99-9731. Fisheries of the Exclusive Economic Zone Off Alaska; License Limitation Program  

  • [Federal Register Volume 64, Number 74 (Monday, April 19, 1999)]
    [Proposed Rules]
    [Pages 19113-19117]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 99-9731]
    
    
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    DEPARTMENT OF COMMERCE
    
    National Oceanic and Atmospheric Administration
    
    50 CFR Part 679
    
    [Docket No. 990407088-9088-01; I.D. 030999A]
    RIN 0648-AK69
    
    
    Fisheries of the Exclusive Economic Zone Off Alaska; License 
    Limitation Program
    
    AGENCY: National Marine Fisheries Service (NMFS), National Oceanic and 
    Atmospheric Administration (NOAA), Commerce.
    
    ACTION: Proposed rule; request for comments.
    
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    SUMMARY: NMFS issues a proposed rule that would amend the regulations 
    implementing the License Limitation Program (LLP) for the groundfish 
    fisheries and the king and tanner crab fisheries of the exclusive 
    economic zone (EEZ) off Alaska by adding an application process and a 
    transfer process for licenses. This proposed rule would establish an 
    application process for an LLP license by providing for an application 
    period, specifying the type of information necessary for license 
    eligibility, and providing the procedure for appealing agency 
    determinations that are made based on information and evidence provided 
    in support of applications. The proposed rule also would establish a 
    transfer process for LLP licenses. This action is necessary to complete 
    implementation of the LLP, a fishery management program recommended by 
    the North Pacific Fishery Management Council (Council), and intended to 
    further the objectives of the Fishery Management Plan (FMP) for the 
    Groundfish Fishery of the Bering Sea and Aleutian Islands Area (BSAI), 
    the Fishery Management Plan for Groundfish of Gulf of Alaska (GOA), and 
    the Fishery Management Plan for the Commercial King and Tanner Crab 
    Fisheries in the Bering Sea and Aleutian Islands.
    
    DATES: Comments must be received by May 19, 1999.
    
    ADDRESSES: Comments should be addressed to Susan J. Salveson, Assistant 
    Regional Administrator for Sustainable Fisheries, Sustainable Fisheries 
    Division, Alaska Region, NMFS, 709 West 9th Street, Room 453, Juneau, 
    AK 99801, or P.O. Box 21668, Juneau, AK 99802, Attention: Lori J. 
    Gravel. Send comments regarding burden estimates or any other aspect of 
    the data requirements, including suggestions for reducing the burdens, 
    to NMFS and to the Office of Information and Regulatory Affairs, Office 
    of Management and Budget (OMB), Washington, DC 20503, Attn: NOAA Desk 
    Officer.
    
    FOR FURTHER INFORMATION CONTACT: John Lepore, 907-586-7228.
    
    SUPPLEMENTARY INFORMATION: NMFS manages the U.S. groundfish fisheries 
    of the GOA and the BSAI in the exclusive economic zone (EEZ) pursuant 
    to the FMPs for groundfish in the respective management areas. The 
    state of Alaska manages the commercial king crab and Tanner crab 
    fisheries in the Bering Sea and the Aleutian Islands with Federal 
    oversight, pursuant to the FMP for those fisheries. The Council 
    prepared the FMPs pursuant to the Magnuson-Stevens Fishery Conservation 
    and Management Act (Magnuson-Stevens Act), 16 U.S.C. 1801, et seq. 
    Regulations at 50 CFR part 679 implemented the FMPs. General 
    regulations at 50 CFR 600 also apply.
        Fishing under the LLP for the commercial groundfish fisheries in 
    the EEZ of the GOA and the BSAI and the commercial king crab and Tanner 
    crab fisheries in the Bering Sea and Aleutian Islands fishing is 
    scheduled to begin January 1, 2000. The LLP will replace the Vessel 
    Moratorium Program (VMP), which is scheduled to expire December 31, 
    1999 (64 FR 3651, January 25, 1999). The VMP which was implemented to 
    curtail increases in fishing capacity and to provide industry stability 
    while the Council developed and NMFS implemented a comprehensive 
    solution for the affected fisheries. The LLP is an integral part of 
    that solution.
        The Council took final action to recommend the LLP in June 1995. 
    The design and implementation of the LLP required more time than 
    originally anticipated. When the final rule implementing the LLP was 
    published on October 1, 1998 (63 FR 52642), the application process and 
    the transfer process were postponed for further development. Paragraphs 
    at Sec. 679.4(k)(6) [Application Process] and Sec. 679.4(k)(7) 
    [Transfer Process] were reserved to allow for the inclusion of these 
    processes.
    
