, under provisions of Pub. L. 92-51, July 9, 1971, 85 Stat. 125. ------DocID 31488 Document 28 of 244------ -CITE- 24 USC CHAPTER 1 -EXPCITE- TITLE 24 CHAPTER 1 -HEAD- CHAPTER 1 - NAVY HOSPITALS, NAVAL HOME, ARMY AND NAVY HOSPITAL, AND HOSPITAL RELIEF FOR SEAMEN AND OTHERS -MISC1- Sec. 1 to 5. Repealed. 6. Pension paid to fund for benefit of naval hospital. 6a. Disposition of amounts deducted from pensions. 7 to 12. Repealed. 13. Admission of cases for study. 14. Establishment of Navy hospitals. 14a. Annual appropriations for maintenance, operation, and improvement of naval hospitals. 15. Superintendence of Navy hospitals. 16. Allowance of rations to Navy hospitals. 16a. Additional personnel for patients of Veterans' Administration in naval hospitals. 17. Government of Naval Asylum. 18. Rules and regulations for Army and Navy Hospital. 19. Tubercular hospital at Fort Bayard. 20. Discipline of patients at Army and Navy Hospital. 21 to 29a. Repealed. 30. Payments to donors of blood for persons undergoing treatment at Government expense. 31 to 33. Repealed. 34. Hospitalization of persons outside continental limits of United States; persons entitled; availability of other facilities; rate of charges; disposition of payments. 35. Limitation of medical, surgical or hospital services. 36. Repealed. 37. Manufacture of products by patients at naval hospitals; ownership of products. -CROSS- CROSS REFERENCES Third party tort liability to United States for hospital and medical care, see section 2651 et seq. of Title 42, The Public Health and Welfare. ------DocID 31489 Document 29 of 244------ -CITE- 24 USC Sec. 1, 2 -EXPCITE- TITLE 24 CHAPTER 1 -HEAD- Sec. 1, 2. Repealed. July 1, 1944, ch. 373, title XIII, Sec. 1313, 58 Stat. 714 -MISC1- Section 1, acts Mar. 3, 1875, ch. 156, Sec. 3, 18 Stat. 485; Aug. 14, 1912, ch. 288, Sec. 1, 37 Stat. 309, defined seamen. See section 201 of Title 42, The Public Health and Welfare. Section 2, R.S. Sec. 4801, provided for acceptance of gifts in aid of marine hospitals. See section 219 of Title 42. RENUMBERING OF REPEALING ACT Section 611 of act July 1, 1944, which repealed these sections, was renumbered 711 by act Aug. 13, 1946, ch. 958, Sec. 5, 60 Stat. 1049, 713 by act Feb. 28, 1948, ch. 83, Sec. 9(b), 62 Stat. 47, 813 by act July 30, 1956, ch. 779, Sec. 3(b), 70 Stat. 720, 913 by Pub. L. 88-581, Sec. 4(b), Sept. 4, 1964, 78 Stat. 919, 1013 by Pub. L. 89-239, Sec. 3(b), Oct. 6, 1965, 79 Stat. 931, 1113 by Pub. L. 91-572, Sec. 6(b), Dec. 24, 1970, 84 Stat. 1506, 1213 by Pub. L. 92-294, Sec. 3(b), May 16, 1972, 86 Stat. 137; 1313 by Pub. L. 93-154, Sec. 2(b)(2), Nov. 16, 1973, 87 Stat. 604, and was repealed by Pub. L. 93-222, Sec. 7(b), Dec. 29, 1973, 87 Stat. 936. ------DocID 31490 Document 30 of 244------ -CITE- 24 USC Sec. 3 to 5 -EXPCITE- TITLE 24 CHAPTER 1 -HEAD- Sec. 3 to 5. Repealed. June 15, 1943, ch. 125, Sec. 3, 57 Stat. 153, eff. July 1, 1943 -MISC1- Section 3, R.S. Sec. 1614, 4808, related to deduction from pay of seamen for Navy hospital fund. Section 4, R.S. Sec. 4809, related to fines on seamen appropriated for Navy hospitals. Section 5, act June 7, 1900, ch. 859, 31 Stat. 697, related to forfeitures from desertion for naval hospital fund. ------DocID 31491 Document 31 of 244------ -CITE- 24 USC Sec. 6 -EXPCITE- TITLE 24 CHAPTER 1 -HEAD- Sec. 6. Pension paid to fund for benefit of naval hospital -STATUTE- Whenever any officer, seaman, or