96-15767. Magnuson Act Provisions; Consolidation and Update of Regulations; Collection-of-Information Approval  

  • [Federal Register Volume 61, Number 122 (Monday, June 24, 1996)]
    [Rules and Regulations]
    [Pages 32538-32577]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 96-15767]
    
    
    
    
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    Part III
    
    
    
    
    
    Department of Commerce
    
    
    
    
    
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    National Oceanic and Atmospheric Administration
    
    
    
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    15 CFR Part 902; 50 CFR Part 600 et al.
    
    
    
    Magnuson Act Provisions; Consolidation and Update of Regulations; 
    Collection-of-Information Approval; Final Rule
    
    Federal Register / Vol. 61, No. 122 / Monday, June 24, 1996 / Rules 
    and Regulations
    
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    DEPARTMENT OF COMMERCE
    
    National Oceanic and Atmospheric Administration
    
    15 CFR Part 902
    
    50 CFR Parts 600, 601, 602, 603, 605, 611, 619, 620, and 621
    
    [Docket No. 960315081-6160-02; I.D. 030596B]
    RIN 0648-AI17
    
    
    Magnuson Act Provisions; Consolidation and Update of Regulations; 
    Collection-of-Information Approval
    
    AGENCY: National Marine Fisheries Service (NMFS), National Oceanic and 
    Atmospheric Administration (NOAA), Commerce.
    
    ACTION: Final rule.
    
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    SUMMARY: NMFS consolidates nine CFR parts into one part that contains 
    general provisions under the Magnuson Fishery Conservation and 
    Management Act (Magnuson Act) as they apply to the operation of 
    Regional Fishery Management Councils (Councils) and the management of 
    foreign and domestic fishing in the U.S. Exclusive Economic Zone (EEZ). 
    The consolidated text is reorganized into a more logical and cohesive 
    order, duplicative and outdated provisions are eliminated, and 
    editorial changes are made for readability, clarity, and uniformity. In 
    addition, the final rule makes several revisions to the regulations 
    applying to the operation of the Councils to codify recent 
    administrative and policy changes. The purpose of this final rule is to 
    make the regulations more concise, better organized and, therefore, 
    easier for the public to use, and to update the regulations to reflect 
    current policies and procedures. This rule also adds a reference to 
    approved collection-of-information requirements under the Paperwork 
    Reduction Act (PRA) and amends references to previously approved 
    collections of information. This final action is part of the 
    President's Regulatory Reinvention Initiative.
    
    EFFECTIVE DATE: July 1, 1996.
    
    FOR FURTHER INFORMATION CONTACT: Tom Meyer, 301-713-2339.
    
    SUPPLEMENTARY INFORMATION: Pursuant to the Regulatory Reinvention 
    Initiative of the President, this final rule removes eight 50 CFR parts 
    (parts 601 (Regional Fishery Management Councils), 602 (Guidelines for 
    Fishery Management Plans), 603 (Confidentiality of Statistics), 605 
    (Guidelines for Council Operations/Administration), 611 (Foreign 
    Fishing), 619 (Preemption of State Authority under Section 306(b)), 620 
    (General Provisions for Domestic Fisheries), and 621 (Civil 
    Procedures)), and consolidates the regulations contained therein, 
    except for part 605, with the existing regulations in part 600. The 
    final rule removes most of part 605 (Guidelines for Council Operations/
    Administration), and the material contained in that part has been 
    placed in a Council Operations and Administration Handbook. These 
    consolidated regulations provide the public with a single reference 
    source for the general regulations under the Magnuson Act as they apply 
    to the operation of Councils and the management of foreign and domestic 
    fishing in the EEZ, which results in one set of regulations that are 
    more concise, clearer, and easier to use than the existing regulations.
        Additional background for this rule was contained in the preamble 
    to the proposed rule (61 FR 19390, May 1, 1996).
    
    Comments and Responses
    
        The New England, Mid-Atlantic, Pacific and North Pacific Fishery 
    Management Councils submitted comments on the proposed rule. These 
    comments are summarized below with responses to them.
        1. Comment: The four Councils objected to the proposed rule that 
    would require state-designated members on Councils to be full-time 
    employees of the state agency responsible for marine fishery 
    management. One wondered whether current members who are not full-time 
    state employees would have to resign.
        Response: No change was made. Section 302(b)(1)(A) of the Magnuson 
    Act states that voting members include the ``principal State official 
    with marine fishery management responsibility and expertise in each 
    constituent State, who is designated as such by the Governor of the 
    State, so long as the official continues to hold such position.'' We 
    believe the better interpretation of this language is that the official 
    must be a state employee with present responsibility within the state 
    for management of marine fisheries, rather than a retired employee or 
    someone with only a tenuous relationship with the state government. The 
    rationale for Section 302(b)(1)(A) is that the principal state official 
    is expected to represent and espouse the positions of the governor and 
    the state fishery agency. The Councils cannot function as a state/
    federal/public partnership if the principal state official cannot be 
    counted on to speak officially on behalf of the state.
        Section 600.205(a) requires new or revised designations to comply 
    with this requirement, so no current member would have to resign.
        2. Comment: The four Councils criticized the proposed rule that 
    would require the principal state official's designee to be a 
    subordinate of the principal state official.
        Response: Section 600.205(b) is revised to eliminate the reference 
    to a subordinate.
        3. Comment: The New England and North Pacific Councils disagreed 
    with the proposed rule that as little as 1 day served in a term counts 
    toward a full term, in calculating the 3-consecutive-term limit for 
    Council members. The New England Council proposed that service of less 
    than 18 months should not count toward a full term. The North Pacific 
    Council pointed out that the pending Senate bill (S. 39) to amend the 
    Magnuson Act would insert ``full'' before ``consecutive'' in the second 
    sentence of section 302(b)(3). This would then conflict with the 
    restrictions envisioned in Sec. 600.210.
        Response: The current language of the Magnuson Act does not define 
    ``term.'' Questions have arisen whether someone who served 2 years and 
    11 months of a 3-year term should have that term count against the 3-
    term limit. NMFS proposed that any length of service within a term 
    should count, but acknowledges that the New England Council's proposal 
    is a good compromise. Section 600.210(a) has been revised to count 
    service of 18 months or more during a term as service for the entire 
    term.
        If the Magnuson Act is amended otherwise, NMFS will make the 
    appropriate change in the regulation.
        4. Comment: The Mid-Atlantic Council wanted Appendix A to Subpart 
    B--Explanatory Materials (currently in 50 CFR part 602) to be restored 
    in the final rule.
        Response: Appendix A was eliminated; however, the guidance provided 
    in that Appendix remains relevant. Those wishing to review the guidance 
    may read it as previously published in the Federal Register (54 FR 
    30833, July 24, 1989).
        5. Comment: The Mid-Atlantic Council thought the last sentence of 
    current Sec. 601.39(b), which allows state officials to be compensated 
    if they can document that they were on leave without pay, should be 
    included in the final rule.
        Response: It will not be included. We believe state officials 
    designated by the governor should be paid by the state,
    
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    not by the Councils. The example cited by the Mid-Atlantic Council, 
    payment to a Council member appointed by the Secretary but employed by 
    a state educational institute, could receive pay under Sec. 600.245(a) 
    if he or she did not receive compensation from the state for the period 
    of Council service.
        6. Comment: The New England Council questioned the procedure for 
    filling at-large vacancies. The Magnuson Act requires that each 
    constituent state governor submit a list of at least three qualified 
    candidates for each vacancy. In the case when more than one at-large 
    vacancy is available, the New England Council would like the names of 
    all qualified candidates submitted by the governors for all of the 
    positions to be placed in a ``pool.'' The Secretary would then be free 
    to select appointees from this pool who are felt to represent a 
    balanced and fair representation of the varying interests within the 
    region.
        Response: The procedure suggested by the New England Council for 
    filling at-large vacancies is consistent with current procedures. As 
    stated by the Council, this procedure results in a broader pool of 
    qualified at-large candidates from which the Secretary may choose. 
    Section 600.215(g)(3) has been revised to clarify the current 
    procedures.
        7. Comment: The New England Council objected to the requirement 
    that, after a member has completed three consecutive terms, he/she will 
    not be eligible for appointment to another term on any Council until 1 
    year has elapsed since the last day of that member's service. Since 
    nominations must be made in March, this requirement effectively means 
    that a qualified member leaving a Council in August of 1996 could not 
    be considered for another appointment until March of 1998, for a term 
    beginning in August of 1998, which is 2 years of elapsed time. The New 
    England Council believes a former member should be able to be 
    renominated in March of the year following his/her leaving a seat, for 
    appointment the following August, where 1 full year would have elapsed 
    since last service.
        Response: Section 600.210(c) was intended to require a lapse of 1 
    year between completion of a third consecutive term and the beginning 
    of a new term. It has been rewritten to clarify that intention.
    
    Changes From the Proposed Rule
    
        (1) Revised Sec. 600.205(b) to eliminate the reference to 
    subordinate.
        (2) Revised Sec. 600.10 definition of ``authorized officer'' to 
    include ``any other statute administered by NOAA.''
        (3) Added definitions to Sec. 600.10 for ``codend,'' ``drift 
    gillnet,'' ``gillnet,'' ``handgear,'' ``harpoon or harpoon gear,'' 
    ``metric ton (mt),'' ``nm,'' ``total length (TL),'' and ``trawl,'' 
    which will apply to these terms throughout Chapter VI.
        (4) Revised Sec. 600.10 definition of ``retain, retain aboard, or 
    retain on board,'' by deleting ``retain'' and ``retain aboard.'' 
    ``Retain'' is too general and is used in many contexts throughout the 
    regulation, while ``retain aboard'' is inconsistent with our usage of 
    the terms.
        (5) Revised Sec. 600.10 definition of ``round weight'' to include 
    ``before processing or removal of any part.''
        (6) Revised Sec. 600.10 definition of ``state'' by adding ``the 
    Northern Mariana Islands.''
        (7) Removed definition for ``state employee'' from Sec. 600.10 
    because the deletion of reference to ``subordinate'' in Sec. 600.205(b) 
    eliminates the need to retain definition.
        (8) Revised sections discussed in the scientific research activity 
    and exempted fishing final rule (61 FR 26435, May 28, 1996).
        (9) Revised Sec. 600.210(a) to count service of 18 months or more 
    during a term as service for the entire term.
        (10) Revised Sec. 600.210(c) to clarify the current procedures for 
    reappointment after a Council member has served three consecutive 
    terms.
        (11) Revised Sec. 600.215(g)(3) to clarify the current procedures 
    for filling an at-large vacancy.
        (12) Deleted Secs. 600.507 (f) and (g) and combined text with 
    Secs. 600.507 (h) and (i).
        (13) Added ``or any other statute administered by NOAA'' to 
    Secs. 600.725 (a), (d), (f), (g), (j), and (k) after Magnuson Act.
        (14) Added a general prohibition to Sec. 600.725(p) to prohibit the 
    violation of any other provision of this part, the Magnuson Act, or any 
    other statute administered by NOAA.
        (15) Section 3506(c)(B)(i) of the PRA requires that agencies 
    inventory and display a current control assigned by the Director, 
    Office of Management and Budget (OMB), for each agency information 
    collection. Section 902.1(b) identifies the location of NOAA 
    regulations for which OMB approval numbers have been issued. This final 
    rule adds OMB approval numbers for approved collections-of-information 
    to the table in Sec. 902.1(b) and amends references to previously 
    approved collections of information.
        Under NOAA Organization Handbook, Transmittal #34, dated May 31, 
    1993, the Under Secretary for Oceans and Atmosphere has delegated to 
    the Assistant Administrator for Fisheries, NOAA, the authority to sign 
    material for publication in the Federal Register.
    
    Classification
    
        This final rule has been determined to be not significant for 
    purposes of E.O. 12866.
        Because this rule makes only nonsubstantive changes to existing 
    regulations originally issued after prior notice and an opportunity for 
    public comment, the Assistant Administrator for Fisheries, NOAA, under 
    5 U.S.C. 553(b)(B), for good cause finds that providing such procedures 
    for this rulemaking is unnecessary. Because this rule is not 
    substantive, it is not subject to a 30-day delay in effective date 
    under 5 U.S.C. 553(d).
        The Assistant General Counsel for Legislation and Regulation of the 
    Department of Commerce certified to the Chief Counsel for Advocacy of 
    the Small Business Administration that this final rule would not have a 
    significant economic impact on a substantial number of small entities. 
    The reasons were published in the proposed rule (61 FR 19390, May 1, 
    1996). As a result, a 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 rule contains collection-of-information requirements subject 
    to the Paperwork Reduction Act (PRA).
    
    Approved Collection-of-Information Requirements
    
        The following collection-of-information requirements have already 
    been approved by OMB for foreign fishing activities:
        (a) Approved under 0648-0089--Foreign fishing permits, estimated at 
    2 hours per response.
        (b) Approved under 0648-0075--Vessel reports (1) activity reports 
    estimated at 0.1 hours per response, (2) weekly reports estimated at 
    0.5 hour per response, and (3) marine mammal report estimated at 0.2 
    hour per response; Observers (1) effort plan estimated at 0.5 hour per 
    response, and (2) notification requirement to observers estimated at 
    0.2 hour per response; Recordkeeping (1) communications logs estimated 
    at 0.1 hour per response, (2) transfer logs estimated at 0.2 hour per 
    response, (3) daily fishing logs estimated at 0.4 hour per response, 
    (4) daily consolidated fishing log estimated at 0.5 hour per
    
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    response, and (5) joint venture logs estimated at 0.5 hour per 
    response; and gear avoidance and disposal (1) gear conflicts estimated 
    at 0.2 hour per response, and (2) disposal estimated at 0.2 hour per 
    response.
        (c) Approved under 0648-0306--Vessel identification requirements 
    estimated at 35 minutes per response.
        (d) Approved under 0648-0305--Gear identification requirements 
    estimated at 30 minutes per response.
    
    Collection-of-Information Requirements Submitted for Approval
    
        (e) Approved under 0648-0309--Scientific research activity and 
    exempted fishing (1) 1 hour per response to send NMFS a copy of a 
    scientific research plan and provide a copy of the cruise report or 
    research publication, (2) 1 hour per response to complete an 
    application for an exempted fishing permit or authorization for an 
    exempted educational activity, and (3) 1 hour per response to collect 
    information and provide a report at the conclusion of exempted fishing.
        The following collection-of-information requirements have been 
    approved by OMB:
        (a) Principal state officials and their designees--Estimated at 15 
    hours per response (OMB control number 0648-0314).
        (b) Council appointments--Estimated at 120 hours per appointment 
    (30 appointments required)(OMB control number 0648-0314).
        (c) Application for reinstatement of State authority-- Estimated at 
    2 hours per response (OMB control number 0648-0314).
        The estimated response times shown include the time for reviewing 
    instructions, searching existing data sources, gathering and 
    maintaining the data needed, and completing and reviewing the 
    collection of information.
    
    List of Subjects
    
    15 CFR Part 902
    
        Reporting and recordkeeping requirements.
    
    50 CFR Parts 600, 602, and 620
    
        Fisheries, Fishing.
    
    50 CFR Part 601
    
        Administrative practice and procedure, Fisheries, Fishing.
    
    50 CFR Part 603
    
        Confidential business information, Fisheries, Statistics.
    
    50 CFR Part 605
    
        Administrative practice and procedure, Fisheries, Fishing, 
    Reporting and recordkeeping requirements.
    
    50 CFR Part 611
    
        Fisheries, Foreign relations, Reporting and recordkeeping 
    requirements.
    
    50 CFR Part 619
    
        Administrative practice and procedure, Fisheries, Fishing, 
    Intergovernmental relations.
    
    50 CFR Part 621
    
        Fisheries, Fishing, Fishing vessels, Penalties.
    
        Dated: June 14, 1996.
    Gary Matlock,
    Program Management Officer, National Marine Fisheries Service.
    
        For the reasons set out in the preamble, 15 CFR chapter IX and, 
    under the authority of 16 U.S.C., 1801 et seq., 50 CFR chapter VI are 
    amended as follows:
    
    15 CFR CHAPTER IX
    
    PART 902--NOAA INFORMATION COLLECTION REQUIREMENTS UNDER THE 
    PAPERWORK REDUCTION ACT: OMB CONTROL NUMBERS
    
        1. The authority citation for part 902 continues to read as 
    follows:
    
        Authority: 44 U.S.C. 3501 et seq.
    