    Application Process for LLP Licenses
    
        This proposed rule would provide for a one-time application period 
    of no less than 90 days to be specified by a notice in the Federal 
    Register. NMFS anticipates that the application period for LLP licenses 
    will be in the second half of 1999. All applications for LLP licenses 
    would have to be submitted during the time period specified for 
    applying for a license. Applications postmarked after the ending date 
    for the application period would be denied.
        In anticipation of the information that will be necessary to 
    evaluate and verify the claims of an applicant, NMFS is compiling a 
    database containing information on vessels that were used to 
    participate in the groundfish and crab fisheries during the qualifying 
    periods for licenses. This database will constitute the official LLP 
    record that will contain only complete and verifiable information and 
    that, under this proposed rule, would be used for the purpose of 
    determining eligibility for a license. An applicant who includes 
    information in an application that is inconsistent with information in 
    the
    
    [[Page 19114]]
    
    official LLP record would have the burden of proving that the 
    information submitted in the application is correct.
        NMFS would compare the official LLP record for each applicant with 
    the qualification criteria specified in the LLP final rule (63 FR 
    52642, October 1, 1998). Based on that comparison, NMFS would prepare a 
    summary of qualifications for those applicants appearing to be 
    eligible. NMFS would send these applicants an application form and a 
    copy of the summary of qualifications. Application forms also would be 
    available on request. Applicants who agree with the summary of 
    qualifications would merely need to complete the application with the 
    provided data and include any other information requested on the form. 
    Using the information from the summary of qualifications (by either 
    NMFS or the applicant) is intended to expedite application processing 
    because this information would be consistent with information in the 
    official LLP record.
        If an applicant agrees with the information in the summary of 
    qualifications, and the information is sufficient to qualify the 
    applicant for a license, NMFS would issue a license to the applicant at 
    the conclusion of the application period. However, if an applicant 
    disagrees with the information provided in the summary of 
    qualifications, the applicant would have 60 days to submit information 
    in the application other than that contained in the summary of 
    qualifications. For example, an applicant could provide state fish 
    tickets or Weekly Production Reports to verify documented harvests not 
    found in the official LLP record. Or, an applicant could provide a 
    sales contract verifying vessel ownership. Unsubstantiated or 
    incompletely verified information would not be accepted. If an 
    applicant is able to meet the burden of proving that the information 
    submitted in the application is correct and sufficient to qualify the 
    applicant for a license, NMFS would issue a license to the applicant at 
    the conclusion of the application period.
        If the applicant submits information in the application that is 
    inconsistent with the information in the official LLP record but cannot 
    be verified with evidence provided with the application, NMFS would not 
    accept that information. NMFS would notify the applicant that the 
    information provided in the application is inconsistent with 
    information in the official LLP record or that necessary information is 
    missing. The applicant would have 60 days in which to submit evidence 
    to prove that the information provided in the application is correct or 
    to submit missing information. An applicant would be limited to one 60-
    day period to submit evidence or to correct or submit missing 
    information.
        If information in the application could not be substantiated or 
    verified at the conclusion of the 60-day evidentiary period, NMFS would 
    issue an initial administrative determination (IAD) indicating which 
    information in the application is not accepted, and why. Applicants 
    would then have an opportunity to appeal that IAD to the Regional 
    Administrator. Section 679.43(d) currently provides that an appeal must 
    be filed no later than 60 days after the date an IAD is issued.
        Upon the filing of an appeal an appellate officer would perform an 
    initial review. Two possible outcomes could result from that review. 
    The appellate officer could (1) issue a decision on the merits of the 
    appeal or (2) accept the appeal for further proceedings. An initial 
    review of an applicant's appeal would result in an issuance of a 
    decision on the merits if it is apparent that, although all claims are 
    decided in favor of the applicant, he or she still would not qualify 
    for the relief requested, or that the grounds of the appeal involve 
    claims outside the appellate officer's jurisdiction (i.e., that the 
    regulations are illegal).
        An applicant who was issued a license the previous year would be 
    eligible for a non-transferable license pending the final resolution of 
    his or her claim pursuant to the license renewal provisions of 5 U.S.C. 
    558. The non-transferable license would authorize the applicant to 
    deploy a vessel to conduct directed fishing for license limitation 
    groundfish or crab species as specified on the license and would have 
    specific endorsements and designations based on verified and unverified 
    claims of the applicant. A non-transferable license could be granted to 
    an applicant at one of two points in the resolution of his or her 
    claim. First, a non-transferable license could be granted to an 
    applicant in the IAD if the applicant failed to support a credible 
    claim with sufficient evidence, but NMFS determines that the applicant 
    could prove his or her claim on appeal. The non-transferable license 
    would be effective until final agency action. Second, issuance of a 
    non-transferable license could be ordered by an appellate officer, even 
    if a non-transferable license was not issued in the IAD. Again, this 
    non-transferable license would be effective until final agency action. 
    If any portion of an applicant's claim is in dispute, the entire 
    license the applicant would receive would be non-transferable, 
    including portions of the license that could have been verified and 
    issued, until final resolution of the disputed claim. This provision 
    would give effect to the LLP's prohibition on severing a license. 
    Otherwise, if an applicant was granted a fully transferable portion of 
    a license while a disputed claim was being resolved, the applicant 
    could transfer the granted portion to another person. This transfer 
    would result in two participants in the affected fisheries, instead of 
    only one, if the applicant prevailed in the appeal and another license 
    was issued. To prevent this occurrence, an applicant's entire license 
    would be non-transferable pending a final agency action. A non-
    transferable license would expire on final agency action. At that time, 
    the person who appealed would either receive a transferable license, or 
    no license at all, depending on the final agency action.
    