marine entitled to a pension is admitted to a naval hospital, his pension, while he remains there, shall be deducted from his accounts and paid to the Secretary of the Navy for the benefit of the fund from which such hospital is maintained. -SOURCE- (R.S. Sec. 4813; May 4, 1898, ch. 234, 30 Stat. 377; Mar. 3, 1899, ch. 421, 30 Stat. 1027; June 30, 1914, ch. 130, 38 Stat. 398.) -COD- CODIFICATION R.S. Sec. 4813 derived from act Feb. 26, 1811, ch. 26, Sec. 5, 2 Stat. 650. ------DocID 31492 Document 32 of 244------ -CITE- 24 USC Sec. 6a -EXPCITE- TITLE 24 CHAPTER 1 -HEAD- Sec. 6a. Disposition of amounts deducted from pensions -STATUTE- Pensions of inmates of a naval hospital, required by law prior to July 1, 1943, to be deducted from the account of the pensioner and applied for the benefit of the fund from which such home or (FOOTNOTE 1) hospital is maintained, shall be deposited into the Treasury of the United States as miscellaneous receipts. (FOOTNOTE 1) So in original. The words 'home or' probably should not appear. -SOURCE- (June 15, 1943, ch. 125, Sec. 3, 57 Stat. 153; Nov. 5, 1990, Pub. L. 101-510, div. A, title XV, Sec. 1533(c)(2), 104 Stat. 1736.) -MISC1- AMENDMENTS 1990 - Pub. L. 101-510 struck out 'naval home or' before 'naval hospital'. EFFECTIVE DATE OF 1990 AMENDMENT Amendment by Pub. L. 101-510 effective one year after Nov. 5, 1990, see section 1541(a) of Pub. L. 101-510, set out as an Effective Date note under section 401 of this title. EFFECTIVE DATE Section 3 of act June 15, 1943, provided that this section is effective July 1, 1943. -CROSS- CROSS REFERENCES Deduction of pension, see section 6 of this title. ------DocID 31493 Document 33 of 244------ -CITE- 24 USC Sec. 7 to 12 -EXPCITE- TITLE 24 CHAPTER 1 -HEAD- Sec. 7 to 12. Repealed. July 1, 1944, ch. 373, title XIII, Sec. 1313, 58 Stat. 714 -MISC1- Section 7, R.S. Sec. 4806; acts Mar. 3, 1875, ch. 156, Sec. 4, 18 Stat. 485; Aug. 14, 1912, ch. 288, Sec. 1, 37 Stat. 309; July 26, 1916, ch. 256, 39 Stat. 390; 1939 Reorg. Plan No. I, Sec. 201, 205(b), eff. July 1, 1939, 4 F.R. 2728, 2729, 53 Stat. 1424, 1425, provided for the lease and sale of hospitals. See section 248 of Title 42, The Public Health and Welfare. Section 8, acts Aug. 4, 1894, ch. 213, 28 Stat. 229; Jan. 28, 1915, ch. 20, Sec. 2, 38 Stat. 801; July 30, 1937, ch. 545, Sec. 2, 50 Stat. 548; 1939 Reorg. Plan No. I, Sec. 201, 205(b), eff. July 1, 1939, 4 F.R. 2728, 2729, 53 Stat. 1424, 1425, provided for admission of Coast Guard personnel and their families to hospitals. See section 253 of Title 42. Act Jan. 28, 1915, ch. 20, Sec. 2, 38 Stat. 801 was also repealed by act Aug. 4, 1949, ch. 393, Sec. 20, 63 Stat. 561. Section 9, act June 23, 1913, ch. 3, Sec. 1, 38 Stat. 24, provided for hospital relief of officers and employees of the Public Health Service. See sections 249 and 253 of Title 42. Section 10, act July 1, 1918, ch. 113, Sec. 1, 40 Stat. 694, provided for hospital relief for officers and crews of the Fish and Wildlife Service. See section 249 of Title 42. Section 11, acts Mar. 3, 1875, ch. 156, Sec. 6, 18 Stat. 486; Aug. 14, 1912, ch. 288, Sec. 1, 37 Stat. 309; 1939 Reorg. Plan No. I, Sec. 201, 205(b), eff. July 1, 1939, 4 F.R. 2728, 2729, 53 Stat. 1424, 1425, provided for care of foreign seamen. See section 249 of Title 42. Section 11a, R.S. Sec. 4805; acts Mar. 3, 1875, ch. 156, Sec. 6, 18 Stat. 486; 1939 Reorg. Plan No. I, Sec. 