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Federal Register / Vol. 72, No.

168 / Thursday, August 30, 2007 / Notices 50109

transmitter PEP will be multiplied with Section 19 of the Shipping Act of Walker violated the Commission’s
the antenna gain relative to a dipole or 1984 (‘‘1984 Act’’), 46 U.S.C. 40901(a), regulations at 46 CFR Part 515 by
the equivalent calculation in decibels. provides that any person in the United submitting materially false or
Licensees using other antennas must States acting as an OTI 1 must hold a misleading information to the
maintain in their station records on license issued by the Commission. The Commission on the OTI license
either manufacturer data on the antenna Commission’s regulations at 46 CFR application of Jamteck International
gain or calculations of the antenna gain. 515.11(a) state that, to be eligible for a Shipping Inc., and whether such
Federal Communications Commission. license, an applicant must demonstrate licensee is qualified to render licensed
that ‘‘[i]t possesses the necessary OTI services;
William F. Caton,
experience, that is, its qualifying (2) whether the Ocean Transportation
Deputy Secretary. Intermediary license, No. 020155N, of
individual has a minimum of three (3)
[FR Doc. E7–17119 Filed 8–29–07; 8:45 am] years experience in ocean transportation Jamteck International Shipping Inc.
BILLING CODE 6712–01–P intermediary activities in the United should be suspended or revoked
States, and the necessary character to pursuant to section 19 of the 1984 Act;
render ocean transportation and
FEDERAL MARITIME COMMISSION intermediary services.’’ (3) whether, in the event violations
Section 19(c) of the 1984 Act, 46 are found, appropriate cease and desist
[Docket No. 07–09] U.S.C. 40903, further provides that the orders should be issued against Jamteck
Commission: International Shipping Inc. and Angella
Jamteck International Shipping Inc., Barnett-Walker.
and Angella Barnett-Walker—Possible shall, after notice and hearing, suspend or It is further ordered, that a public
revoke a license if it finds that the ocean
Violations of the Commission’s transportation intermediary is not qualified hearing be held in this proceeding and
Regulations at 46 CFR Part 515; Order to render intermediary services or that it that this matter be assigned for hearing
of Investigation and Hearing willfully failed to comply with a provision of before an Administrative Law Judge of
this Act or with a lawful order, rule, or the Commission’s Office of
Jamteck International Shipping Inc. regulation of the Commission. Administrative Law Judges at a date and
(‘‘Jamteck’’) was incorporated in the place to be hereafter determined by the
State of New York on June 24, 2005, and The Commission’s implementing
regulations at 46 CFR Part 515 provide Administrative Law Judge in
is presently located at 4633 Richardson compliance with Rule 61 of the
Avenue in Bronx, New York 10470. that a license may be revoked or
suspended for any of the following Commission’s Rules of Practice and
Since February 26, 2007, Jamteck has Procedure, 46 CFR 502.61. The hearing
operated as an ocean transportation reasons:
shall include oral testimony and cross-
intermediary (‘‘OTI’’) pursuant to FMC (1) Violation of any provision of the Act,
examination in the discretion of the
License No. 020155N. According to a or any other statute or Commission order or
regulation related to carrying on the business presiding Administrative Law Judge
review of records maintained by the only after consideration has been given
Commission’s Bureau of Certification of an ocean transportation intermediary;
(2) Failure to respond to any lawful order by the parties and the presiding
and Licensing (‘‘BCL’’), the principals of or inquiry by the Commission; Administrative Law Judge to the use of
the firm are identified as Angella (3) Making a materially false or misleading alternative forms of dispute resolution,
Barnett-Walker, its President and statement to the Commission in connection and upon a proper showing that there
Qualifying Individual, and Donald with an application for a license or an are genuine issues of material fact that
Barnett, its Vice President. amendment to an existing licensed;
cannot be resolved on the basis of sworn
Jamteck filed its Form FMC–18 with (4) Where the Commission determines that
the licensee is not qualified to render statements, affidavits, depositions, or
the Commission on March 27, 2006. In other documents or that the nature of
response to questions on the application intermediary services; or
(5) Failure to honor the licensee’s financial the matters in issue is such that an oral
regarding her employment history as hearing and cross-examination are
obligations to the Commission.
Qualifying Individual, Ms. Barnett- necessary for the development of an
Walker claimed to have worked for two 46 CFR 515.16(a). These latter
regulatory provisions largely iterate the adequate record;
employers over a period of four (4) years It is further ordered, that Jamteck
from 2000 through 2004. obligation imposed by the statute that
International Shipping Inc. and Angella
It has come to the attention of the each applicant for a license must
Barnett-Walker are designated as
Commission that Ms. Barnett-Walker initially be qualified by ‘‘experience and
Respondents in this proceeding;
appears to have misrepresented her OTI character’’ in order to act as an ocean It is further ordered, that the
experience on Jamteck’s license transportation intermediary, and must Commission’s Bureau of Enforcement is
application. Information provided by continuously maintain such designated a party to this proceeding;
representatives of both employers qualifications of integrity, good It is further ordered, that notice of this
indicates that Ms. Barnett-Walker does character, technical OTI expertise and Order be published in the Federal
not have three (3) years of OTI financial responsibility thereafter as a Register, and a copy be served on the
experience as required by the condition of license retention. parties of record;
Commission’s regulations at 46 CFR Now therefore, it is ordered, that It is further ordered, that other
515.11(a). In addition to a lack of the pursuant to sections 11 and 19 of the persons having an interest in
requisite OTI experience of three (3) 1984 Act, 46 U.S.C. 41301(a)–41307 and participating in this proceeding may file
years, it appears that, in applying for its 40901(a), an investigation is instituted petitions for leave to intervene in
OTI license, Jamteck and Ms. Barnett- to determine: accordance with Rule 72 of the
(1) Whether Jamteck International
rfrederick on PROD1PC67 with NOTICES