    Transfer Process for LLP Licenses
    
        The transfer process for LLP licenses would enable a license holder 
    to request a transfer of an LLP license to any person who meets the 
    eligibility requirements. Eligibility requirements would include (1) 
    the designated transferee being eligible to document a fishing vessel 
    under Chapter 121, Title 46, U.S.C., (2) the parties to the transfer 
    having no fines, civil penalties, other payments due and outstanding, 
    or outstanding permit sanctions resulting from Federal fishing 
    violations, and (3) the transfer not causing the designated transferee 
    to exceed the license cap in Sec. 679.7.
        A license holder also would need to request a transfer if the 
    license holder plans to use the license on a vessel other than the one 
    designated on the license. A license would be valid for use only on the 
    vessel designated on the license; therefore the transfer procedure must 
    be used to change the vessel designated on the license.
        A complete application would have to be submitted to the 
    Administrator, Alaska Region, for approval before a transfer could 
    occur. Application forms would be available on request. NMFS would 
    return incomplete applications to the applicant and would identify 
    specific information that is necessary to make the application 
    complete. Information that would be required in the application 
    includes (1) identification information for all parties to the 
    transfer, (2) identification information for the vessel on which the 
    license will be used, (3) documentation of the eligibility of the 
    designated transferee to document a fishing vessel,
    
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    (4) a copy of the contract or sales agreement for the transfer, and (5) 
    the signatures of the parties to the transfer.
        The proposed rule also would provide for transfer requests by court 
    order, operation of law, or as part of a security agreement. This 
    provision contemplates that some transfers might not be voluntarily 
    requested by the permit holder. Under those circumstances, the 
    Administrator, Alaska Region, would review the information in the 
    transfer application or other document and determine whether the 
    requested transfer would conflict with other provisions of the LLP 
    regulations (e.g., transfer to a person who could not document a 
    fishing vessel under Chapter 121, Title 46, U.S.C.).
        Finally, a license could not be transferred more than once per 
    calendar year. This limitation should restrict the incidence of 
    intraseason movement of licenses among vessels and operators. The 
    Council identified intraseason movement of licenses and vessels as 
    behavior that could contribute to overcapacity and excess effort in the 
    affected fisheries.
    