        2. In Sec. 902.1, paragraph (b), the table is amended by removing 
    in the left column under 50 CFR, the entries ``601.37'', ``611.3'', 
    ``611.4'', ``611.5'', ``611.6'', ``611.8'', ``611.9'', ``611.12'', 
    ``611.14'', ``611.50'', ``611.61'', ``611.70'', ``611.80'', ``611.81'', 
    ``611.82'', ``611.90'', ``611.92'', ``611.93'', ``611.94'', and 
    ``620.10'', and by removing in the right column the control numbers in 
    corresponding positions; and by adding, in numerical order, the 
    following entries to read as follows:
    
    
    Sec. 902.1  OMB control numbers assigned pursuant to the Paperwork 
    Reduction Act.
    
    * * * * *
        (b) * * *
    
    ------------------------------------------------------------------------
                                                 Current OMB control number 
     CFR part or section where the information  (all numbers begin with 0648-
         collection requirement is located                    )             
    ------------------------------------------------------------------------
                                                                            
                      *        *        *        *        *                 
    50 CFR                                                                  
                                                                            
                      *        *        *        *        *                 
      600.205.................................  -0314                       
      600.215.................................  -0314                       
      600.235.................................  -0192                       
      600.501.................................  -0089                       
      600.502.................................  -0075                       
      600.503.................................  -0305 and -0306             
      600.504.................................  -0075                       
      600.506.................................  -0075                       
      600.507.................................  -0075                       
      600.510.................................  -0075                       
      600.512.................................  -0309                       
      600.520.................................  -0075                       
      600.630.................................  -0314                       
    ------------------------------------------------------------------------
    
    * * * * *
    
    50 CFR CHAPTER VI
    
        3. Part 600 is revised to read as follows:
    
    PART 600--MAGNUSON ACT PROVISIONS
    
    Subpart A--General
    
    Sec.
    600.5  Purpose and scope.
    600.10  Definitions.
    600.15  Other acronyms.
    Subpart B--Regional Fishery Management Councils
    600.105  Intercouncil boundaries.
    600.110  Intercouncil fisheries.
    600.115  Statement of organization, practices, and procedures 
    (SOPP).
    600.120  Employment practices.
    600.125  Budgeting, funding, and accounting.
    600.130  Protection of confidentiality of statistics.
    
    Subpart C--Council Membership
    
    600.205  Principal state officials and their designees.
    600.210  Terms of council members.
    600.215  Appointments.
    600.220  Oath of office.
    600.225  Rules of conduct.
    600.230  Removal.
    600.235  Financial disclosure.
    600.240  Security assurances.
    600.245  Council member compensation.
    
    Subpart D--National Standards
    
    600.305  General.
    600.310  National Standard 1--Optimum Yield.
    600.315  National Standard 2--Scientific Information.
    600.320  National Standard 3--Management Units.
    600.325  National Standard 4--Allocations.
    600.330  National Standard 5--Efficiency.
    600.335  National Standard 6--Variations and Contingencies.
    600.340  National Standard 7--Costs and Benefits.
    
    Subpart E--Confidentiality of Statistics
    
    600.405  Types of statistics covered.
    600.410  Collection and maintenance of statistics.
    600.415  Access to statistics.
    600.420  Control system.
    600.425  Release of statistics.
    
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    Subpart F--Foreign Fishing
    
    600.501  Vessel permits.
    600.502  Vessel reports.
    600.503  Vessel and gear identification.
    600.504  Facilitation of enforcement.
    600.505  Prohibitions.
    600.506  Observers.
    600.507  Recordkeeping.
    600.508  Fishing operations.
    600.509  Prohibited species.
    600.510  Gear avoidance and disposal.
    600.511  Fishery closure procedures.
    600.512  Scientific research.
    600.513  Recreational fishing.
    600.514  Relation to other laws.
    600.515  Interpretation of 16 U.S.C. 1857(4).
    600.516  Total allowable level of foreign fishing (TALFF).
    600.517  Allocations.
    600.518  Fee schedule for foreign fishing.
    600.520  Northwest Atlantic Ocean fishery.
    600.525  Atlantic herring fishery.
    Subpart G--Preemption of State Authority Under Section 306(b)
    600.605  General policy.
    600.610  Factual findings for Federal preemption.
    600.615  Commencement of proceedings.
    600.620  Rules pertaining to the hearing.
    600.625  Secretary's decision.
    600.630  Application for reinstatement of state authority.
    
    Subpart H--General Provisions for Domestic Fisheries
    
    600.705  Relation to other laws.
    600.710  Permits.
    600.715  Recordkeeping and reporting.
    600.720  Vessel and gear identification.
    600.725  General prohibitions.
    600.730  Facilitation of enforcement.
    600.735  Penalties.
    600.740  Enforcement policy.
    600.745  Scientific research activity, exempted fishing, and 
    exempted educational activity.
    
        Authority: 16 U.S.C. 1801 et seq.
    
    Subpart A--General
    
    
     600.5  Purpose and scope.
    
        (a) This part contains general provisions governing the operation 
    of the eight Regional Fishery Management Councils established by the 
    Magnuson Act and describes the Secretary's role and responsibilities 
    under the Act. The Councils are institutions created by Federal law and 
    must conform to the uniform standards established by the Secretary in 
    this part.
        (b) This part also governs all foreign fishing under the Magnuson 
    Act, prescribes procedures for the conduct of preemption hearings under 
    section 306(b) of the Magnuson Act, and collects the general provisions 
    common to all domestic fisheries governed by this chapter.
    
    
    Sec. 600.10  Definitions.
    
        Unless defined otherwise in other parts of Chapter VI, the terms in 
    this chapter have the following meanings:
        Administrator means the Administrator of NOAA (Under Secretary of 
    Commerce for Oceans and Atmosphere) or a designee.
        Advisory group means a Scientific and Statistical Committee (SSC), 
    Fishing Industry Advisory Committee (FIAC), or Advisory Panel (AP) 
    established by a Council under the Magnuson Act.
        Agent, for the purpose of foreign fishing (subpart F), means a 
    person appointed and maintained within the United States who is 
    authorized to receive and respond to any legal process issued in the 
    United States to an owner and/or operator of a vessel operating under a 
    permit and of any other vessel of that Nation fishing subject to the 
    jurisdiction of the United States. Any diplomatic official accepting 
    such an appointment as designated agent waives diplomatic or other 
    immunity in connection with such process.
        Aggregate or summary form means confidential data structured in 
    such a way that the identity of the submitter cannot be determined 
    either from the present release of the data or in combination with 
    other releases.
        Allocated species means any species or species group allocated to a 
    foreign nation under Sec. 600.517 for catching by vessels of that 
    Nation.
        Allocation means direct and deliberate distribution of the 
    opportunity to participate in a fishery among identifiable, discrete 
    user groups or individuals.
        Anadromous species means species of fish that spawn in fresh or 
    estuarine waters of the United States and that migrate to ocean waters.
        Assistant Administrator means the Assistant Administrator for 
    Fisheries, NOAA, or a designee.
        Authorized officer means:
        (1) Any commissioned, warrant, or petty officer of the USCG;
        (2) Any special agent or fishery enforcement officer of NMFS;
        (3) Any officer designated by the head of any Federal or state 
    agency that has entered into an agreement with the Secretary and the 
    Commandant of the USCG to enforce the provisions of the Magnuson Act or 
    any other statute administered by NOAA; or
        (4) Any USCG personnel accompanying and acting under the direction 
    of any person described in paragraph (1) of this definition.
        Authorized species means any species or species group that a 
    foreign vessel is authorized to retain in a joint venture by a permit 
    issued under Activity Code 4 as described by Sec. 600.501(c).
        Catch, take, or harvest includes, but is not limited to, any 
    activity that results in killing any fish or bringing any live fish on 
    board a vessel.
        Center means one of the five NMFS Fisheries Science Centers.
        Coast Guard Commander means one of the commanding officers of the 
    Coast Guard units specified in Table 1 of Sec. 600.502, or a designee.
        Codend means the terminal, closed end of a trawl net.
        Confidential statistics are those submitted as a requirement of an 
    FMP and that reveal the business or identity of the submitter.
        Continental shelf fishery resources means the species listed under 
    section 3(4) of the Magnuson Act.
        Council means one of the eight Regional Fishery Management Councils 
    established by the Magnuson Act.
        Data, statistics, and information are used interchangeably. Dealer 
    means the person who first receives fish by way of purchase, barter, or 
    trade.
        Designated representative means the person appointed by a foreign 
    nation and maintained within the United States who is responsible for 
    transmitting information to and submitting reports from vessels of that 
    Nation and establishing observer transfer arrangements for vessels in 
    both directed and joint venture activities.
        Directed fishing, for the purpose of foreign fishing (subpart F), 
    means any fishing by the vessels of a foreign nation for allocations of 
    fish granted that Nation under Sec. 600.517.
        Director means the Director of the Office of Fisheries Conservation 
    and Management, 1315 East-West Highway, Silver Spring, MD 20910.
        Discard means to release or return fish to the sea, whether or not 
    such fish are brought fully on board a fishing vessel.
        Drift gillnet means a gillnet that is unattached to the ocean 
    bottom, whether or not attached to a vessel.
        Exclusive economic zone (EEZ) means the zone established by 
    Presidential Proclamation 5030, 3 CFR part 22, dated March 10, 1983, 
    and is that area adjacent to the United States which, except where 
    modified to accommodate international boundaries, encompasses all 
    waters from the seaward boundary of each of the coastal states to a 
    line on which each point is 200 nautical miles (370.40 km) from the 
    baseline from which the territorial sea of the United States is 
    measured.
        Exempted educational activity means an activity, conducted by an 
    educational institution accredited by a recognized national or 
    international accreditation
    
    [[Page 32542]]
    
    body, of limited scope and duration, that is otherwise prohibited by 
    part 285 or chapter VI of this title, but that is authorized by the 
    appropriate Director or Regional Director for educational purposes.
        Exempted or experimental fishing means fishing from a vessel of the 
    United States that involves activities otherwise prohibited by part 285 
    or chapter VI of this title, but that are authorized under an exempted 
    fishing permit (EFP). These regulations refer exclusively to exempted 
    fishing. References in part 285 of this title and elsewhere in this 
    chapter to experimental fishing mean exempted fishing under this part.
        Fish means:
        (1) When used as a noun, means any finfish, mollusk, crustacean, or 
    parts thereof, and all other forms of marine animal and plant life 
    other than marine mammals and birds.
        (2) When used as a verb, means to engage in ``fishing,'' as defined 
    below.
        Fishery means:
        (1) One or more stocks of fish that can be treated as a unit for 
    purposes of conservation and management and that are identified on the 
    basis of geographic, scientific, technical, recreational, or economic 
    characteristics, or method of catch; or
        (2) Any fishing for such stocks.
        Fishery management unit (FMU) means a fishery or that portion of a 
    fishery identified in an FMP relevant to the FMP's management 
    objectives. The choice of an FMU depends on the focus of the FMP's 
    objectives, and may be organized around biological, geographic, 
    economic, technical, social, or ecological perspectives.
        Fishery resource means any fish, any stock of fish, any species of 
    fish, and any habitat of fish.
        Fishing, or to fish means any activity, other than scientific 
    research conducted by a scientific research vessel, that involves:
        (1) The catching, taking, or harvesting of fish;
        (2) The attempted catching, taking, or harvesting of fish;
        (3) Any other activity that can reasonably be expected to result in 
    the catching, taking, or harvesting of fish; or
        (4) Any operations at sea in support of, or in preparation for, any 
    activity described in paragraphs (1), (2), or (3) of this definition.
        Fishing vessel means any vessel, boat, ship, or other craft that is 
    used for, equipped to be used for, or of a type that is normally used 
    for:
        (1) Fishing; or
        (2) Aiding or assisting one or more vessels at sea in the 
    performance of any activity relating to fishing, including, but not 
    limited to, preparation, supply, storage, refrigeration, 
    transportation, or processing.
        Foreign fishing means fishing by a foreign fishing vessel.
        Foreign fishing vessel (FFV) means any fishing vessel other than a 
    vessel of the United States, except those foreign vessels engaged in 
    recreational fishing, as defined in this section.
        Gear conflict means any incident at sea involving one or more 
    fishing vessels:
        (1) In which one fishing vessel or its gear comes into contact with 
    another vessel or the gear of another vessel; and
        (2) That results in the loss of, or damage to, a fishing vessel, 
    fishing gear, or catch.
        Gillnet means a panel of netting, suspended vertically in the water 
    by floats along the top and weights along the bottom, to entangle fish 
    that attempt to pass through it.
        Governing International Fishery Agreement (GIFA) means an agreement 
    between the United States and a foreign nation or Nations under section 
    201(c) of the Magnuson Act.
        Grants Officer means the NOAA official authorized to sign, on 
    behalf of the Government, the cooperative agreement providing funds to 
    support the Council's operations and functions.
        Greenwich mean time (GMT) means the local mean time at Greenwich, 
    England. All times in this part are GMT unless otherwise specified.
        Handgear means handline, harpoon, or rod and reel.
        Harass means to unreasonably interfere with an individual's work 
    performance, or to engage in conduct that creates an intimidating, 
    hostile, or offensive environment.
        Harpoon or harpoon gear means fishing gear consisting of a pointed 
    dart or iron attached to the end of a line several hundred feet in 
    length, the other end of which is attached to a floatation device. 
    Harpoon gear is attached to a pole or stick that is propelled only by 
    hand, and not by mechanical means.
        Industry means both recreational and commercial fishing, and 
    includes the harvesting, processing, and marketing sectors.
        International radio call sign (IRCS) means the unique radio 
    identifier assigned a vessel by the appropriate authority of the flag 
    state.
        Joint venture means any operation by a foreign vessel assisting 
    fishing by U.S. fishing vessels, including catching, scouting, 
    processing and/or support. (A joint venture generally entails a foreign 
    vessel processing fish received from U.S. fishing vessels and 
    conducting associated support activities.)
        Magnuson Act means the Magnuson Fishery Conservation and Management 
    Act, as amended (16 U.S.C. 1801 et seq.), also known as MFCMA.
        Metric ton (mt) means 1,000 kg (2,204.6 lb).
        nm means nautical mile (6,076 ft (1,852 m)).
        Official number means the documentation number issued by the USCG 
    or the certificate number issued by a state or by the USCG for an 
    undocumented vessel.
        Operator, with respect to any vessel, means the master or other 
    individual aboard and in charge of that vessel.
        Optimum yield (OY) means the amount of fish:
        (1) That will provide the greatest overall benefit to the United 
    States, with particular reference to food production and recreational 
    opportunities; and
        (2) That is prescribed as such on the basis of the maximum 
    sustainable yield from such fishery, as modified by any relevant 
    economic, social, or ecological factor.
        Owner, with respect to any vessel, means:
        (1) Any person who owns that vessel in whole or in part;
        (2) Any charterer of the vessel, whether bareboat, time, or voyage;
        (3) Any person who acts in the capacity of a charterer, including, 
    but not limited to, parties to a management agreement, operating 
    agreement, or any similar agreement that bestows control over the 
    destination, function, or operation of the vessel; or
        (4) Any agent designated as such by a person described in paragraph 
    (1), (2), or (3) of this definition.
        Plan Team means a Council working group selected from agencies, 
    institutions, and organizations having a role in the research and/or 
    management of fisheries, whose primary purpose is to assist the Council 
    in the preparation and/or review of FMPs, amendments, and supporting 
    documents for the Council, and/or SSC and AP.
        Predominately means, with respect to fishing in a fishery, that 
    more fishing on a stock or stocks of fish covered by the FMP occurs, or 
    would occur in the absence of regulations, within or beyond the EEZ 
    than occurs in the aggregate within the boundaries of all states off 
    the coasts of which the fishery is conducted.
        Processing, for the purpose of foreign fishing (subpart F), means 
    any operation by an FFV to receive fish from foreign or U.S. fishing 
    vessels and/or the preparation of fish, including, but not limited to, 
    cleaning, cooking, canning,
    