Walker made materially false or Commission’s Rules of Practice and


misleading statements to the Shipping Inc. and Angella Barnett- Procedure, 46 CFR 502.72;
Commission with regard to Ms. Barnett- 1 According to section 3(17) of the 1984 Act, 46
It is further ordered, that all further
Walker’s previous OTI experience and U.S.C. 40102, an ocean transportation intermediary
notices, orders, and/or decisions issued
subsequently failed to correct such is defined as either a freight forwarder or a non- by or on behalf of the Commission in
omissions. vessel-operating common carrier. this proceeding, including notice of the

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50110 Federal Register / Vol. 72, No. 168 / Thursday, August 30, 2007 / Notices

time and place of hearing or prehearing Board of Governors of the Federal Reserve Board of Governors of the Federal Reserve
conference, shall be served on parties of System, August 24, 2007. System, August 27, 2007.
record; Robert deV. Frierson, Robert deV. Frierson,
It is further ordered, that all Deputy Secretary of the Board. Deputy Secretary of the Board.
documents submitted by any party of [FR Doc. E7–17141 Filed 8–29–07; 8:45 am] [FR Doc. E7–17190 Filed 8–29–07; 8:45 am]
record in this proceeding shall be BILLING CODE 6210–01–S
BILLING CODE 6210–01–S
directed to the Secretary, Federal
Maritime Commission, Washington, DC
20573, in accordance with Rule 118 of FEDERAL RESERVE SYSTEM FEDERAL RESERVE SYSTEM
the Commission’s Rules of Practice and
Procedure, 46 CFR 502.118, and shall be Formations of, Acquisitions by, and
Change in Bank Control Notices;
served on parties of record; and Mergers of Bank Holding Companies
Acquisition of Shares of Bank or Bank
It is further ordered, that in Holding Companies The companies listed in this notice
accordance with Rule 61 of the have applied to the Board for approval,
Commission’s Rules of Practice and The notificants listed below have pursuant to the Bank Holding Company
Procedure, the initial decision of the applied under the Change in Bank Act of 1956 (12 U.S.C. 1841 et seq.)
Administrative Law Judge shall be Control Act (12 U.S.C. 1817(j)) and (BHC Act), Regulation Y (12 CFR Part
issued by August 25, 2008, and the final § 225.41 of the Board’s Regulation Y (12 225), and all other applicable statutes
decision of the Commission shall be CFR 225.41) to acquire a bank or bank and regulations to become a bank
issued by December 22, 2008. holding company. The factors that are holding company and/or to acquire the
By the Commission. considered in acting on the notices are assets or the ownership of, control of, or
Karen V. Gregory, set forth in paragraph 7 of the Act (12 the power to vote shares of a bank or
Assistant Secretary. U.S.C. 1817(j)(7)). bank holding company and all of the
[FR Doc. E7–17147 Filed 8–29–07; 8:45 am] banks and nonbanking companies
The notices are available for owned by the bank holding company,
BILLING CODE 6730–01–P immediate inspection at the Federal including the companies listed below.
Reserve Bank indicated. The notices The applications listed below, as well
also will be available for inspection at as other related filings required by the
the office of the Board of Governors. Board, are available for immediate
FEDERAL RESERVE SYSTEM
Interested persons may express their inspection at the Federal Reserve Bank
Change in Bank Control Notices; views in writing to the Reserve Bank indicated. The application also will be
Acquisition of Shares of Bank or Bank indicated for that notice or to the offices available for inspection at the offices of