    Classification
    
        At this time, NMFS has not determined that this rule is consistent 
    with the national standards of the Magnuson-Stevens Act and other 
    applicable laws. NMFS, in making that determination, will take into 
    account the data, views, and comments received during the comment 
    period.
        This proposed rule has been determined to be not significant for 
    purposes of E.O. 12866.
        An EA/RIR was prepared for the LLP, of which this rule is a part. 
    The EA/RIR describes the management background, the purpose and need 
    for action, the management action alternatives, and the socio-economic 
    impacts of the alternatives. It estimates the total number of small 
    entities affected by this action and analyzes the economic impact on 
    those small entities. Based on the economic analysis in the EA/RIR, the 
    Chief Counsel for Regulation of the Department of Commerce certified to 
    the Chief Counsel for Advocacy of the Small Business Administration 
    that this proposed rule, if adopted, would not have a significant 
    economic impact on a substantial number of small entities for the 
    following reason:
        Although most fishing operations that would be affected by this 
    rule are considered small entities, these entities would not experience 
    ``significant economic impact'' as a result of this rule. NMFS 
    estimates that 3,450 persons will apply for a license under the LLP. 
    Estimated completion time per application is 2.5 hours. Given the small 
    time burden associated with application completion, any economic costs 
    would not cause a ``significant economic impact.'' NMFS estimates that 
    10 percent of all applicants (345 of 3,450) will transfer a license 
    annually. Estimated completion time per transfer is 1 hour. This 
    completion time is less than the completion time contemplated for the 
    application process. Given the small time burden associated with an 
    application for a transfer, and the small percentage of affected 
    entities, any economic costs would not cause a ``significant economic 
    impact to a substantial number of small entities.''
        As a result, an initial regulatory flexibility analysis was not 
    prepared.
        Notwithstanding any other provision of the law, no person is 
    required to respond to, nor shall any person be subject to a penalty 
    for failure to comply with, a collection of information subject to the 
    requirements of the PRA, unless that collection of information displays 
    a currently valid OMB Control Number.
        This proposed rule contains a revised collection-of-information 
    requirement subject to review and approval by OMB under the Paperwork 
    Reduction Act (PRA). This revision has been submitted to OMB for 
    approval. OMB approved the original collection of information 
    requirement for the LLP under OMB control number 0648-0334. Please 
    refer to this number in any correspondence regarding this request. The 
    public reporting burden for this collection of information is estimated 
    to average 2.5 hours per response for an application for initial 
    issuance, 1 hour per response for an application for transfer, and 4 
    hours per response for an appeal. These response times include the time 
    for reviewing instructions, searching existing data sources, gathering 
    and maintaining the data needed, and completing and reviewing the 
    collection of information.
        Public comment is sought regarding: whether this proposed 
    collection of information is necessary for the proper performance of 
    the functions of the agency, including whether the information shall 
    have practical utility; the accuracy of the burden estimate; ways to 
    enhance the quality, utility, and clarity of the information to be 
    collected; and ways to minimize the burden of the collection of 
    information, including through the use of automated collection 
    techniques or other forms of information technology. Send comments on 
    these or any other aspects of the collection of information to NMFS 
    (see ADDRESSES above), and to OMB at the Office of Information and 
    Regulatory Affairs, Office of Management and Budget, Washington, DC. 
    20503 (Attention: NOAA Desk Officer).
    
    List of Subjects in 50 CFR Part 679
    
        Alaska, Fisheries, Reporting and recordkeeping requirements.
    
        Dated: April 14, 1999.
    Penelope D. Dalton,
    Assistant Administrator for Fisheries, National Marine Fisheries 
    Service.
    
        For reasons set out in the preamble, 50 CFR part 679 is proposed to 
    be amended as follows:
    
    PART 679--FISHERIES OF THE EXCLUSIVE ECONOMIC ZONE OFF ALASKA
    
        1. The authority citation for part 679 continues to read as 
    follows:
    
        Authority: 16 U.S.C. 773 et seq., 1801 et seq., and 3631 et seq.
    
        2. In Sec. 679.2, the definition for ``Official LLP record'' is 
    added in alphabetical order to read as follows:
    
    
    Sec. 679.2  Definitions.
    
    * * * * *
        Official LLP record means the information assembled by the Regional 
    Administrator about vessels that were used to participate in the 
    groundfish and crab fisheries during the qualifying periods for the 
    License Limitation Program. Information in the official LLP record 
    includes vessel ownership information, documented harvests made from 
    vessels during the qualification periods, and vessel characteristics. 
    The official LLP record is presumed to be correct for the purpose of 
    determining eligibility for licenses. An applicant for a license under 
    the License Limitation Program has the burden of proving that 
    information submitted in an application that is at variance with the 
    official LLP record is correct.
    * * * * *
        3. In Sec. 679.4, text is added to paragraphs (k)(6) and (7) to 
    read as follows:
    
    
    Sec. 679.4  Permits.
    