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    smoking, salting, drying, or freezing, either on the FFV's behalf or to 
    assist other foreign or U.S. fishing vessels.
        Product recovery rate (PRR) means a ratio expressed as a percentage 
    of the weight of processed product divided by the round weight of fish 
    used to produce that amount of product.
        Prohibited species, with respect to a foreign vessel, means any 
    species of fish that that vessel is not specifically allocated or 
    authorized to retain, including fish caught or received in excess of 
    any allocation or authorization.
        Recreational fishing, with respect to a foreign vessel, means any 
    fishing from a foreign vessel not operated for profit and not operated 
    for the purpose of scientific research. It may not involve the sale, 
    barter, or trade of part or all of the catch (see Sec. 600.513).
        Retain on board means to fail to return fish to the sea after a 
    reasonable opportunity to sort the catch.
        Region mean one of five NMFS Regional Offices responsible for 
    administering the management and development of marine resources in the 
    United States in their respective geographical regions.
        Regional Director (RD) means the Director of one of the five NMFS 
    Regions described in Table 1 of Sec. 600.502, or a designee.
        Regional Program Officer means the NMFS official designated in the 
    terms and conditions of the grant award responsible for monitoring, 
    recommending, and reviewing any technical aspects of the application 
    for Federal assistance and the award.
        Round weight means the weight of the whole fish before processing 
    or removal of any part.
        Secretary means the Secretary of Commerce or a designee.
        Science and Research Director means the Director of one of the five 
    NMFS Fisheries Science Centers described in Table 1 of Sec. 600.502 of 
    this part, or a designee, also known as Center Director.
        Scientific cruise means the period of time during which a 
    scientific research vessel is operated in furtherance of a scientific 
    research project, beginning when the vessel leaves port to undertake 
    the project and ending when the vessel completes the project as 
    provided for in the applicable scientific research plan.
        Scientific research activity is, for the purposes of this part, an 
    activity in furtherance of a scientific fishery investigation or study 
    that would meet the definition of fishing under the Magnuson Act, but 
    for the exemption applicable to scientific research activity conducted 
    from a scientific research vessel. Scientific research activity 
    includes, but is not limited to, sampling, collecting, observing, or 
    surveying the fish or fishery resources within the EEZ, at sea, on 
    board scientific research vessels, to increase scientific knowledge of 
    the fishery resources or their environment, or to test a hypothesis as 
    part of a planned, directed investigation or study conducted according 
    to methodologies generally accepted as appropriate for scientific 
    research. At-sea scientific fishery investigations address one or more 
    issues involving taxonomy, biology, physiology, behavior, disease, 
    aging, growth, mortality, migration, recruitment, distribution, 
    abundance, ecology, stock structure, bycatch, and catch estimation of 
    finfish and shellfish (invertebrate) species considered to be a 
    component of the fishery resources within the EEZ. Scientific research 
    activity does not include the collection and retention of fish outside 
    the scope of the applicable research plan, or the testing of fishing 
    gear. Data collection designed to capture and land quantities of fish 
    or invertebrates for product development, market research, and/or 
    public display are not scientific research activities and must be 
    permitted under exempted fishing procedures. For foreign vessels, such 
    data collection activities are considered scientific research if they 
    are carried out in full cooperation with the United States.
        Scientific research plan means a detailed, written formulation, 
    prepared in advance of the research, for the accomplishment of a 
    scientific research project. At a minimum, a sound scientific research 
    plan should include:
        (1) A description of the nature and objectives of the project, 
    including the hypothesis or hypotheses to be tested.
        (2) The experimental design of the project, including a description 
    of the methods to be used, the type and class of any vessel(s) to be 
    used, and a description of sampling equipment.
        (3) The geographical area(s) in which the project is to be 
    conducted.
        (4) The expected date of first appearance and final departure of 
    the research vessel(s) to be employed, and deployment and removal of 
    equipment, as appropriate.
        (5) The expected quantity and species of fish to be taken and their 
    intended disposition, and, if significant amounts of a managed species 
    or species otherwise restricted by size or sex are needed, an 
    explanation of such need.
        (6) The name, address, and telephone/telex/fax number of the 
    sponsoring organization and its director.
        (7) The name, address, and telephone/telex/fax number, and 
    curriculum vitae of the person in charge of the project and, where 
    different, the person in charge of the research project on board the 
    vessel.
        (8) The identity of any vessel(s) to be used including, but not 
    limited to, the vessel's name, official documentation number and IRCS, 
    home port, and name, address, and telephone number of the owner and 
    master.
        Scientific research vessel means a vessel owned or chartered by, 
    and controlled by, a foreign government agency, U.S. Government agency 
    (including NOAA or institutions designated as federally funded research 
    and development centers), U.S. state or territorial agency, university 
    (or other educational institution accredited by a recognized national 
    or international accreditation body), international treaty 
    organization, or scientific institution. In order for a vessel that is 
    owned or chartered and controlled by a foreign government to meet this 
    definition, the vessel must have scientific research as its exclusive 
    mission during the scientific cruise in question and the vessel 
    operations must be conducted in accordance with a scientific research 
    plan.
        Scouting means any operation by a vessel exploring (on the behalf 
    of an FFV or U.S. fishing vessel) for the presence of fish by visual, 
    acoustic, or other means that do not involve the catching of fish.
        State means each of the several states, the District of Columbia, 
    the Commonwealth of Puerto Rico, American Samoa, the Virgin Islands, 
    Guam, the Northern Mariana Islands, and any other Commonwealth, 
    territory, or possession of the United States.
        State employee means any employee of the state agency responsible 
    for developing and monitoring the state's program for marine and/or 
    anadromous fisheries.
        Statement of Organization, Practices, and Procedures (SOPP) means a 
    statement by each Council describing its organization, practices, and 
    procedures as required under section 302(f)(6) of the Magnuson Act.
        Stock assessment means the process of collecting and analyzing 
    biological and statistical information to determine the changes in the 
    abundance of fishery stocks in response to fishing, and, to the extent 
    possible, to predict future trends of stock abundance. Stock 
    assessments are based on resource surveys; knowledge of the habitat 
    requirements, life history, and behavior of the species; the use of 
    environmental indices to determine impacts on stocks; and catch 
    statistics. Stock assessments are used as a basis to ``assess and 
    specify the present and probable future condition of
    
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    a fishery'' (as is required by the Magnuson Act), and are summarized in 
    the Stock Assessment and Fishery Evaluation or similar document.
        Stock Assessment and Fishery Evaluation (SAFE) means a document or 
    set of documents that provides Councils with a summary of the most 
    recent biological condition of species in an FMU, and the social and 
    economic condition of the recreational and commercial fishing 
    industries and the fish processing industries. It summarizes, on a 
    periodic basis, the best available scientific information concerning 
    the past, present, and possible future condition of the stocks and 
    fisheries being managed under Federal regulation.
        Substantially (affects) means, for the purpose of subpart G, with 
    respect to whether a state's action or omission will substantially 
    affect the carrying out of an FMP for a fishery, that those effects are 
    important or material, or considerable in degree. The effects of a 
    state's action or omission for purposes of this definition include 
    effects upon:
        (1) The achievement of the FMP's goals or objectives for the 
    fishery;
        (2) The achievement of OY from the fishery on a continuing basis;
        (3) The attainment of the national standards for fishery 
    conservation and management (as set forth in section 301(a) of the 
    Magnuson Act) and compliance with other applicable law; or
        (4) The enforcement of regulations implementing the FMP.
        Support means any operation by a vessel assisting fishing by 
    foreign or U.S. vessels, including supplying water, fuel, provisions, 
    fish processing equipment, or other supplies to a fishing vessel.
        Total length (TL) means the straight-line distance from the tip of 
    the snout to the tip of the tail (caudal fin) while the fish is lying 
    on its side, normally extended.
        Transship means offloading and onloading or otherwise transferring 
    fish or fish products and/or transporting fish or products made from 
    fish.
        Trawl means a cone or funnel-shaped net that is towed through the 
    water by one or more vessels.
        U.S. observer or observer means any person serving in the capacity 
    of an observer employed by NMFS, either directly or under contract, or 
    certified as a supplementary observer by NMFS.
        Vessel of the United States or U.S. vessel means:
        (1) Any vessel documented under chapter 121 of title 46, United 
    States Code;
        (2) Any vessel numbered under chapter 123 of title 46, United 
    States Code, and measuring less than 5 net tons;
        (3) Any vessel numbered under chapter 123 of title 46, United 
    States Code, and used exclusively for pleasure; or
        (4) Any vessel not equipped with propulsion machinery of any kind 
    and used exclusively for pleasure.
    
    
    Sec. 600.15  Other acronyms.
    
        (a) Fishery management terms. (1) ABC--acceptable biological catch
        (2) DAH--estimated domestic annual harvest
        (3) DAP--estimated domestic annual processing
        (4) EIS--environmental impact statement
        (5) EY--equilibrium yield
        (6) FMP--fishery management plan
        (7) JVP--joint venture processing
        (8) MSY--maximum sustainable yield
        (9) PMP--preliminary FMP
        (10) TAC--total allowable catch
        (11) TALFF--total allowable level of foreign fishing
        (b) Legislation. (1) APA--Administrative Procedure Act
        (2) CZMA--Coastal Zone Management Act
        (3) ESA--Endangered Species Act
        (4) FACA--Federal Advisory Committee Act
        (5) FOIA--Freedom of Information Act
        (6) FLSA--Fair Labor Standards Act
        (7) MFCMA--Magnuson Fishery Conservation and Management Act
        (8) MMPA--Marine Mammal Protection Act
        (9) MPRSA--Marine Protection, Research, and Sanctuaries Act
        (10) NEPA--National Environmental Policy Act
        (11) PA--Privacy Act
        (12) PRA--Paperwork Reduction Act
        (13) RFA--Regulatory Flexibility Act
        (c) Federal agencies. (1) CEQ--Council on Environmental Quality
        (2) DOC--Department of Commerce
        (3) DOI--Department of the Interior
        (4) DOS--Department of State
        (5) EPA--Environmental Protection Agency
        (6) FWS--Fish and Wildlife Service
        (7) GSA--General Services Administration
        (8) NMFS--National Marine Fisheries Service
        (9) NOAA--National Oceanic and Atmospheric Administration
        (10) OMB--Office of Management and Budget
        (11) OPM--Office of Personnel Management
        (12) SBA--Small Business Administration
        (13) USCG--United States Coast Guard
    
    Subpart B--Regional Fishery Management Councils
    
    
    Sec. 600.105  Intercouncil boundaries.
    
        (a) New England and Mid-Atlantic Councils. The boundary begins at 
    the intersection point of Connecticut, Rhode Island, and New York at 
    41 deg.18'16.249'' N. lat. and 71 deg.54'28.477'' W. long. and proceeds 
    south 37 deg.22'32.75'' East to the point of intersection with the 
    outward boundary of the EEZ as specified in the Magnuson Act.
        (b) Mid-Atlantic and South Atlantic Councils. The boundary begins 
    at the seaward boundary between the States of Virginia and North 
    Carolina (36 deg.31'00.8'' N. lat.), and proceeds due east to the point 
    of intersection with the outward boundary of the EEZ as specified in 
    the Magnuson Act.
        (c) South Atlantic and Gulf of Mexico Councils. The boundary 
    coincides with the line of demarcation between the Atlantic Ocean and 
    the Gulf of Mexico, which begins at the intersection of the outer 
    boundary of the EEZ, as specified in the Magnuson Act, and 83 deg.00' 
    W. long., proceeds northward along that meridian to 24 deg.35' N. lat., 
    (near the Dry Tortugas Islands), thence eastward along that parallel, 
    through Rebecca Shoal and the Quicksand Shoal, to the Marquesas Keys, 
    and then through the Florida Keys to the mainland at the eastern end of 
    Florida Bay, the line so running that the narrow waters within the Dry 
    Tortugas Islands, the Marquesas Keys and the Florida Keys, and between 
    the Florida Keys and the mainland, are within the Gulf of Mexico.
    
    
    Sec. 600.110  Intercouncil fisheries.
    
        If any fishery extends beyond the geographical area of authority of 
    any one Council, the Secretary may--
        (a) Designate a single Council to prepare the FMP for such fishery 
    and any amendments to such FMP, in consultation with the other Councils 
    concerned; or
        (b) Require that the FMP and any amendments be prepared jointly by 
    all the Councils concerned.
        (1) A jointly prepared FMP or amendment must be adopted by a 
    majority of the voting members, present and voting, of each 
    participating Council. Different conservation and management measures 
    may be developed for specific geographic areas, but the FMP should 
    address the entire geographic range of the stock(s).
        (2) In the case of joint FMP or amendment preparation, one Council 
    will be designated as the
    
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    ``administrative lead.'' The ``administrative lead'' Council is 
    responsible for the preparation of the FMP or any amendments and other 
    required documents for submission to the Secretary.
        (3) None of the Councils involved in joint preparation may withdraw 
    without Secretarial approval. If Councils cannot agree on approach or 
    management measures within a reasonable period of time, the Secretary 
    may designate a single Council to prepare the FMP or may issue the FMP 
    under Secretarial authority.
    
    
    Sec. 600.115  Statement of organization, practices, and procedures 
    (SOPP).
    
        (a) Councils are required to publish and make available to the 
    public a SOPP in accordance with such uniform standards as are 
    prescribed by the Secretary (section 302(f)(6)) of the Magnuson Act. 
    The purpose of the SOPP is to inform the public how the Council 
    operates within the framework of the Secretary's uniform standards.
        (b) Amendments to current SOPPs must be consistent with the 
    guidelines in this section and the terms and conditions of the 
    cooperative agreement, the statutory requirements of the Magnuson Act 
    and other applicable law. Upon approval of a Council's SOPP amendment 
    by the Secretary, a Notice of Availability will be published in the 
    Federal Register, including an address where the public may write to 
    request copies.
        (c) Councils may deviate, where lawful, from the guidelines with 
    appropriate supporting rationale, and Secretarial approval of each 
    amendment to a SOPP would constitute approval of any such deviations 
    for that particular Council.
    
    
    Sec. 600.120  Employment practices.
    
        Council members (except for Federal Government officials) and staff 
    are not Federal employees subject to OPM regulations. Council staffing 
    practices are set forth in each Council's SOPP.
    
    
    Sec. 600.125  Budgeting, funding, and accounting.
    
        Each Council's grant activities are governed by OMB Circular A-110 
    (Uniform Administrative Requirements for Grants and Agreements with 
    Institutions of Higher Education, Hospitals, and other Non-Profit 
    Organizations), OMB Circular A-122 (Cost Principles for Non-Profit 
    Organizations), 15 CFR Part 29b (Audit Requirements for Institutions of 
    Higher Education and Other Nonprofit Organizations), and the terms and 
    conditions of the cooperative agreement. (See 5 CFR 1310.3 for 
    availability of OMB Circulars.)
    
    
    Sec. 600.130  Protection of confidentiality of statistics.
    
        Each Council must establish appropriate procedures for ensuring the 
    confidentiality of the statistics that may be submitted to it by 
    Federal or state authorities and may be voluntarily submitted to it by 
    private persons, including, but not limited to (also see Sec. 600.405):
        (a) Procedures for the restriction of Council member, employee, or 
    advisory group access and the prevention of conflicts of interest, 
    except that such procedures must be consistent with procedures of the 
    Secretary.
        (b) In the case of statistics submitted to the Council by a state, 
    the confidentiality laws and regulations of that state.
    
    Subpart C--Council Membership
    
    
    Sec. 600.205  Principal state officials and their designees.
    
        (a) Only a full-time state employee of the state agency responsible 
    for marine and/or anadromous fisheries shall be designated by a 
    constituent state Governor as the principal state official for purposes 
    of section 302(b) of the Magnuson Act. New or revised designations by 
    state Governors of principal state officials, and new or revised 
    designations by principal state officials of their designees(s), must 
    be delivered in writing to the appropriate NMFS Regional Director at 
    least 48 hours before the individual may vote on any issue before the 
    Council. Written designation(s) must indicate the employment status of 
    each principal state official and that of his/her designee(s), how the 
    official or designee is employed by the state fisheries agency, where 
    each individual is employed (business address and telephone number), 
    and whether the official's full salary is paid by the state.
        (b) A principal state official may name his/her designee(s) to act 
    on his/her behalf at Council meetings. Individuals designated to serve 
    as designees of a principal state official on a Council, pursuant to 
    section 302(b)(1)(A) of the Magnuson Act, must be full time state 
    employees involved in the development of fisheries management policies 
    for that state.
    