Holding Companies of the Board of Governors. Comments the Board of Governors. Interested
must be received not later than persons may express their views in
The notificants listed below have September 14, 2007. writing on the standards enumerated in
applied under the Change in Bank the BHC Act (12 U.S.C. 1842(c)). If the
Control Act (12 U.S.C. 1817(j)) and A. Federal Reserve Bank of Atlanta
(David Tatum, Vice President) 1000 proposal also involves the acquisition of
§ 225.41 of the Board’s Regulation Y (12 a nonbanking company, the review also
CFR 225.41) to acquire a bank or bank Peachtree Street, N.E., Atlanta, Georgia
includes whether the acquisition of the
holding company. The factors that are 30309:
nonbanking company complies with the
considered in acting on the notices are 1. Leandre Joseph Folse; Bonnie Jane standards in section 4 of the BHC Act
set forth in paragraph 7 of the Act (12 Folse; Mark Phillip Folse; Carrie Jane (12 U.S.C. 1843). Unless otherwise
U.S.C. 1817(j)(7)). Folse; Todd John Folse; and the L.J. noted, nonbanking activities will be
The notices are available for Folse Family Voting Trust, Leandre conducted throughout the United States.
immediate inspection at the Federal Joseph Folse, Bonnie Jane Folse, and Additional information on all bank
Reserve Bank indicated. The notices Mark Phillip Folse, trustees, all of holding companies may be obtained
also will be available for inspection at Houma, Louisiana; to collectively from the National Information Center
the office of the Board of Governors. acquire voting shares of Coastal website at www.ffiec.gov/nic/.
Interested persons may express their Commerce Bancshares, and thereby Unless otherwise noted, comments
views in writing to the Reserve Bank indirectly acquire voting shares of regarding each of these applications
indicated for that notice or to the offices Coastal Commerce Bank, both of must be received at the Reserve Bank
of the Board of Governors. Comments Houma, Louisiana. indicated or the offices of the Board of
must be received not later than Governors not later than September 24,
September 13, 2007. B. Federal Reserve Bank of Dallas 2007.
A. Federal Reserve Bank of St. Louis (W. Arthur Tribble, Vice President) 2200 A. Federal Reserve Bank of St. Louis
(Glenda Wilson, Community Affairs North Pearl Street, Dallas, Texas 75201– (Glenda Wilson, Community Affairs
Officer) 411 Locust Street, St. Louis, 2272: Officer) 411 Locust Street, St. Louis,
Missouri 63166-2034: 1. Asbury Trust No. 1–S; Asbury Trust Missouri 63166-2034:
1. Cross Family Control Group, No. 2–B; Asbury Trust No. 3–A; Asbury 1. First Banks, Inc,. Hazelwood,
Eureka Springs, Arkansas, the control Trust No. 4–T; W. Andrew Sandford, as Missouri and The San Francisco
group consists of John Fuller Cross, Jr., trustee; and Blake and Carole Sandford, Company, Clayton, Missouri; to acquire
Charles Taff Cross, Marie Johnice Cross, together, acting in concert; to acquire 100 percent of Coast Financial Holding,
rfrederick on PROD1PC67 with NOTICES

and Bobbie Sue Cross Foster all of additional voting shares of Chisholm Inc., Bradenton, Florida, and thereby
Eureka Springs Arkansas. to acquire Bancshares, Inc., and thereby indirectly indirectly acquire Coast Bank of Florida,
Eureka Bancshares, Inc., Eureka Springs, acquire additional voting shares of Bradenton, Florida. In addition, First
Arkansas, and thereby indirectly acquire North Texas Bank, N.A., all of Decatur, Banks, Inc, and The San Francisco
voting shares of Bank of Eureka Springs, Company, Clayton, Missouri, also have
Texas.
Eureka Springs, Arkansas. applied to acquire up to 19.9 percent of

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