    * * * * *
        (k) * * *
        (6) Application for a groundfish license or a crab species 
    license--(i) General. The Regional Administrator will issue a 
    groundfish license or a crab species license to an eligible applicant 
    if that applicant meets all the criteria for eligibility in paragraph 
    (k) of this section, a complete and timely application is filed by or 
    on behalf of the applicant, and the complete application is approved by 
    the Regional Administrator. An application form will be sent to the 
    last known address of a
    
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    person identified as an eligible applicant by the Official LLP Record. 
    The Regional Administrator will provide an application form to any 
    person who requests one.
        (ii) Application period. An application period of no less than 90 
    days will be specified by notice in the Federal Register and other 
    information sources deemed appropriate by the Regional Administrator.
        (iii) Contents of application. To be complete, an application for a 
    groundfish license or a crab species license must contain the following 
    information:
        (A) Name(s), business address(es), telephone number(s), and FAX 
    number(s) of the applicant(s);
        (B) Name, state registration number (e.g., ADF&G number), and, if 
    applicable, the USCG documentation number of the vessel being used as 
    the basis for eligibility for a license; and name, state registration 
    number (e.g., ADF&G number), and, if applicable, the USCG documentation 
    number of the vessel to be deployed with the license if different than 
    the vessel used as the basis of eligibility for a license;
        (C) Name of the managing company, if any;
        (D) Valid documentation of the documented harvests that are the 
    basis of eligibility for a license, including harvest area, gear used, 
    date of landing, and, if applying for a crab species license, species;
        (E) Valid documentation of LOA on June 24, 1992, of the vessel used 
    as the basis of eligibility for a license. If that vessel was under 
    reconstruction on that date, valid documentation of LOA on the date 
    reconstruction was completed and valid documentation of when 
    reconstruction began and ended;
        (F) Valid documentation of LOA on June 17, 1995, of the vessel used 
    as the basis of eligibility for a license. If that vessel was under 
    reconstruction on that date, valid documentation of LOA on the date 
    reconstruction was completed and valid documentation of when 
    reconstruction began and ended;
        (G) Valid documentation to support the applicant's claim for a 
    vessel designation of catcher vessel or catcher/processor vessel;
        (H) Valid documentation of ownership of the vessel being used as 
    the basis for eligibility for a license (for USCG documented vessels, 
    valid documentation must be the USCG Abstract of Title), or, if 
    eligibility is based on a fishing history that has been separated from 
    a vessel, valid documentation of ownership of the fishing history being 
    used as the basis of eligibility for a license;
        (I) Valid documentation of the LOA of the vessel to be deployed by 
    the license if different than the vessel used as the basis for 
    eligibility for a license; and
        (J) Signature of the applicant(s), or the individual responsible 
    for representing the applicant(s).
        (iv) Other information required for special circumstances. To be 
    complete, an application also must contain the following information 
    for these special circumstances.
        (A) Successor-in-interest. An applicant applying as the successor-
    in-interest to an eligible applicant must provide valid documentation 
    proving the applicant's status as a successor-in-interest to that 
    eligible applicant and:
        (1) valid documentation of death or disability of that eligible 
    applicant at the time of application, if the eligible applicant was or 
    is an individual; or
        (2) valid documentation that that eligible applicant is no longer 
    in existence at the time of application, if the eligible applicant is 
    not an individual.
        (B) Norton Sound crab species license endorsement. In addition to 