    
    Sec. 600.210  Terms of Council members.
    
        (a) Voting members (other than principal state officials, the 
    Regional Directors, or their designees) are appointed for a term of 3 
    years and, except as discussed below, may be reappointed. A voting 
    member's Council service of 18 months or more during a term of office 
    will be counted as service for the entire 3-year term.
        (b) The anniversary date for measuring terms of membership is 
    August 11. The Secretary may designate a term of appointment shorter 
    than 3 years, if necessary, to provide for balanced expiration of terms 
    of office. Members may not serve more than three consecutive terms.
        (c) A member appointed after January 1, 1986, who has completed 
    three consecutive terms will be eligible for appointment to another 
    term one full year after completion of the third consecutive term.
    
    
    Sec. 600.215  Appointments.
    
        The following procedures govern the nomination and appointment of 
    Council members.
        (a) Each year, terms of approximately one-third of the appointed 
    members of each Council expire. New members will be appointed, or 
    seated members will be reappointed to another term, by the Secretary to 
    fill the seats being vacated. The Secretary will select the appointees 
    from lists of nominees submitted by March 15 of each year by the 
    Governors of the constituent states that are eligible to nominate 
    candidates for that vacancy. When an appointed member vacates his/her 
    seat prior to the expiration of his/her term, the Secretary will fill 
    the vacancy for the remainder of the term by selecting from among the 
    nominees submitted by the responsible Governor(s).
        (b) A Governor must submit the names of at least three qualified 
    nominees for each applicable vacancy.
        (c) Governors are responsible for ensuring that persons nominated 
    for appointment meet the qualification requirements of the Magnuson 
    Act. A Governor must provide a statement explaining how each of his or 
    her nominees meets the qualification requirements; and must provide 
    appropriate documentation to the Secretary that each nomination was 
    made in consultation with commercial and recreational fishing interests 
    of that state, and that each nominee is knowledgeable and experienced, 
    by reason of his or her occupational or other experience, scientific 
    expertise, or training, in one or more of the following ways related to 
    the fishery resources of the geographical area of concern to the 
    Council:
        (1) Commercial fishing or the processing or marketing of fish, fish 
    products, or fishing equipment;
        (2) Fishing for pleasure, relaxation, or consumption, or experience 
    in any business supporting fishing;
    
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        (3) Leadership in a state, regional, or national organization whose 
    members participate in a fishery in the Council's area of authority;
        (4) The management and conservation of natural resources, including 
    related interactions with industry, government bodies, academic 
    institutions, and public agencies. This includes experience serving as 
    a member of a Council, AP, SSC, or FIAC;
        (5) Representing consumers of fish or fish products through 
    participation in local, state, or national organizations, or performing 
    other activities specifically related to the education or protection of 
    consumers of marine resources; and
        (6) Teaching, journalism, writing, consulting, legal practice, or 
    researching matters related to fisheries, fishery management, and 
    marine resource conservation.
        (d) To assist in identifying necessary qualifications, each nominee 
    must furnish to the appropriate Governor's office a current resume, or 
    equivalent, describing career history--with particular attention to 
    experience related to the above criteria. Nominees may provide such 
    information in any format they wish. Career and educational history 
    information sent to the Governors should also be sent to the NMFS 
    Office of Fisheries Conservation and Management.
        (e) The Secretary will review each list submitted by a Governor to 
    ascertain if the individuals on the list are qualified for the vacancy 
    on the basis of the criteria prescribed in paragraph (c) of this 
    section. If the Secretary determines that any nominee is not qualified, 
    the Secretary will notify the appropriate Governor of that 
    determination. The Governor shall then submit a revised list or 
    resubmit the original list with an additional explanation of the 
    qualifications of the nominee in question. The Secretary reserves the 
    right to determine whether nominees are qualified.
        (f) There are two categories of seats to which voting members are 
    appointed: ``obligatory'' and ``at-large.''
        (1) Each constituent state is entitled to one seat on the Council 
    on which it is a member, except that Alaska is entitled to five seats 
    and Washington is entitled to two seats on the North Pacific Fishery 
    Management Council. When the term of a state's obligatory member is 
    expiring, or that seat becomes vacant before the expiration of its 
    term, the Governor of that state must submit the names of at least 
    three qualified individuals to fill that seat. In order to fill a 
    state's obligatory seat, the Secretary may select from any of the 
    nominees for such obligatory seat and from the nominees for any at-
    large seat submitted by the Governor of that state. If a Governor fails 
    to provide a list of at least three qualified nominees for a seat 
    obligated to that Governor's state, then the state's obligatory seat 
    will remain vacant until three qualified nominees are submitted by the 
    Governor and acted upon by the Secretary.
        (2) Prior to submitting nominees for appointment to a Council, a 
    constituent state Governor must determine if each of his or her 
    nominees is a resident of that constituent state. A State Governor may 
    not nominate a non-resident of that state for appointment to a Council 
    seat obligated to that state. If, at any time during a term, an 
    appointee to an obligatory seat changes residency to another state that 
    is not a constituent state of that Council, the member may no longer 
    vote as a representative of that state and must resign from that 
    obligated seat. For purposes of this paragraph (f)(2), a state resident 
    is an individual who maintains his/her principal residence within that 
    constituent state and, if applicable, pays income taxes to that state 
    and/or to another appropriate jurisdiction within that state.
        (g) When the term of an at-large member is expiring, or that seat 
    becomes vacant before the expiration of a term, the Governors of all 
    constituent states of that Council must each submit the names of at 
    least three qualified individuals to fill that seat.
        (1) In order to fill an at-large seat, the Secretary may select a 
    nominee for that seat submitted by any Governor of a constituent state. 
    When the terms of both an obligatory member and an at-large member 
    expire concurrently, the Governor of the state holding the expiring 
    obligatory seat may indicate that the nominees who were not selected 
    for appointment to the obligatory seat may be considered for 
    appointment to an at-large seat, provided that the resulting total 
    number of nominees submitted by that Governor for the expiring at-large 
    seat is no fewer than three.
        (2) If a Governor fails to submit a list of three qualified 
    nominees for an available at-large seat within the time allotted, then 
    a new at-large member will be appointed from lists of qualified 
    nominees submitted by Governors of other constituent states.
        (3) If a Governor chooses to submit nominations for one or more 
    vacant at-large seats on a Council, he or she must submit lists that 
    contain at least three different nominees for each vacant seat. In 
    making selections to each of the available at-large seats, the 
    Secretary will consider all names submitted by the constituent state 
    governors.
        (4) In filling expiring at-large seats, the Secretary will consider 
    only complete slates of nominees submitted by the Governors of the 
    Council's constituent states. If nominations are requested to fill more 
    than one at-large seat and a Governor elects to nominate a total of 
    four candidates, (i.e., a slate of three candidates for one seat and 
    one for the other(s)), the set of three candidates will be considered 
    only for the first seat, but the two candidates who were not selected 
    will not be considered for the other(s). In this case, the only 
    candidates considered for the other seat(s) would be derived from the 
    slates offered by the Governors of the other states that included three 
    different qualified candidates (i.e., candidates who were not 
    considered for one of the other seats).
        (5) Governors may nominate residents of another constituent state 
    of a Council for appointment to an at-large seat on that Council.
        (6) The Secretary must, to the extent practicable, ensure a fair 
    and balanced apportionment, on a rotating or other basis, of the active 
    participants (or their representatives) in the commercial and 
    recreational fisheries in the Council's area of authority. Further, the 
    Secretary must take action to ensure, to the extent practicable, that 
    those persons dependent for their livelihood upon the fisheries in the 
    Council's area of authority are fairly represented as voting members.
    
    
    Sec. 600.220  Oath of office.
    
        Each member appointed to a Council must take an oath of office.
    
    
    Sec. 600.225  Rules of conduct.
    
        (a) Council members, as Federal office holders, and Council 
    employees are subject to most Federal criminal statutes covering 
    bribery, conflict-of-interest, disclosure of confidential information, 
    and lobbying with appropriated funds.
        (b) The Councils are responsible for maintaining high standards of 
    ethical conduct among themselves, their staffs, and their advisory 
    groups. In addition to abiding by the applicable Federal conflict of 
    interest statutes, both members and employees of the Councils must 
    comply with the following standards of conduct:
        (1) No employee of a Council may use his or her official authority 
    or influence derived from his or her position with the Council for the 
    purpose of interfering with or affecting the result of an election to 
    or a nomination for any national, state, county, or municipal elective 
    office.
    
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        (2) No employee of a Council may be deprived of employment, 
    position, work, compensation, or benefit provided for or made possible 
    by the Magnuson Act on account of any political activity or lack of 
    such activity in support of or in opposition to any candidate or any 
    political party in any national, state, county, or municipal election, 
    or on account of his or her political affiliation.
        (3) No Council member or employee may pay, offer, promise, solicit, 
    or receive from any person, firm, or corporation a contribution of 
    money or anything of value in consideration of either support or the 
    use of influence or the promise of support or influence in obtaining 
    for any person any appointive office, place, or employment under the 
    Council.
        (4) No employee of a Council may have a direct or indirect 
    financial interest that conflicts with the fair and impartial conduct 
    of his or her Council duties. However, an Executive Director may retain 
    a financial interest in harvesting, processing or marketing activities, 
    and participate in matters of general public concern on the Council 
    that might affect that interest, if that interest has been disclosed in 
    a report filed under Sec. 600.235.
        (5) No Council member, employee of a Council, or member of a 
    Council advisory group may use or allow the use, for other than 
    official purposes, of information obtained through or in connection 
    with his or her Council employment that has not been made available to 
    the general public.
        (6) No Council member or employee of the Council may engage in 
    criminal, infamous, dishonest, notoriously immoral, or disgraceful 
    conduct.
        (7) No Council member or employee of the Council may use Council 
    property on other than official business. Such property must be 
    protected and preserved from improper or deleterious operation or use.
        (8) No Council member may participate--
        (i) Personally and substantially as a member through decision, 
    approval, disapproval, recommendation, the rendering of advice, 
    investigation, or otherwise in a particular matter primarily of 
    individual concern, such as a contract, in which he or she has a 
    financial interest; or
        (ii) In any matter of general public concern that is likely to have 
    a direct and predictable effect on a member's financial interest, 
    unless that interest is in harvesting, processing, or marketing 
    activities and has been disclosed in a report filed under Sec. 600.235. 
    For purposes of this section, the member's financial interest includes 
    that of the member's spouse; minor child; partner; organization in 
    which the member is serving as officer, director, trustee, partner or 
    employee; or any person or organization with whom the member is 
    negotiating or has any arrangement concerning prospective employment.
    
    
    Sec. 600.230  Removal.
    
        The Secretary may remove for cause any Secretarially appointed 
    member of a Council in accordance with section 302(b)(5) of the 
    Magnuson Act, wherein the Council concerned first recommends removal of 
    that member by not less than two-thirds of the voting members. A 
    recommendation of a Council to remove a member must be made in writing 
    to the Secretary and accompanied by a statement of the reasons upon 
    which the recommendation is based.
    
    
    Sec. 600.235  Financial disclosure.
    
        (a) The Magnuson Act requires the disclosure by each Council 
    nominee, voting member appointed to the Council by the Secretary, and 
    Executive Director, of any financial interest of the reporting 
    individual in any harvesting, processing, or marketing activity that is 
    being, or will be, undertaken within any fishery under the authority of 
    the individual's Council, and of any such financial interest of the 
    reporting individual's spouse, minor child, partner, or any 
    organization (other than the Council) in which that individual is 
    serving as an officer, director, trustee, partner, or employee. The 
    information required to be reported must be disclosed on NOAA Form 88-
    195, ``Statement of Financial Interests for Use by Voting Members, 
    Nominees, and Executive Directors of Regional Fishery Management 
    Councils'' (Financial Interest Form), or such other form as the 
    Secretary may prescribe. The report must be filed by each nominee for 
    Secretarial appointment with the Assistant Administrator by April 15 
    or, if nominated after March 15, 1 month after nomination by the 
    Governor. A seated voting member appointed by the Secretary, or an 
    Executive Director, must file a Financial Interest Form within 45 days 
    of taking office; must update his or her statement within 30 days of 
    acquiring any such financial interest, or of substantially changing a 
    financial interest; and must update his/her statement annually and file 
    that update by February 1 of each year with the Executive Director of 
    the appropriate Council, and concurrently provide copies of such 
    documents to the NMFS Regional Director for the geographic area 
    concerned. The completed Financial Interest Forms will be kept on file, 
    and made available for public inspection at reasonable hours at the 
    Council offices. In addition, the statements will be made available at 
    each public Council meeting or hearing.
        (b) The provisions of 18 U.S.C. 208 do not apply to an individual 
    who has filed a financial report under this section regarding an 
    interest that has been reported.
        (c) By February 1 of each year, Councils must forward copies of the 
    completed disclosure from each current Council member and Executive 
    Director to the Director, Office of Fisheries Conservation and 
    Management, NMFS. Councils must also include any updates in 
    disclosures, as well as revisions required for changes of interests.
        (d) Councils must retain the disclosure forms for each member for 
    at least 5 years after the expiration of that member's last term.
    
    
    Sec. 600.240  Security assurances.
    
        (a) DOC/OS will issue security assurances to Council nominees and 
    members following completion of background checks. Security assurances 
    will be valid for 5 years from the date of issuance. A security 
    assurance will not entitle the member to access classified data. In 
    instances in which Council members may need to discuss, at closed 
    meetings, materials classified for national security purposes, the 
    agency or individual (e.g., DOS, USCG) providing such classified 
    information will be responsible for ensuring that Council members and 
    other attendees have the appropriate security clearances.
        (b) Each nominee to a Council is required to complete a 
    Certification of Status form (``form''). All nominees must certify, 
    pursuant to the Foreign Agents Registration Act of 1938, whether they 
    serve as an agent of a foreign principal. Each nominee must certify, 
    date, sign, and return the form with his or her completed nomination 
    kit. Nominees will not be considered for appointment to a Council if 
    they have not filed this form. Any nominee who currently is an agent of 
    a foreign principal will not be eligible for appointment to a Council, 
    and therefore should not be nominated by a Governor for appointment.
    
    
    Sec. 600.245  Council member compensation.
    
        (a) The obligatory and at-large voting members of each Council 
    appointed under section 302(b)(1)(C) of the Magnuson Act who are not 
    employed by the Federal Government or any state or local government 
    (i.e., any member who does not receive compensation from any such 
    government for the period when
    
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    performing duties as a Council member) shall receive compensation at 
    1.2 times the daily rate for a GS-15 (Step 1) of the General Schedule 
    (without locality pay) when engaged in actual performance of duties as 
    assigned by the Chair of the Council. Actual performance of duties, for 
    the purposes of compensation, may include travel time.
        (b) All voting Council members whose eligibility for compensation 
    has been established in accordance with NOAA guidelines will be paid 
    through the cooperative agreement as a direct line item on a 
    contractual basis without deductions being made for Social Security or 
    Federal and state income taxes. A report of compensation will be 
    furnished each year by the member's Council to the proper Regional 
    Program Officer, as required by the Internal Revenue Service. Such 
    compensation may be paid on a full day's basis, whether in excess of 8 
    hours a day or less than 8 hours a day. The time is compensable where 
    the individual member is required to expend a significant private 
    effort that substantially disrupts the daily routine to the extent that 
    a work day is lost to the member. ``Homework'' time in preparation for 
    formal Council meetings is not compensable.
        (c) Non-government Council members receive compensation for:
        (1) Days spent in actual attendance at a meeting of the Council or 
    jointly with another Council.
        (2) Travel on the day preceding or following a scheduled meeting 
    that precluded the member from conducting his normal business on the 
    day in question.
        (3) Meetings of standing committees of the Council if approved in 
    advance by the Chair.
        (4) Individual member meeting with scientific and technical 
    advisors, when approved in advance by the Chair and a substantial 
    portion of any day is spent at the meeting.
        (5) Conducting or attending hearings, when authorized in advance by 
    the Chair.
        (6) Other meetings involving Council business when approved in 
    advance by the Chair.
        (d) The Executive Director of each Council must submit to the 
    appropriate Regional Office annually a report, approved by the Council 
    Chair, of Council member compensation authorized. This report shall 
    identify, for each member, amount paid, dates, and location and purpose 
    of meetings attended.
    