201, 205(b), eff. July 1, 1939, 4 F.R. 2728, 2729, 53 Stat. 1424, 1425, provided that foreign vessels were liable for hospital charges for care of their seamen. See section 249 of Title 42. Section 12, R.S. Sec. 4804, provided for exclusion of employees on canal boats in coasting trade from hospital care. See section 249 of Title 42. RENUMBERING OF REPEALING ACT For renumbering of act July 1, 1944, which repealed these sections, see note set out under sections 1, 2 of this title. ------DocID 31494 Document 34 of 244------ -CITE- 24 USC Sec. 13 -EXPCITE- TITLE 24 CHAPTER 1 -HEAD- Sec. 13. Admission of cases for study -STATUTE- There may be admitted into marine hospitals for study persons with infectious or other diseases affecting the public health, and not to exceed ten cases in any one hospital at one time. -SOURCE- (June 5, 1920, ch. 235, Sec. 1, 41 Stat. 884.) ------DocID 31495 Document 35 of 244------ -CITE- 24 USC Sec. 14 -EXPCITE- TITLE 24 CHAPTER 1 -HEAD- Sec. 14. Establishment of Navy hospitals -STATUTE- The Secretary of the Navy shall procure at suitable places proper sites for Navy hospitals, and if the necessary buildings are not procured with the site, shall cause such to be erected, having due regard to economy, and giving preference to such plans as with most convenience and least cost will admit of subsequent additions, when the funds permit and circumstances require; and shall provide, at one of the establishments, a permanent asylum for disabled and decrepit Navy officers, seamen, and marines: Provided, That no sites shall be procured or hospital buildings erected or extensions to existing hospitals made unless authorized by Congress. -SOURCE- (R.S. Sec. 4810; Mar. 4, 1913, ch. 148, 37 Stat. 902.) -COD- CODIFICATION R.S. Sec. 4810 derived from acts Feb. 26, 1811, ch. 26, Sec. 3, 2 Stat. 650; July 10, 1832, ch. 194, Sec. 5, 4 Stat. 573. ------DocID 31496 Document 36 of 244------ -CITE- 24 USC Sec. 14a -EXPCITE- TITLE 24 CHAPTER 1 -HEAD- Sec. 14a. Annual appropriations for maintenance, operation, and improvement of naval hospitals -STATUTE- Commencing with the fiscal year 1944, annual appropriations in such amounts as may be necessary are authorized from the general fund of the Treasury for the maintenance, operation, and improvement of naval hospitals. -SOURCE- (June 15, 1943, ch. 125, Sec. 1(c), 57 Stat. 152.) ------DocID 31497 Document 37 of 244------ -CITE- 24 USC Sec. 15 -EXPCITE- TITLE 24 CHAPTER 1 -HEAD- Sec. 15. Superintendence of Navy hospitals -STATUTE- The Secretary of the Navy shall have the general charge and superintendence of Navy hospitals. -SOURCE- (R.S. Sec. 4807.) -COD- CODIFICATION R.S. Sec. 4807 derived from acts Feb. 26, 1811, ch. 26, Sec. 1, 2 Stat. 650; July 10, 1832, ch. 194, Sec. 5, 4 Stat. 573. ------DocID 31498 Document 38 of 244------ -CITE- 24 USC Sec. 16 -EXPCITE- TITLE 24 CHAPTER 1 -HEAD- Sec. 16. Allowance of rations to Navy hospitals -STATUTE- For every Navy officer, seaman, or marine admitted into a Navy hospital, the institution shall be allowed one ration per day during his continuance therein, to be deducted from the account of the United States with such officer, seaman, or marine. -SOURCE- (R.S. Sec. 4812.) -COD- CODIFICATION R.S. Sec. 4812 derived from act Feb. 26, 1811, ch. 26, Sec. 5, 2 Stat. 650. -CROSS- CROSS REFERENCES Naval patients, deductions for care in other Government hospitals, see section 6201 of