    other information that must be provided pursuant to paragraph 
    (k)(6)(iii) of this section, an applicant for a crab species license 
    endorsement for Norton Sound must indicate whether he or she was a 
    State of Alaska permit holder for the Norton Sound king crab summer 
    fishery in 1993 or 1994 or for a corporation that owned or had a lease 
    for a vessel on June 17, 1995, that participated in the Norton Sound 
    king crab summer fishery in 1993 or 1994.
        (C) Extended general qualification period. An applicant for a 
    license based on meeting the general qualification period documented 
    harvest requirement of making a documented harvest with jig or pot gear 
    between June 28, 1992, and December 31, 1994, pursuant to paragraph 
    (k)(4)(i)(A)(2) or (B)(2) of this section, must select one endorsement 
    area for license issuance, notwithstanding the fact that the applicant 
    may have the documented harvests necessary to qualify for more than one 
    endorsement area.
        (D) Unavoidable circumstances. An applicant for a license based on 
    an unavoidable circumstance pursuant to paragraph (k)(8)(iv) of this 
    section must provide the information required by that paragraph, the 
    date the vessel on which the application is based was lost, damaged, or 
    otherwise unable to participate in the fishery, and the date a 
    documented harvest was made from the replacement vessel.
        (v) Application evaluation. The Regional Administrator, will 
    evaluate all timely filed applications. A timely filed application is 
    an application that is postmarked before the ending date for the 
    application period for the License Limitation Program specified in the 
    Federal Register. All claims and data in the application will be 
    compared with information and data from the Official LLP Record. Any 
    claims or data in the application that are consistent with the 
    information and data from the Official LLP Record are uncontested data. 
    Uncontested data in the application will be accepted by the Regional 
    Administrator. Uncontested data will be used by the Regional 
    Administrator, in determining whether the applicant is eligible for a 
    license as claimed in the application. Any claims or data in the 
    application that are inconsistent with the information and data from 
    the Official LLP Record are contested data. Contested data in 
    applications will not be accepted. Pursuant to paragraph (k)(6)(vii) of 
    this section, an applicant who submits contested data, or an applicant 
    who fails to submit data as specified in paragraphs (k)(6)(iii) and 
    (iv), will have 60 days to submit additional information, submit 
    evidence to support his or her contested data, or submit a revised 
    application with claims consistent with data in the Official LLP 
    Record.
        (vi) Additional information or evidence. Additional information or 
    evidence to support an applicant's contested data will be evaluated by 
    the Regional Administrator if submitted within the 60-day evidentiary 
    period pursuant to paragraph (k)(6)(vii) of this section. If the 
    Regional Administrator determines that the additional information or 
    evidence meets the applicant's burden of proving that the contested 
    data in his or her application are correct, the Official LLP Record 
    will be amended and the data will be used in determining whether the 
    applicant is eligible for a license. However, if the Regional 
    Administrator determines that the additional information or evidence 
    does not meet the applicant's burden of proving that the contested data 
    in his or her application are correct, the applicant will be notified 
    by an initial administrative determination, pursuant to paragraph 
    (k)(6)(viii) of this section, that the information or evidence 
    submitted is insufficient to change the Official LLP Record.
        (vii) Sixty-day evidentiary period. An applicant who submits data 
    in the application that is inconsistent with the Official LLP Record 
    has the burden of proving that the submitted data are correct. If the 
    Regional Administrator determines that the applicant submitting the 
    data did not meet the burden of proving that the submitted
    