    Subpart D--National Standards
    
    
    Sec. 600.305  General.
    
        (a) Purpose. (1) This subpart establishes guidelines, based on the 
    national standards, to assist in the development and review of FMPs, 
    amendments, and regulations prepared by the Councils and the Secretary.
        (2) In developing FMPs, the Councils have the initial authority to 
    ascertain factual circumstances, to establish management objectives, 
    and to propose management measures that will achieve the objectives. 
    The Secretary will determine whether the proposed management objectives 
    and measures are consistent with the national standards, other 
    provisions of the Magnuson Act, and other applicable law. The Secretary 
    has an obligation under section 301(b) of the Magnuson Act to inform 
    the Councils of the Secretary's interpretation of the national 
    standards so that they will have an understanding of the basis on which 
    FMPs will be reviewed.
        (3) The national standards are statutory principles that must be 
    followed in any FMP. The guidelines summarize Secretarial 
    interpretations that have been, and will be, applied under these 
    principles. The guidelines are intended as aids to decisionmaking; FMPs 
    formulated according to the guidelines will have a better chance for 
    expeditious Secretarial review, approval, and implementation. FMPs that 
    are in substantial compliance with the guidelines, the Magnuson Act, 
    and other applicable law must be approved.
        (b) Fishery management objectives. (1) Each FMP, whether prepared 
    by a Council or by the Secretary, should identify what the FMP is 
    designed to accomplish (i.e., the management objectives to be attained 
    in regulating the fishery under consideration). In establishing 
    objectives, Councils balance biological constraints with human needs, 
    reconcile present and future costs and benefits, and integrate the 
    diversity of public and private interests. If objectives are in 
    conflict, priorities should be established among them.
        (2) How objectives are defined is important to the management 
    process. Objectives should address the problems of a particular 
    fishery. The objectives should be clearly stated, practicably 
    attainable, framed in terms of definable events and measurable 
    benefits, and based upon a comprehensive rather than a fragmentary 
    approach to the problems addressed. An FMP should make a clear 
    distinction between objectives and the management measures chosen to 
    achieve them. The objectives of each FMP provide the context within 
    which the Secretary will judge the consistency of an FMP's conservation 
    and management measures with the national standards.
        (c) Word usage. The word usage refers to all regulations in this 
    subpart.
        (1) Must is used, instead of ``shall'', to denote an obligation to 
    act; it is used primarily when referring to requirements of the 
    Magnuson Act, the logical extension thereof, or of other applicable 
    law.
        (2) Shall is used only when quoting statutory language directly, to 
    avoid confusion with the future tense.
        (3) Should is used to indicate that an action or consideration is 
    strongly recommended to fulfill the Secretary's interpretation of the 
    Magnuson Act, and is a factor reviewers will look for in evaluating a 
    SOPP or FMP.
        (4) May is used in a permissive sense.
        (5) May not is proscriptive; it has the same force as ``must not.''
        (6) Will is used descriptively, as distinguished from denoting an 
    obligation to act or the future tense.
        (7) Could is used when giving examples, in a hypothetical, 
    permissive sense.
        (8) Can is used to mean ``is able to,'' as distinguished from 
    ``may.''
        (9) Examples are given by way of illustration and further 
    explanation. They are not inclusive lists; they do not limit options.
        (10) Analysis, as a paragraph heading, signals more detailed 
    guidance as to the type of discussion and examination an FMP should 
    contain to demonstrate compliance with the standard in question.
        (11) Determine is used when referring to OY.
        (12) Adjust is used when establishing a deviation from MSY for 
    biological reasons, such as in establishing ABC, TAC, or EY.
        (13) Modify is used when the deviation from MSY is for the purpose 
    of determining OY, in accord with relevant economic, social, or 
    ecological factors.
    
    
    Sec. 600.310  National Standard 1--Optimum Yield.
    
        (a) Standard 1. Conservation and management measures shall prevent 
    overfishing while achieving, on a continuing basis, the OY from each 
    fishery for the U.S. fishing industry.
        (b) General. The determination of OY is a decisional mechanism for 
    resolving the Magnuson Act's multiple purposes and policies, for 
    implementing an FMP's objectives, and for balancing the various 
    interests that comprise the national welfare. OY is based on MSY,
    
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    or on MSY as it may be adjusted under paragraph (d)(3) of this section. 
    The most important limitation on the specification of OY is that the 
    choice of OY--and the conservation and management measures proposed to 
    achieve it--must prevent overfishing.
        (c) Overfishing. (1) Overfishing is a level or rate of fishing 
    mortality that jeopardizes the long-term capacity of a stock or stock 
    complex to produce MSY on a continuing basis. Each FMP must specify, to 
    the maximum extent possible, an objective and measurable definition of 
    overfishing for each stock or stock complex covered by that FMP, and 
    provide an analysis of how the definition was determined and how it 
    relates to reproductive potential.
        (2) The definition of overfishing for a stock or stock complex may 
    be developed or expressed in terms of a minimum level of spawning 
    biomass (``threshold''); maximum level or rate of fishing mortality; or 
    formula, model, or other measurable standard designed to ensure the 
    maintenance of the stock's productive capacity. Overfishing must be 
    defined in a way to enable the Council and the Secretary to monitor and 
    evaluate the condition of the stock or stock complex relative to the 
    definition.
        (3) Different fishing patterns can produce a variety of effects on 
    local and areawide abundance, availability, size, and age composition 
    of a stock. Some of these fishing patterns have been called ``growth,'' 
    ``localized,'' or ``pulse'' overfishing; however, these patterns are 
    not necessarily overfishing under the national standard 1 definition, 
    which focuses on recruitment and long-term reproductive capacity. (Also 
    see paragraph (c)(6)(v)).
        (4) Overfishing definitions must be based on the best scientific 
    information available. Councils must build into the definition 
    appropriate consideration of risk, taking into account uncertainties in 
    estimating domestic harvest, stock conditions, or the effects of 
    environmental factors (also see Sec. 600.335). In cases where 
    scientific data are severely limited, the Councils' informed judgment 
    must be used, and effort should be directed to identifying and 
    gathering the needed data.
        (5) Secretarial approval or disapproval of the overfishing 
    definition will be based on consideration of whether the proposal:
        (i) Has sufficient scientific merit.
        (ii) Is likely to result in effective Council action to prevent the 
    stock from closely approaching or reaching an overfished status.
        (iii) Provides a basis for objective measurement of the status of 
    the stock against the definition.
        (iv) Is operationally feasible.
        (6) In addition to a specific definition of overfishing for each 
    stock or stock complex, an FMP must contain management measures 
    necessary to prevent overfishing.
        (i) If overfishing is defined in terms of a threshold biomass 
    level, the Council must ensure that fishing effort does not cause 
    spawning biomass to fall and remain below that threshold.
        (ii) If overfishing is defined in terms of a maximum fishing 
    mortality rate, the Council must ensure that fishing effort on that 
    stock does not cause the maximum rate to be exceeded.
        (iii) If data indicate that an overfished condition exists, a 
    program must be established for rebuilding the stock over a period of 
    time specified by the Council and acceptable to the Secretary.
        (iv) If data indicate that a stock or stock complex is approaching 
    an overfished condition, the Council should identify actions or 
    combination of actions to be undertaken in response.
        (v) Depending on the objectives of a particular FMP and the 
    specific definition of overfishing established for the stock or stock 
    complex under management, a Council may recommend measures to prevent 
    or permit pulse, localized, or growth overfishing.
        (7) Significant adverse alterations in environment/habitat 
    conditions increase the possibility that fishing effort will contribute 
    to a stock collapse. Care should be taken to identify the cause of any 
    downward trends in spawning stock sizes or average annual recruitment.
        (i) Whether these trends are caused by environmental changes or by 
    fishing effort, the only direct control provided by the Magnuson Act is 
    to reduce fishing mortality.
        (ii) Unless the Council asserts, as supported by appropriate 
    evidence, that reduced fishing effort would not alleviate the problem, 
    the FMP must include measures to reduce fishing mortality, regardless 
    of the cause of the low population level.
        (iii) If manmade environmental changes are contributing to the 
    downward trends, in addition to controlling effort, Councils should 
    recommend restoration of habitat and other ameliorative programs, to 
    the extent possible, and consider whether to take action under section 
    302(i) of the Magnuson Act.
        (8) There are certain limited exceptions to the requirement to 
    prevent overfishing. Harvesting the major component of a mixed fishery 
    at its optimum level may result in the overfishing of a minor (smaller 
    or less valuable) stock component in the fishery. A Council may decide 
    to permit this type of overfishing if it is demonstrated by analysis 
    (paragraph (f)(5) of this section) that it will result in net benefits 
    to the Nation, and if the Council's action will not cause any stock to 
    require protection under the ESA.
        (9) All FMPs should contain a definition of overfishing for the 
    stock or stock complex managed under the affected FMP.
        (d) MSY. (1) MSY is the largest average annual catch or yield that 
    can be taken over a significant period of time from each stock under 
    prevailing ecological and environmental conditions.
        (2) MSY may be presented as a range of values. One MSY may be 
    specified for a related group of species in a mixed-species fishery. 
    Since MSY is a long-term average, it need not be specified annually, 
    but must be based on the best scientific information available.
        (3) MSY may be only the starting point in providing a realistic 
    biological description of allowable fishery removals. MSY may need to 
    be adjusted because of environmental factors, stock peculiarities, or 
    other biological variables, prior to the determination of OY. An 
    example of such an adjustment is determination of ABC.
        (e) ABC. (1) ABC is a preliminary description of the acceptable 
    harvest (or range of harvests) for a given stock or stock complex. Its 
    derivation focuses on the status and dynamics of the stock, 
    environmental conditions, other ecological factors, and prevailing 
    technological characteristics of the fishery.
        (2) When ABC is used, its specification constitutes the first step 
    in deriving OY from MSY. Unless the best scientific information 
    available indicates otherwise (see Sec. 600.315, ABC should be no 
    higher than the product of the stock's natural mortality rate and the 
    biomass of the exploitable stock. If a threshold has been specified for 
    the stock, ABC must equal zero when the stock is at or below that 
    threshold (also see paragraph (c)(2) of this section). ABC may be 
    expressed in numeric or nonnumeric terms.
        (f) OY--(1) Definition. The term ``optimum'' with respect to the 
    yield from a fishery, means the amount of fish that will provide the 
    greatest overall benefit to the Nation, with particular reference to 
    food production and recreational opportunities; and that is prescribed 
    as such on the basis of the MSY from each fishery, as modified by
    
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    any relevant economic, social, or ecological factors (section 3(21)(b) 
    of the Magnuson Act).
        (2) Values in determination. In determining the greatest benefit to 
    the Nation, two values that should be weighed are food production and 
    recreational opportunities (section 3(21)(a) of the Magnuson Act). They 
    should receive serious attention as measures of benefit when 
    considering the economic, ecological, or social factors used in 
    modifying MSY to obtain OY.
        (i) Food production encompasses the goals of providing seafood to 
    consumers, maintaining an economically viable fishery, and utilizing 
    the capacity of U.S. fishery resources to meet nutritional needs.
        (ii) Recreational opportunities includes recognition of the 
    importance of the quality of the recreational fishing experience, and 
    of the contribution of recreational fishing to the national, regional, 
    and local economies and food supplies.
        (3) Factors relevant to OY. The Magnuson Act's definition of OY 
    identifies three categories of factors to be used in modifying MSY to 
    arrive at OY: Economic, social, and ecological (section 3(21)(b) of the 
    Magnuson Act). Not every factor will be relevant in every fishery. For 
    some fisheries, insufficient information may be available with respect 
    to some factors to provide a basis for corresponding modifications to 
    MSY.
        (i) Economic factors. Examples are promotion of domestic fishing, 
    development of unutilized or underutilized fisheries, satisfaction of 
    consumer and recreational needs, and encouragement of domestic and 
    export markets for U.S.-harvested fish. Some other factors that may be 
    considered are the value of fisheries, the level of capitalization, 
    operating costs of vessels, alternate employment opportunities, and 
    economies of coastal areas.
        (ii) Social factors. Examples are enjoyment gained from 
    recreational fishing, avoidance of gear conflicts and resulting 
    disputes, preservation of a way of life for fishermen and their 
    families, and dependence of local communities on a fishery. Among other 
    factors that may be considered are the cultural place of subsistence 
    fishing, obligations under Indian treaties, and worldwide nutritional 
    needs.
        (iii) Ecological factors. Examples are the vulnerability of 
    incidental or unregulated species in a mixed-species fishery, predator-
    prey or competitive interactions, and dependence of marine mammals and 
    birds or endangered species on a stock of fish. Equally important are 
    environmental conditions that stress marine organisms, such as natural 
    and manmade changes in wetlands or nursery grounds, and effects of 
    pollutants on habitat and stocks.
        (4) Specification. (i) The amount of fish that constitutes the OY 
    need not be expressed in terms of numbers or weight of fish. The 
    economic, social, or ecological modifications to MSY may be expressed 
    by describing fish having common characteristics, the harvest of which 
    provides the greatest overall benefit to the Nation. For instance, OY 
    may be expressed as a formula that converts periodic stock assessments 
    into quotas or guideline harvest levels for recreational, commercial, 
    and other fishing. OY may be defined in terms of an annual harvest of 
    fish or shellfish having a minimum weight, length, or other 
    measurement. OY may also be expressed as an amount of fish taken only 
    in certain areas, or in certain seasons, or with particular gear, or by 
    a specified amount of fishing effort. In the case of a mixed-species 
    fishery, the incidental-species OY may be a function of the directed 
    catch, or absorbed into an OY for related species.
        (ii) If a numerical OY is chosen, a range or average may be 
    specified.
        (iii) In a fishery where there is a significant discard component, 
    the OY may either include or exclude discards, consistent with the 
    other yield determinations.
        (iv) The OY specification can be converted into an annual numerical 
    estimate to establish any TALFF and to analyze impacts of the 
    management regime. There should be a mechanism in an FMP for periodic 
    reassessment of the OY specification, so that it is responsive to 
    changing circumstances in the fishery.
        (v) The determination of OY requires a specification of MSY. 
    However, even where sufficient scientific data as to the biological 
    characteristics of the stock do not exist, or the period of 
    exploitation or investigation has not been long enough for adequate 
    understanding of stock dynamics, or where frequent large-scale 
    fluctuations in stock size make this concept of limited value, the OY 
    should be based on the best scientific information available.
        (5) Analysis. An FMP must contain an analysis of how its OY 
    specification was determined (section 303(a)(3) of the Magnuson Act). 
    It should relate the explanation of overfishing in paragraph (c) of 
    this section to conditions in the particular fishery, and explain how 
    its choice of OY and conservation and management measures will prevent 
    overfishing in that fishery. If overfishing is permitted under 
    paragraph (c)(8) of this section, the analysis must contain a 
    justification in terms of overall benefits and an assessment of the 
    risk of the species or stock component reaching a threatened or 
    endangered status. A Council must identify those economic, social, and 
    ecological factors relevant to management of a particular fishery, then 
    evaluate them to arrive at the modification (if any) of MSY. The choice 
    of a particular OY must be carefully defined and documented to show 
    that the OY selected will produce the greatest benefit to the Nation.
        (g) OY as a target. (1) The specification of OY in an FMP is not 
    automatically a quota or ceiling, although quotas may be derived from 
    the OY, where appropriate. OY is a target or goal; an FMP must contain 
    conservation and management measures, and provisions for information 
    collection, that are designed to achieve OY. These measures should 
    allow for practical and effective implementation and enforcement of the 
    management regime, so that the harvest is allowed to reach, but not to 
    exceed OY by a substantial amount. The Secretary has an obligation to 
    implement and enforce the FMP so that OY is achieved. If management 
    measures prove unenforceable--or too restrictive, or not rigorous 
    enough to realize OY--they should be modified; an alternative is to 
    reexamine the adequacy of the OY specification.
        (2) Exceeding OY does not necessarily constitute overfishing, 
    although they might coincide. Even if no overfishing resulted, 
    continual harvest at a level above a fixed-value OY would violate 
    National Standard 1, because OY was exceeded (not achieved) on a 
    continuing basis.
        (3) Part of the OY may be held as a reserve to allow for 
    uncertainties in estimates of stock size and of DAH or to solve 
    operational problems in achieving (but not exceeding) OY. If an OY 
    reserve is established, an adequate mechanism should be included in the 
    FMP to permit timely release of the reserve to domestic or foreign 
    fishermen, if necessary.
        (h) OY and foreign fishing. Section 201(d) of the Magnuson Act 
    provides that fishing by foreign nations is limited to that portion of 
    the OY that will not be harvested by vessels of the United States.
        (1) DAH. Councils must consider the capacity of, and the extent to 
    which, U.S. vessels will harvest the OY on an annual basis. Estimating 
    the amount that U.S. fishing vessels will actually harvest is required 
    to determine the surplus.
    