    [[Page 19117]]
    
    data are correct through information or evidence provided with the 
    application, that applicant will be notified and will have 60 days to 
    submit additional information or evidence to support the claims and 
    data in his or her application, or to submit a revised application with 
    claims and data consistent with the data in the Official LLP Record. 
    Also, an applicant who fails to submit data as specified in paragraphs 
    (k)(6)(iii) and (iv) of this section will have 60 days to submit that 
    data. An applicant will be limited to one 60-day evidentiary period. 
    Additional information or evidence, or a revised application, received 
    after the 60-day evidentiary period has expired will not be considered 
    for purposes of the initial administrative determination.
        (viii) Initial administrative determinations (IAD). If, following 
    the receipt of additional information or a revised application, the 
    Regional Administrator determines that there is still insufficient 
    information or evidence to rebut the presumption that the Official LLP 
    Record is accurate, or, if the submitted information, evidence, or 
    revised application is not submitted within the time period indicated 
    in the 60-day evidentiary period notification letter, an IAD will be 
    prepared and sent to the applicant who had submitted the application 
    with contested or missing data. The IAD will explain the deficiency in 
    the contested or missing data, the deficiency in the additional 
    information or evidence submitted in support of the contested or 
    missing data, or the deficiency in the revised application. The IAD 
    will also indicate which claims cannot be approved based on the 
    available information or evidence. An applicant who receives an IAD 
    will have an opportunity to appeal pursuant to Sec. 679.43. An 
    applicant who avails himself or herself of the opportunity to appeal an 
    IAD will not receive a transferable license until after the final 
    resolution of that appeal, notwithstanding the eligibility of that 
    applicant for some claims based on uncontested data in the application.
        (ix) Issuance of a non-transferable license. When required by the 
    license renewal provisions of 5 U.S.C. 558, NMFS will issue a non-
    transferable license to an applicant on issuance of an IAD, or 
    alternatively, by order of an appellate officer. NMFS may issue a non-
    transferable license when NMFS issues an IAD if an applicant failed to 
    support his or her claim with sufficient evidence, but NMFS determines 
    that the applicant's claim is credible and may be proven on appeal. 
    NMFS may issue a non-transferable license to an applicant pursuant to 
    an order of an appellate officer pending final agency action if a non-
    transferable license was not issued with the IAD. A non-transferable 
    license authorizes a person to deploy a vessel to conduct directed 
    fishing for license limitation groundfish or crab species as specified 
    on the non-transferable license, and will have the specific 
    endorsements and designations based on the claims in his or her 
    application. A non-transferable license will expire upon final agency 
    action.
        (7) Transfer of a groundfish license or a crab species license--(i) 
    General. NMFS will transfer a groundfish license or a crab species 
    license if a license holder and designated transferee meet all the 
    eligibility criteria for transfers in paragraph (k)(7)(ii) of this 
    section and the license holder submits a complete application that is 
    subsequently approved by the Regional Administrator. NMFS will provide 
    an application form to any person who requests one.
        (ii) Eligibility criteria for transfers. NMFS will not approve a 
    groundfish license or crab species license transfer if:
        (A) The designated transferee is not eligible to document a fishing 
    vessel under Chapter 121, Title 46, U.S.C.;
        (B) There are fines, civil penalties, other payments due and 
    outstanding, or outstanding permit sanctions resulting from Federal 
    fishing violations involving any party to the transfer;
        (C) The transfer will cause the designated transferee to exceed the 
    license caps in Sec. 679.7(j); or
        (D) The transfer violates other provisions specified in this part.
        (iii) Contents of application. To be complete an application for a 
    groundfish license transfer or a crab species license transfer must 
    contain the following information, as applicable:
        (A) Name(s), business address(es), telephone number(s), FAX 
    number(s), of the license holder and the designated transferee;
        (B) Name, state registration number (e.g., ADF&G number), and, if 
    applicable, the USCG documentation number of the vessel on which the 
    license will be used after the transfer is approved:
        (C) Valid documentation that the designated transferee is a person 
    eligible to document a fishing vessel under Chapter 121, Title 46, 
    U.S.C.;
        (D) A legible copy of a contract or sales agreement that specifies 
    the license to be transferred, the license holder, the designated 
    transferee, the monetary value or the terms of the license transfer, 
    and the signature of the license holder and the designated transferee;
        (E) Information regarding whether a broker was used for the 
    transaction, whether the license was collateralized, and other 
    information the Regional Administrator deems necessary for measuring 
    program performance; and
        (F) Signature of the license holder and the designated transferee, 
    or of the individuals responsible for representing those persons.
        (iv) Incomplete applications. NMFS will return to the applicant a 
    transfer application that is determined to be incomplete by the 
    Regional Administrator. The returned application will identify the 
    specific kinds of information necessary to make the application 
    complete.
        (v) Transfer by court order, operation of law, or as part of a 
    security agreement. The Regional Administrator will approve a complete 
    transfer application based on a court order, operation of law, or a 
    security agreement, if the transfer does not conflict with any of the 
    provisions of this section.
        (vi) Transfer Limitation. A groundfish license or a crab species 
    license may be transferred only once in any calendar year. NMFS will 
    not approve an application for transfer that violates this provision.
    [FR Doc. 99-9731 Filed 4-16-99; 8:45 am]
    BILLING CODE 3510-22-P
    
    
    

Document Information

Published:
04/19/1999
Department:
National Oceanic and Atmospheric Administration
Entry Type:
Proposed Rule
Action:
Proposed rule; request for comments.
Document Number:
99-9731
Dates:
Comments must be received by May 19, 1999.
Pages:
19113-19117 (5 pages)
Docket Numbers:
Docket No. 990407088-9088-01, I.D. 030999A
RINs:
0648-AK69: Regulatory Amendment To Establish Application Period for License Limitation Program
RIN Links:
https://www.federalregister.gov/regulations/0648-AK69/regulatory-amendment-to-establish-application-period-for-license-limitation-program
PDF File:
99-9731.pdf
CFR: (2)
50 CFR 679.2
50 CFR 679.4