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        (2) DAP. Each FMP must identify the capacity of U.S. processors. It 
    must also identify the amount of DAP, which is the sum of two 
    estimates:
        (i) The amount of U.S. harvest that domestic processors will 
    process. This estimate may be based on historical performance and on 
    surveys of the expressed intention of manufacturers to process, 
    supported by evidence of contracts, plant expansion, or other relevant 
    information.
        (ii) The amount of fish that will be harvested by domestic vessels, 
    but not processed (e.g., marketed as fresh whole fish, used for private 
    consumption, or used for bait).
        (iii) JVP. When DAH exceeds DAP, the surplus is available for JVP. 
    JVP is derived from DAH.
    
    
    Sec. 600.315  National Standard 2--Scientific Information.
    
        (a) Standard 2. Conservation and management measures shall be based 
    upon the best scientific information available.
        (b) FMP development. The fact that scientific information 
    concerning a fishery is incomplete does not prevent the preparation and 
    implementation of an FMP (see related Secs. 600.320(d)(2) and 
    600.340(b).
        (1) Scientific information includes, but is not limited to, 
    information of a biological, ecological, economic, or social nature. 
    Successful fishery management depends, in part, on the timely 
    availability, quality, and quantity of scientific information, as well 
    as on the thorough analysis of this information, and the extent to 
    which the information is applied. If there are conflicting facts or 
    opinions relevant to a particular point, a Council may choose among 
    them, but should justify the choice.
        (2) FMPs must take into account the best scientific information 
    available at the time of preparation. Between the initial drafting of 
    an FMP and its submission for final review, new information often 
    becomes available. This new information should be incorporated into the 
    final FMP where practicable; but it is unnecessary to start the FMP 
    process over again, unless the information indicates that drastic 
    changes have occurred in the fishery that might require revision of the 
    management objectives or measures.
        (c) FMP implementation. (1) An FMP must specify whatever 
    information fishermen and processors will be required or requested to 
    submit to the Secretary. Information about harvest within state 
    boundaries, as well as in the EEZ, may be collected if it is needed for 
    proper implementation of the FMP and cannot be obtained otherwise. The 
    FMP should explain the practical utility of the information specified 
    in monitoring the fishery, in facilitating inseason management 
    decisions, and in judging the performance of the management regime; it 
    should also consider the effort, cost, or social impact of obtaining 
    it.
        (2) An FMP should identify scientific information needed from other 
    sources to improve understanding and management of the resource and the 
    fishery.
        (3) The information submitted by various data suppliers about the 
    stocks(s) throughout its range or about the fishery should be 
    comparable and compatible, to the maximum extent possible.
        (d) FMP amendment. FMPs should be amended on a timely basis, as new 
    information indicates the necessity for change in objectives or 
    management measures.
        (e) SAFE Report. (1) The SAFE report is a document or set of 
    documents that provides Councils with a summary of the most recent 
    biological condition of species in the FMU, and the social and economic 
    condition of the recreational and commercial fishing interests and the 
    fish processing industries. It summarizes, on a periodic basis, the 
    best available scientific information concerning the past, present, and 
    possible future condition of the stocks and fisheries being managed 
    under Federal regulation.
        (i) The Secretary has the responsibility to assure that a SAFE 
    report or similar document is prepared, reviewed annually, and changed 
    as necessary for each FMP. The Secretary or Councils may utilize any 
    combination of talent from Council, state, Federal, university, or 
    other sources to acquire and analyze data and produce the SAFE report.
        (ii) The SAFE report provides information to the Councils for 
    determining annual harvest levels from each stock, documenting 
    significant trends or changes in the resource and fishery over time, 
    and assessing the relative success of existing state and Federal 
    fishery management programs. In addition, the SAFE report may be used 
    to update or expand previous environmental and regulatory impact 
    documents, and ecosystem and habitat descriptions.
        (iii) Each SAFE report must be scientifically based, and cite data 
    sources and interpretations.
        (2) Each SAFE report should contain information on which to base 
    harvest specifications.
        (3) Each SAFE report should contain information on which to assess 
    the social and economic condition of the persons and businesses that 
    rely on the use of fish resources, including fish processing 
    industries.
        (4) Each SAFE report may contain additional economic, social, and 
    ecological information pertinent to the success of management or the 
    achievement of objectives of each FMP.
    
    
    Sec. 600.320  National Standard 3--Management Units.
    
        (a) Standard 3. To the extent practicable, an individual stock of 
    fish shall be managed as a unit throughout its range, and interrelated 
    stocks of fish shall be managed as a unit or in close coordination.
        (b) General. The purpose of this standard is to induce a 
    comprehensive approach to fishery management. The geographic scope of 
    the fishery, for planning purposes, should cover the entire range of 
    the stocks(s) of fish, and not be overly constrained by political 
    boundaries. Wherever practicable, an FMP should seek to manage 
    interrelated stocks of fish.
        (c) Unity of management. Cooperation and understanding among 
    entities concerned with the fishery (e.g., Councils, states, Federal 
    Government, international commissions, foreign nations) are vital to 
    effective management. Where management of a fishery involves multiple 
    jurisdictions, coordination among the several entities should be sought 
    in the development of an FMP. Where a range overlaps Council areas, one 
    FMP to cover the entire range is preferred. The Secretary designates 
    which Council(s) will prepare the FMP, under section 304(f) of the 
    Magnuson Act.
        (d) Management unit. The term ``management unit'' means a fishery 
    or that portion of a fishery identified in an FMP as relevant to the 
    FMP's management objectives.
        (1) Basis. The choice of a management unit depends on the focus of 
    the FMP's objectives, and may be organized around biological, 
    geographic, economic, technical, social, or ecological perspectives. 
    For example:
        (i) Biological--could be based on a stock(s) throughout its range.
        (ii) Geographic--could be an area.
        (iii) Economic--could be based on a fishery supplying specific 
    product forms.
        (iv) Technical--could be based on a fishery utilizing a specific 
    gear type or similar fishing practices.
        (v) Social--could be based on fishermen as the unifying element, 
    such as when the fishermen pursue different
    
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    species in a regular pattern throughout the year.
        (vi) Ecological--could be based on species that are associated in 
    the ecosystem or are dependent on a particular habitat.
        (2) Conservation and management measures. FMPs should include 
    conservation and management measures for that part of the management 
    unit within U.S. waters, although the Secretary can ordinarily 
    implement them only within the EEZ. The measures need not be identical 
    for each geographic area within the management unit, if the FMP 
    justifies the differences. A management unit may contain, in addition 
    to regulated species, stocks of fish for which there is not enough 
    information available to specify MSY and OY or to establish management 
    measures, so that data on these species may be collected under the FMP.
        (e) Analysis. To document that an FMP is as comprehensive as 
    practicable, it should include discussions of the following:
        (1) The range and distribution of the stocks, as well as the 
    patterns of fishing effort and harvest.
        (2) Alternative management units and reasons for selecting a 
    particular one. A less-than-comprehensive management unit may be 
    justified if, for example, complementary management exits or is planned 
    for a separate geographic area or for a distinct use of the stocks, or 
    if the unmanaged portion of the resource is immaterial to proper 
    management.
        (3) Management activities and habitat programs of adjacent states 
    and their effects on the FMP's objectives and management measures. 
    Where state action is necessary to implement measures within state 
    waters to achieve FMP objectives, the FMP should identify what state 
    action is necessary, discuss the consequences of state inaction or 
    contrary action, and make appropriate recommendations. The FMP should 
    also discuss the impact that Federal regulations will have on state 
    management activities.
        (4) Management activities of other countries having an impact on 
    the fishery, and how the FMP's management measures are designed to take 
    into account these impacts. International boundaries may be dealt with 
    in several ways. For example:
        (i) By limiting the management unit's scope to that portion of the 
    stock found in U.S. waters;
        (ii) By estimating MSY for the entire stock and then basing the 
    determination of OY for the U.S. fishery on the portion of the stock 
    within U.S. waters; or
        (iii) By referring to treaties or cooperative agreements.
    
    
    Sec. 600.325  National Standard 4--Allocations.
    
        (a) Standard 4. Conservation and management measures shall not 
    discriminate between residents of different states. If it becomes 
    necessary to allocate or assign fishing privileges among various U.S. 
    fishermen, such allocation shall be:
        (1) Fair and equitable to all such fishermen.
        (2) Reasonably calculated to promote conservation.
        (3) Carried out in such manner that no particular individual, 
    corporation, or other entity acquires an excessive share of such 
    privileges.
        (b) Discrimination among residents of different states. An FMP may 
    not differentiate among U.S. citizens, nationals, resident aliens, or 
    corporations on the basis of their state of residence. An FMP may not 
    incorporate or rely on a state statute or regulation that discriminates 
    against residents of another state. Conservation and management 
    measures that have different effects on persons in various geographic 
    locations are permissible if they satisfy the other guidelines under 
    Standard 4. Examples of these precepts are:
        (1) An FMP that restricted fishing in the EEZ to those holding a 
    permit from state X would violate Standard 4 if state X issued permits 
    only to its own citizens.
        (2) An FMP that closed a spawning ground might disadvantage 
    fishermen living in the state closest to it, because they would have to 
    travel farther to an open area, but the closure could be justified 
    under Standard 4 as a conservation measure with no discriminatory 
    intent.
        (c) Allocation of fishing privileges. An FMP may contain management 
    measures that allocate fishing privileges if such measures are 
    necessary or helpful in furthering legitimate objectives or in 
    achieving the OY, and if the measures conform with paragraphs (c)(3)(i) 
    through (c)(3)(iii) of this section.
        (1) Definition. An ``allocation'' or ``assignment'' of fishing 
    privileges is a direct and deliberate distribution of the opportunity 
    to participate in a fishery among identifiable, discrete user groups or 
    individuals. Any management measure (or lack of management) has 
    incidental allocative effects, but only those measures that result in 
    direct distributions of fishing privileges will be judged against the 
    allocation requirements of Standard 4. Adoption of an FMP that merely 
    perpetuates existing fishing practices may result in an allocation, if 
    those practices directly distribute the opportunity to participate in 
    the fishery. Allocations of fishing privileges include, for example, 
    per-vessel catch limits, quotas by vessel class and gear type, 
    different quotas or fishing seasons for recreational and commercial 
    fishermen, assignment of ocean areas to different gear users, and 
    limitation of permits to a certain number of vessels or fishermen.
        (2) Analysis of allocations. Each FMP should contain a description 
    and analysis of the allocations existing in the fishery and of those 
    made in the FMP. The effects of eliminating an existing allocation 
    system should be examined. Allocation schemes considered, but rejected 
    by the Council, should be included in the discussion. The analysis 
    should relate the recommended allocations to the FMP's objectives and 
    OY specification, and discuss the factors listed in paragraph (c)(3) of 
    this section.
        (3) Factors in making allocations. An allocation of fishing 
    privileges must be fair and equitable, must be reasonably calculated to 
    promote conservation, and must avoid excessive shares. These tests are 
    explained in paragraphs (c)(3)(i) through (c)(3)(iii) of this section:
        (i) Fairness and equity. (A) An allocation of fishing privileges 
    should be rationally connected to the achievement of OY or with the 
    furtherance of a legitimate FMP objective. Inherent in an allocation is 
    the advantaging of one group to the detriment of another. The motive 
    for making a particular allocation should be justified in terms of the 
    objectives of the FMP; otherwise, the disadvantaged user groups or 
    individuals would suffer without cause. For instance, an FMP objective 
    to preserve the economic status quo cannot be achieved by excluding a 
    group of long-time participants in the fishery. On the other hand, 
    there is a rational connection between an objective of harvesting 
    shrimp at their maximum size and closing a nursery area to trawling.
        (B) An allocation of fishing privileges may impose a hardship on 
    one group if it is outweighed by the total benefits received by another 
    group or groups. An allocation need not preserve the status quo in the 
    fishery to qualify as ``fair and equitable,'' if a restructuring of 
    fishing privileges would maximize overall benefits. The Council should 
    make an initial estimate of the relative benefits and hardships imposed 
    by the allocation, and compare its consequences with those of 
    alternative allocation schemes, including the status quo. Where 
    relevant, judicial guidance and government policy concerning the rights 
    of treaty Indians and aboriginal
    
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    Americans must be considered in determining whether an allocation is 
    fair and equitable.
        (ii) Promotion of conservation. Numerous methods of allocating 
    fishing privileges are considered ``conservation and management'' 
    measures under section 303 of the Magnuson Act. An allocation scheme 
    may promote conservation by encouraging a rational, more easily managed 
    use of the resource. Or, it may promote conservation (in the sense of 
    wise use) by optimizing the yield, in terms of size, value, market mix, 
    price, or economic or social benefit of the product.
        (iii) Avoidance of excessive shares. An allocation scheme must be 
    designed to deter any person or other entity from acquiring an 
    excessive share of fishing privileges, and to avoid creating conditions 
    fostering inordinate control, by buyers or sellers, that would not 
    otherwise exist.
        (iv) Other factors. In designing an allocation scheme, a Council 
    should consider other factors relevant to the FMP's objectives. 
    Examples are economic and social consequences of the scheme, food 
    production, consumer interest, dependence on the fishery by present 
    participants and coastal communities, efficiency of various types of 
    gear used in the fishery, transferability of effort to and impact on 
    other fisheries, opportunity for new participants to enter the fishery, 
    and enhancement of opportunities for recreational fishing.
    
    
    Sec. 600.330  National Standard 5--Efficiency.
    
        (a) Standard 5. Conservation and management measures shall, where 
    practicable, promote efficiency in the utilization of fishery 
    resources; except that no such measure shall have economic allocation 
    as its sole purpose.
        (b) Efficiency in the utilization of resources--(1) General. The 
    term ``utilization'' encompasses harvesting, processing, and marketing, 
    since management decisions affect all three sectors of the industry. 
    The goal of promoting efficient utilization of fishery resources may 
    conflict with other legitimate social or biological objectives of 
    fishery management. In encouraging efficient utilization of fishery 
    resources, this standard highlights one way that a fishery can 
    contribute to the Nation's benefit with the least cost to society: 
    Given a set of objectives for the fishery, an FMP should contain 
    management measures that result in as efficient a fishery as is 
    practicable or desirable.
        (2) Efficiency. In theory, an efficient fishery would harvest the 
    OY with the minimum use of economic inputs such as labor, capital, 
    interest, and fuel. Efficiency in terms of aggregate costs then becomes 
    a conservation objective, where ``conservation'' constitutes wise use 
    of all resources involved in the fishery, not just fish stocks.
        (i) In an FMP, management measures may be proposed that allocate 
    fish among different groups of individuals or establish a system of 
    property rights. Alternative measures examined in searching for an 
    efficient outcome will result in different distributions of gains and 
    burdens among identifiable user groups. An FMP should demonstrate that 
    management measures aimed at efficiency do not simply redistribute 
    gains and burdens without an increase in efficiency.
        (ii) Management regimes that allow a fishery to operate at the 
    lowest possible cost (e.g., fishing effort, administration, and 
    enforcement) for a particular level of catch and initial stock size are 
    considered efficient. Restrictive measures that unnecessarily raise any 
    of those costs move the regime toward inefficiency. Unless the use of 
    inefficient techniques or the creation of redundant fishing capacity 
    contributes to the attainment of other social or biological objectives, 
    an FMP may not contain management measures that impede the use of cost-
    effective techniques of harvesting, processing, or marketing, and 
    should avoid creating strong incentives for excessive investment in 
    private sector fishing capital and labor.
        (c) Limited access. A ``system for limiting access,'' which is an 
    optional measure under section 303(b) of the Magnuson Act, is a type of 
    allocation of fishing privileges that may be used to promote economic 
    efficiency or conservation. For example, limited access may be used to 
    combat overfishing, overcrowding, or overcapitalization in a fishery to 
    achieve OY. In an unutilized or underutilized fishery, it may be used 
    to reduce the chance that these conditions will adversely affect the 
    fishery in the future, or to provide adequate economic return to 
    pioneers in a new fishery. In some cases, limited entry is a useful 
    ingredient of a conservation scheme, because it facilitates application 
    and enforcement of other management measures.
        (1) Definition. Limited access (or limited entry) is a management 
    technique that attempts to limit units of effort in a fishery, usually 
    for the purpose of reducing economic waste, improving net economic 
    return to the fishermen, or capturing economic rent for the benefit of 
    the taxpayer or the consumer. Common forms of limited access are 
    licensing of vessels, gear, or fishermen to reduce the number of units 
    of effort, and dividing the total allowable catch into fishermen's 
    quotas (a stock-certificate system). Two forms (i.e., Federal fees for 
    licenses or permits in excess of administrative costs, and taxation) 
    are not permitted under the Magnuson Act.
        (2) Factors to consider. The Magnuson Act ties the use of limited 
    access to the achievement of OY. An FMP that proposes a limited access 
    system must consider the factors listed in section 303(b)(6) of the 
    Magnuson Act and in Sec. 600.325(c)(3). In addition, it should consider 
    the criteria for qualifying for a permit, the nature of the interest 
    created, whether to make the permit transferable, and the Magnuson 
    Act's limitation on returning economic rent to the public under section 
    304(d)(1). The FMP should also discuss the costs of achieving an 
    appropriate distribution of fishing privileges.
        (d) Analysis. An FMP should discuss the extent to which 
    overcapitalization, congestion, economic waste, and inefficient 
    techniques in the fishery reduce the net benefits derived from the 
    management unit and prevent the attainment and appropriate allocation 
    of OY. It should also explain, in terms of the FMP's objectives, any 
    restriction placed on the use of efficient techniques of harvesting, 
    processing, or marketing. If, during FMP development, the Council 
    considered imposing a limited-entry system, the FMP should analyze the 
    Council's decision to recommend or reject limited access as a technique 
    to achieve efficient utilization of the resources of the fishing 
    industry.
        (e) Economic allocation. This standard prohibits only those 
    measures that distribute fishery resources among fishermen on the basis 
    of economic factors alone, and that have economic allocation as their 
    only purpose. Where conservation and management measures are 
    recommended that would change the economic structure of the industry or 
    the economic conditions under which the industry operates, the need for 
    such measures must be justified in light of the biological, ecological, 
    and social objectives of the FMP, as well as the economic objectives.
    
    
    Sec. 600.335  National Standard 6--Variations and Contingencies.
    
        (a) Standard 6. Conservation and management measures shall take 
    into account and allow for variations among, and contingencies in, 
    fisheries, fishery resources, and catches.
        (b) Conservation and management. Each fishery exhibits unique 
    uncertainties. The phrase ``conservation and management'' implies the 
    wise use
    
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    of fishery resources through a management regime that includes some 
    protection against these uncertainties. The particular regime chosen 
    must be flexible enough to allow timely response to resource, industry, 
    and other national and regional needs. Continual data acquisition and 
    analysis will help the development of management measures to compensate 
    for variations and to reduce the need for substantial buffers. 
    Flexibility in the management regime and the regulatory process will 
    aid in responding to contingencies.
        (c) Variations. (1) In fishery management terms, variations arise 
    from biological, social, and economic occurrences, as well as from 
    fishing practices. Biological uncertainties and lack of knowledge can 
    hamper attempts to estimate stock size and strength, stock location in 
    time and space, environmental/habitat changes, and ecological 
    interactions. Economic uncertainty may involve changes in foreign or 
    domestic market conditions, changes in operating costs, drifts toward 
    overcapitalization, and economic perturbations caused by changed 
    fishing patterns. Changes in fishing practices, such as the 
    introduction of new gear, rapid increases or decreases in harvest 
    effort, new fishing strategies, and the effects of new management 
    techniques, may also create uncertainties. Social changes could involve 
    increases or decreases in recreational fishing, or the movement of 
    people into or out of fishing activities due to such factors as age or 
    educational opportunities.
        (2) Every effort should be made to develop FMPs that discuss and 
    take into account these vicissitudes. To the extent practicable, FMPs 
    should provide a suitable buffer in favor of conservation. Allowances 
    for uncertainties should be factored into the various elements of an 
    FMP. Examples are:
        (i) Reduce OY. Lack of scientific knowledge about the condition of 
    a stock(s) could be reason to reduce OY.
        (ii) Establish a reserve. Creation of a reserve may compensate for 
    uncertainties in estimating domestic harvest, stock conditions, or 
    environmental factors.
        (iii) Adjust management techniques. In the absence of adequate data 
    to predict the effect of a new regime, and to avoid creating unwanted 
    variations, a Council could guard against producing drastic changes in 
    fishing patterns, allocations, or practices.
        (iv) Highlight habitat conditions. FMPs may address the impact of 
    pollution and the effects of wetland and estuarine degradation on the 
    stocks of fish; identify causes of pollution and habitat degradation 
    and the authorities having jurisdiction to regulate or influence such 
    activities; propose recommendations that the Secretary will convey to 
    those authorities to alleviate such problems; and state the views of 
    the Council on unresolved or anticipated issues.
        (d) Contingencies. Unpredictable events--such as unexpected 
    resource surges or failures, fishing effort greater than anticipated, 
    disruptive gear conflicts, climatic conditions, or environmental 
    catastrophes--are best handled by establishing a flexible management 
    regime that contains a range of management options through which it is 
    possible to act quickly without amending the FMP or even its 
    regulations.
        (1) The FMP should describe the management options and their 
    consequences in the necessary detail to guide the Secretary in 
    responding to changed circumstances, so that the Council preserves its 
    role as policy-setter for the fishery. The description should enable 
    the public to understand what may happen under the flexible regime, and 
    to comment on the options.
        (2) FMPs should include criteria for the selection of management 
    measures, directions for their application, and mechanisms for timely 
    adjustment of management measures comprising the regime. For example, 
    an FMP could include criteria that allow the Secretary to open and 
    close seasons, close fishing grounds, or make other adjustments in 
    management measures.
        (3) Amendment of a flexible FMP would be necessary when 
    circumstances in the fishery change substantially, or when a Council 
    adopts a different management philosophy and objectives.
    
    
    Sec. 600.340  National Standard 7--Costs and Benefits.
    
        (a) Standard 7. Conservation and management measures shall, where 
    practicable, minimize costs and avoid unnecessary duplication.
        (b) Necessity of Federal management--(1) General. The principle 
    that not every fishery needs regulation is implicit in this standard. 
    The Magnuson Act does not require Councils to prepare FMPs for each and 
    every fishery--only for those where regulation would serve some useful 
    purpose and where the present or future benefits of regulation would 
    justify the costs. For example, the need to collect data about a 
    fishery is not, by itself, adequate justification for preparation of an 
    FMP, since there are less costly ways to gather the data (see 
    Sec. 600.320(d)(2). In some cases, the FMP preparation process itself, 
    even if it does not culminate in a document approved by the Secretary, 
    can be useful in supplying a basis for management by one or more 
    coastal states.
        (2) Criteria. In deciding whether a fishery needs management 
    through regulations implementing an FMP, the following general factors 
    should be considered, among others:
        (i) The importance of the fishery to the Nation and to the regional 
    economy.
        (ii) The condition of the stock or stocks of fish and whether an 
    FMP can improve or maintain that condition.
        (iii) The extent to which the fishery could be or is already 
    adequately managed by states, by state/Federal programs, by Federal 
    regulations pursuant to FMPs or international commissions, or by 
    industry self-regulation, consistent with the policies and standards of 
    the Magnuson Act.
        (iv) The need to resolve competing interests and conflicts among 
    user groups and whether an FMP can further that resolution.
        (v) The economic condition of a fishery and whether an FMP can 
    produce more efficient utilization.
        (vi) The needs of a developing fishery, and whether an FMP can 
    foster orderly growth.
        (vii) The costs associated with an FMP, balanced against the 
    benefits (see paragraph (d) of this section as a guide).
        (c) Alternative management measures. Management measures should not 
    impose unnecessary burdens on the economy, on individuals, on private 
    or public organizations, or on Federal, state, or local governments. 
    Factors such as fuel costs, enforcement costs, or the burdens of 
    collecting data may well suggest a preferred alternative.
        (d) Analysis. The supporting analyses for FMPs should demonstrate 
    that the benefits of fishery regulation are real and substantial 
    relative to the added research, administrative, and enforcement costs, 
    as well as costs to the industry of compliance. In determining the 
    benefits and costs of management measures, each management strategy 
    considered and its impacts on different user groups in the fishery 
    should be evaluated. This requirement need not produce an elaborate, 
    formalistic cost/benefit analysis. Rather, an evaluation of effects and 
    costs, especially of differences among workable alternatives, including 
    the status quo, is adequate. If quantitative estimates are not 
    possible, qualitative estimates will suffice.
        (1) Burdens. Management measures should be designed to give 
    fishermen the greatest possible freedom of action in conducting 
    business and pursuing recreational opportunities that are consistent 
    with ensuring wise use of the
    
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    resources and reducing conflict in the fishery. The type and level of 
    burden placed on user groups by the regulations need to be identified. 
    Such an examination should include, for example: Capital outlays; 
    operating and maintenance costs; reporting costs; administrative, 
    enforcement, and information costs; and prices to consumers. Management 
    measures may shift costs from one level of government to another, from 
    one part of the private sector to another, or from the government to 
    the private sector. Redistribution of costs through regulations is 
    likely to generate controversy. A discussion of these and any other 
    burdens placed on the public through FMP regulations should be a part 
    of the FMP's supporting analyses.
        (2) Gains. The relative distribution of gains may change as a 
    result of instituting different sets of alternatives, as may the 
    specific type of gain. The analysis of benefits should focus on the 
    specific gains produced by each alternative set of management measures, 
    including the status quo. The benefits to society that result from the 
    alternative management measures should be identified, and the level of 
    gain assessed.
    
    Subpart E--Confidentiality of Statistics
    
    
    Sec. 600.405  Types of statistics covered.
    
        NOAA is authorized under the Magnuson Act and other statutes to 
    collect proprietary or confidential commercial or financial 
    information. This part applies to all pertinent data required to be 
    submitted to the Secretary with respect to any FMP including, but not 
    limited to, information regarding the type and quantity of fishing gear 
    used, catch by species in numbers of fish or weight thereof, areas in 
    which fishing occurred, time of fishing, number of hauls, and the 
    estimated processing capacity of, and the actual processing capacity 
    utilized by, U.S. fish processors.
    
    
    Sec. 600.410  Collection and maintenance of statistics.
    
        (a) General. (1) All statistics required to be submitted to the 
    Secretary are provided to the Assistant Administrator.
        (2) After receipt, the Assistant Administrator will remove all 
    identifying particulars from the statistics if doing so is consistent 
    with the needs of NMFS and good scientific practice.
        (3) Appropriate safeguards as specified by NOAA Directives, or 
    other NOAA or NMFS internal procedures, apply to the collection and 
    maintenance of all statistics, whether separated from identifying 
    particulars or not, so as to ensure their confidentiality.
        (b) Collection agreements with states. (1) The Assistant 
    Administrator may enter into an agreement with a state authorizing the 
    state to collect statistics on behalf of the Secretary.
        (2) NMFS will not enter into a cooperative collection agreement 
    with a state unless the state has authority to protect the statistics 
    from disclosure in a manner at least as protective as these 
    regulations.
    
    
    Sec. 600.415  Access to statistics.
    
        (a) General. In determining whether to grant a request for access 
    to confidential data, the following information will be taken into 
    consideration (also see Sec. 600.130):
        (1) The specific types of data required.
        (2) The relevance of the data to conservation and management 
    issues.
        (3) The duration of time access will be required: continuous, 
    infrequent, or one-time.
        (4) An explanation of why the availability of aggregate or non-
    confidential summaries of data from other sources would not satisfy the 
    requested needs.
        (b) Federal employees. Statistics submitted as a requirement of an 
    FMP and that reveal the identity of the submitter will only be 
    accessible to the following:
        (1) Personnel within NMFS responsible for the collection, 
    processing, and storage of the statistics.
        (2) Federal employees who are responsible for FMP development, 
    monitoring, and enforcement.
        (3) Personnel within NMFS performing research that requires 
    confidential statistics.
        (4) Other NOAA personnel on a demonstrable need-to-know basis.
        (5) NOAA/NMFS contractors or grantees who require access to 
    confidential statistics to perform functions authorized by a Federal 
    contract or grant.
        (c) State personnel. Upon written request, confidential statistics 
    will only be accessible if:
        (1) State employees demonstrate a need for confidential statistics 
    for use in fishery conservation and management.
        (2) The state has entered into a written agreement between the 
    Assistant Administrator and the head of the state's agency that manages 
    marine and/or anadromous fisheries. The agreement shall contain a 
    finding by the Assistant Administrator that the state has 
    confidentiality protection authority comparable to the Magnuson Act and 
    that the state will exercise this authority to limit subsequent access 
    and use of the data to fishery management and monitoring purposes.
        (d) Councils. Upon written request by the Council Executive 
    Director, access to confidential data will be granted to:
        (1) Council employees who are responsible for FMP development and 
    monitoring.
        (2) A Council for use by the Council for conservation and 
    management purposes, with the approval of the Assistant Administrator. 
    In addition to the information described in paragraph (a) of this 
    section, the Assistant Administrator will consider the following in 
    deciding whether to grant access:
        (i) The possibility that Council members might gain personal or 
    competitive advantage from access to the data.
        (ii) The possibility that the suppliers of the data would be placed 
    at a competitive disadvantage by public disclosure of the data at 
    Council meetings or hearings.
        (3) A contractor of the Council for use in such analysis or studies 
    necessary for conservation and management purposes, with approval of 
    the Assistant Administrator and execution of an agreement with NMFS as 
    described by NOAA Administrative Order (NAO) 216-100.
        (e) Prohibitions. Persons having access to these data are 
    prohibited from unauthorized use or disclosure and are subject to the 
    provisions of 18 U.S.C. 1905, 16 U.S.C. 1857, and NOAA/NMFS internal 
    procedures, including NAO 216-100.
    
    
    Sec. 600.420  Control system.
    
        (a) The Assistant Administrator maintains a control system to 
    protect the identity of submitters of statistics required by an FMP. 
    The control system:
        (1) Identifies those persons who have access to the statistics.
        (2) Contains procedures to limit access to confidential data to 
    authorized users.
        (3) Provides for safeguarding the data.
        (b) This system requires that all persons who have authorized 
    access to the data be informed of the confidentiality of the data. 
    These persons are required to sign a statement that they:
        (1) Have been informed that the data are confidential.
        (2) Have reviewed and are familiar with the procedures to protect 
    confidential statistics.
    
    
    Sec. 600.425  Release of statistics.
    
        (a) The Assistant Administrator will not release to the public any 
    statistics
    
    [[Page 32556]]
    
    required to be submitted under an FMP in a form that would identify the 
    submitter, except as required by law.
        (b) All requests from the public for statistics submitted in 
    response to a requirement of an FMP will be processed consistent with 
    the NOAA FOIA regulations (15 CFR part 903), NAO 205-14, Department of 
    Commerce Administrative Orders 205-12 and 205-14 and 15 CFR part 4.
        (c) NOAA does not release or allow access to confidential 
    information in its possession to members of Council advisory groups, 
    except as provided by law.
    
    Subpart F--Foreign Fishing
    
    
    Sec. 600.501  Vessel permits.
    
        (a) General. (1) Each FFV fishing under the Magnuson Act must have 
    on board a permit issued under this section, unless it is engaged only 
    in recreational fishing.
        (2) Permits issued under this section do not authorize FFV's or 
    persons to harass, capture, or kill marine mammals. No marine mammals 
    may be taken in the course of fishing unless that vessel has on board a 
    currently valid Authorization Certificate under the MMPA. Regulations 
    governing the taking of marine mammals incidental to commercial fishing 
    operations are contained in 50 CFR part 229 of this title.
        (b) Responsibility of owners and operators. The owners and 
    operators of each FFV are jointly and severally responsible for 
    compliance with the Magnuson Act, the applicable GIFA, this subpart, 
    and any permit issued under the Magnuson Act and this subpart. The 
    owners and operators of each FFV bear civil responsibility for the acts 
    of their employees and agents constituting violations, regardless of 
    whether the specific acts were authorized or even forbidden by the 
    employer or principal, and regardless of knowledge concerning the 
    occurrence.
        (c) Activity codes. Permits to fish under a GIFA may be issued by 
    the Assistant Administrator for the activities described in this 
    paragraph, but the permits may be modified by regulations of this 
    subpart, and by the conditions and restrictions attached to the permit 
    (see paragraphs (e)(1)(v) and (l) of this section). The Assistant 
    Administrator may issue a permit, as appropriate, for one or more of 
    the activity codes listed below. The activity codes are described as 
    follows:
        (1) Activity Code 1. Catching, scouting, processing, transshipping, 
    and supporting foreign vessels. Activity is limited to fish harvested 
    or to be harvested by foreign vessels in the EEZ.
        (2) Activity Code 2. Processing, scouting, transshipping, and 
    supporting foreign vessels. Activity is limited to fish harvested or to 
    be harvested by foreign vessels in the EEZ.
        (3) Activity Code 3. Transshipping, scouting, and supporting 
    foreign vessels. Activity is limited to fish harvested or to be 
    harvested by foreign vessels in the EEZ.
        (4) Activity Code 4. Processing, scouting, transshipping, and 
    supporting U.S. vessels delivering fish to foreign vessels. Activity is 
    limited to the receipt of unprocessed fish harvested or to be harvested 
    by U.S. vessels.
        (5) Activity Code 5. Transshipping, scouting, and supporting 
    foreign vessels. Transshipment limited to fish received or to be 
    received from foreign vessels processing fish from U.S. harvesting 
    vessels.
        (6) Activity Code 6. Transshipping, scouting, and supporting U.S. 
    vessels. Transshipment limited to U.S.-harvested fish processed on 
    board U.S. vessels.
        (7) Activity Code 7. Processing, transshipping, and supporting 
    foreign vessels. Activity limited to fish harvested or to be harvested 
    by foreign vessels seaward of the EEZ.
        (8) Activity Code 8. Transshipping and supporting foreign vessels. 
    Activity is limited to fish harvested or to be harvested seaward of the 
    EEZ by foreign vessels or fish duly authorized for processing in the 
    internal waters of one of the states.
        (9) Activity Code 9. Supporting U.S. fishing vessels and U.S. fish 
    processing vessels and any foreign fishing vessels authorized under any 
    activity code under paragraph (c) of this subpart.
        (d) Application. (1) Applications for FFV permits must be submitted 
    by each foreign nation to the DOS. Application forms are available from 
    OES/OMC, DOS, Washington, DC. The applicant should allow 90 days for 
    review and comment by the public, involved governmental agencies, and 
    appropriate Councils, and for processing before the anticipated date to 
    begin fishing. The permit application fee must be paid at the time of 
    application according to Sec. 600.518.
        (2) Applicants must provide complete and accurate information 
    requested on the permit application form.
        (3) Applicants for FFV's that will support U.S. vessels in joint 
    ventures (Activity Code 4) must provide the additional information 
    specified by the permit application form.
        (4) Each foreign nation may substitute one FFV for another by 
    submitting a new vessel information form and a short explanation of the 
    reason for the substitution to the DOS. Each substitution is considered 
    a new application and a new application fee must be paid. NMFS will 
    promptly process an application for a vessel replacing a permitted FFV 
    that is disabled or decommissioned, once the DOS has notified the 
    appropriate Council(s) of the substituted application.
        (e) Issuance. (1) Permits may be issued to an FFV by the Assistant 
    Administrator through the DOS after--
        (i) The Assistant Administrator determines that the fishing 
    described in the application will meet the requirements of the Magnuson 
    Act and approves the permit application.
        (ii) The foreign nation has paid the fees, including any surcharge 
    fees and provided any assurances required by the Secretary in 
    accordance with the provisions of Sec. 600.518.
        (iii) The foreign nation has appointed an agent.
        (iv) The foreign nation has identified a designated representative.
        (v) The general ``conditions and restrictions'' of receiving 
    permits, as required by section 204(b)(7) of the Magnuson Act, and any 
    ``additional restrictions'' attached to the permit for the conservation 
    and management of fishery resources or to prevent significant 
    impairment of the national defense or security interests, have been 
    accepted by the nation issuing the FFV's documents.
        (2) NMFS will distribute blank permit forms to the designated 
    representative while the application is being processed. The designated 
    representative must ensure that each FFV receives a permit form and 
    must accurately transmit the permit form and the contents of the permit 
    to the FFV when it is issued. NMFS may authorize the modification and 
    use of the previous year's permit forms to be used on an interim basis 
    in place of the current year's permit forms if the current forms were 
    not made available to the designated representatives for timely 
    distribution. The FFV owner or operator must accurately complete the 
    permit form prior to fishing in the EEZ.
        (3) A completed permit form must contain--
        (i) The name and IRCS of the FFV and its permit number.
        (ii) The permitted fisheries and activity codes.
        (iii) The date of issuance and expiration date, if other than 
    December 31.
        (iv) All conditions and restrictions, and any additional 
    restrictions and
    
    [[Page 32557]]
    
    technical modifications appended to the permit.
        (4) Permits are not issued for boats that are launched from larger 
    vessels. Any enforcement action that results from the activities of a 
    launched boat will be taken against the permitted vessel.
        (f) Duration. A permit is valid from its date of issuance to its 
    date of expiration, unless it is revoked or suspended or the nation 
    issuing the FFV's documents does not accept amendments to the permit 
    made by the Assistant Administrator in accordance with the procedures 
    of paragraph (l) of this section. The permit will be valid for no 
    longer than the calendar year in which it was issued.
        (g) Transfer. Permits are not transferable or assignable. A permit 
    is valid only for the FFV to which it is issued.
        (h) Display. Each FFV operator must have a properly completed 
    permit form available on board the FFV when engaged in fishing 
    activities and must produce it at the request of an authorized officer 
    or observer.
        (i) Suspension and revocation. NMFS may apply sanctions to an FFV's 
    permit by revoking, suspending, or imposing additional permit 
    restrictions on the permit under 15 CFR part 904, if the vessel is 
    involved in the commission of any violation of the Magnuson Act, the 
    GIFA, or this subpart; if an agent and a designated representative are 
    not maintained in the United States; if a civil penalty or criminal 
    fine imposed under the Magnuson Act has become overdue; or as otherwise 
    specified in the Magnuson Act.
        (j) Fees. Permit application fees are described in Sec. 600.518.
        (k) Change in application information. (1) The foreign nation must 
    report, in writing, any change in the information supplied under 
    paragraph (d) of this section to the Assistant Administrator within 15 
    calendar days after the date of the change. Failure to report a change 
    in the ownership from that described in the current application within 
    the specified time frame voids the permit, and all penalties involved 
    will accrue to the previous owner.
        (2) The Assistant Administrator may make technical modifications or 
    changes in the permit application requested or reported by a Nation, 
    such as a change in radio call sign, processing equipment, or tonnage, 
    which will be effective immediately.
        (3) If, in the opinion of the Assistant Administrator, a permit 
    change requested by a Nation could significantly affect the status of 
    any fishery resource, such request will be processed as an application 
    for a new permit under this section.
        (4) The Assistant Administrator will notify the designated 
    representative of any revision that must be made on the permit form as 
    the result of a permit change.
        (5) The vessel owner or operator must record the modification on 
    the permit form.
        (l) Permit amendments. (1) The Assistant Administrator may amend a 
    permit by adding ``additional restrictions'' for the conservation and 
    management of fishery resources covered by the permit, or for the 
    national defense or security if the Assistant Administrator determines 
    that such interests would be significantly impaired without such 
    restrictions. Compliance with the added additional restrictions is a 
    condition of the permit. Violations of added additional restrictions 
    will be treated as violations of this subpart.
        (2) The Assistant Administrator may make proposed additional 
    restrictions effective immediately, if necessary, to prevent 
    substantial harm to a fishery resource of the United States, to allow 
    for the continuation of ongoing fishing operations, or to allow for 
    fishing to begin at the normal time for opening of the fishery.
        (3) The Assistant Administrator will send proposed additional 
    restrictions to each Nation whose vessels are affected (via the 
    Secretary of State), to the appropriate Councils, and to the Commandant 
    of the Coast Guard. NMFS will, at the same time, publish a document of 
    any significant proposed additional restrictions in the Federal 
    Register. The document will include a summary of the reasons underlying 
    the proposal, and the reasons that any proposed additional restrictions 
    are made effective immediately.
        (4) The Nation whose vessels are involved, the owners of the 
    affected vessels, their representatives, the agencies specified in 
    paragraph (l)(3) of this section, and the public may submit written 
    comments on the proposed additional restrictions within 30 days after 
    publication in the Federal Register.
        (5) The Assistant Administrator will make a final decision 
    regarding the proposed additional restrictions as soon as practicable 
    after the end of the comment period. The Assistant Administrator will 
    provide the final additional restrictions to the Nation whose vessels 
    are affected (via the Secretary of State) according to the procedures 
    of paragraph (e) of this section. The Assistant Administrator will 
    include with the final additional restrictions to the Nation, a 
    response to comments submitted.
        (6) Additional restrictions may be modified by following the 
    procedures of paragraphs (l)(2) through (l)(5) of this section.
    
    
    Sec. 600.502   Vessel reports.
    
        (a) The operator of each FFV must report the FFV's activities 
    within the EEZ to the USCG and NMFS as specified in this section.
        (b) All reports required by this section must be in English and in 
    the formats specified in the permit additions and restrictions. Reports 
    must be delivered via private or commercial communications facilities, 
    facsimile, or other electronic means acceptable to NMFS and the USCG, 
    directly to the appropriate NMFS Region or Center and USCG commander. 
    Weekly reports must also be delivered directly to the appropriate NMFS 
    Region or Center (see tables 1 and 2 of this section). (The required 
    reports may be delivered to the closest USCG communication station as 
    indicated in table 3 of this section or other USCG communication 
    station only if adequate private or commercial communications 
    facilities have not been successfully contacted.) Radio reports must be 
    made via radiotelegraphy, Telex, or facsimile where available. For the 
    purposes of this section, a message is considered ``transmitted'' when 
    its receipt is acknowledged by a communications facility and considered 
    ``delivered'' upon its receipt by the offices of the appropriate USCG 
    commander, NMFS Regional Office, or NMFS Center identified in table 2 
    of this section. Reports required by this section may be submitted by 
    the vessel's designated representative; however, the operator of the 
    FFV is responsible for the correct and timely filing of all required 
    reports.
        (c) Activity reports. The operator of each FFV must report the 
    FFV's movements and activities before or upon the event, as specified 
    in this paragraph (c). Appropriate forms, instructions, codes, and 
    examples are contained in the conditions and restrictions of the FFV's 
    permit. Each FFV report must contain the following information: The 
    message identifier ``VESREP'' to indicate it is a vessel activity 
    report, FFV name, international radio call sign IRCS, date (month and 
    day based on GMT), time (hour and minute GMT), position (latitude and 
    longitude to the nearest degree and minute) where required, area (by 
    fishing area code) where required, the appropriate action code, 
    confirmation codes where required, and the other
    
    [[Page 32558]]
    
    information specified in paragraphs (c)(1) through (c)(11) of this 
    section.
        (1) ``BEGIN''. Each operator must specify the date, time, position, 
    and area the FFV will actually ``BEGIN'' fishing in the EEZ and the 
    species (by species code), product (by product code), and quantity of 
    all fish and fish products (by product weight to the nearest hundredth 
    of a metric ton) on board when entering the EEZ (action code 
    ``BEGIN''). The message must be delivered at least 24 hours before the 
    vessel begins to fish.
        (2) ``DEPART''. Each operator must specify the date, time, 
    position, and area the FFV will ``DEPART'' the EEZ to embark or debark 
    an observer, to visit a U.S. port, to conduct a joint venture in 
    internal waters, or to otherwise temporarily leave an authorized 
    fishing area, but not depart the seaward limit of the EEZ (action code 
    ``DEPART''). The message must be transmitted before the FFV departs the 
    present fishing area and delivered within 24 hours of its transmittal.
        (3) ``RETURN''. Each operator must specify the date, time, 
    position, and area the FFV will ``RETURN'' to the EEZ following a 
    temporary departure, and the species (by species code), product (by 
    product code), and quantity of all fish and fish products (by product 
    weight to the nearest hundredth of a metric ton) on board that were 
    received in a joint venture in internal waters (action code 
    ``RETURN''). The message must be transmitted before returning to the 
    EEZ and delivered within 24 hours of its transmittal.
        (4) ``SHIFT''. Each operator must report each SHIFT in fishing area 
    (as described for each fishery) by specifying the date, time, and 
    position the FFV will start fishing, and the new area (action code 
    ``SHIFT''). The message must be transmitted before leaving the original 
    area and delivered within 24 hours of its transmittal. If a foreign 
    vessel operates within 20 nautical miles (37.04 km) of a fishing area 
    boundary, its operator may submit in one message the shift reports for 
    all fishing area shifts occurring during 1 fishing day (0001-2400 GMT). 
    This message must be transmitted prior to the last shift expected to be 
    made in the day and delivered within 24 hours of its transmittal.
        (5) ``JV OPS''. Each operator must specify the date, time, 
    position, and area at which the FFV will ``START'' joint venture 
    operations (action code ``START JV OPS'') or ``END'' joint venture 
    operations (action code ``END JV OPS''). These reports must be made in 
    addition to other activity reports made under this section. Each 
    message must be transmitted before the event and delivered within 24 
    hours of its transmittal.
        (6) ``TRANSFER''. The operator of each FFV that anticipates a 
    transshipping operation in which the FFV will receive fish or fisheries 
    products must specify the date, time, position and area the FFV will 
    conduct the ``TRANSFER'' and the name and IRCS of the other FFV or U.S. 
    vessel involved (action code ``TRANSFER''). The report must include the 
    permit activity code under which the transfer will be made. The message 
    must be transmitted prior to the transfer and delivered within 24 hours 
    of its transmittal. The movement of raw fish from a permitted foreign 
    catching vessel or, under an Activity Code 4, from a U.S. fishing 
    vessel to the reporting processing vessel and the return of nets or 
    codends is not considered a transfer.
        (7) ``OFFLOADED''. Each operator must specify the date, time, 
    position, and area the FFV ``OFFLOADED'' fish or fisheries products TO 
    another FFV or a U.S. vessel in a transfer, the other FFV's or U.S. 
    vessel's name, IRCS, Permit Activity Code under which the transfer was 
    made, species (by species code) and quantity of fish and fisheries 
    products (by product code and by product weight, to the nearest 
    hundredth of a metric ton) offloaded (action code ``OFFLOADED TO''). 
    The message must be transmitted within 12 hours after the transfer is 
    completed and delivered within 24 hours of its transmittal and before 
    the FFV ceases fishing in the EEZ.
        (8) ``RECEIVED''. Each operator must specify the date, time, 
    position and area the vessel ``RECEIVED'' fish or fisheries products 
    FROM another FFV in a transfer, the other FFV's or U.S. vessel's name, 
    IRCS, Permit Activity Code under which the receipt was made, species 
    (by species code) and quantity of fish and fisheries products (by 
    product code and by product weight, to the nearest hundredth of a 
    metric ton) received (action code ``RECEIVED FROM''). The message must 
    be transmitted within 12 hours after the transfer is completed and 
    delivered within 24 hours of its transmittal and before the vessel 
    ceases fishing in the EEZ.
        (9) ``CEASE''. Each operator must specify the date, time, position, 
    and area the FFV will ``CEASE'' fishing in order to leave the EEZ 
    (action code ``CEASE''). The message must be delivered at least 24 
    hours before the FFV's departure.
        (10) ``CHANGE''. Each operator must report any ``CHANGE'' TO the 
    FFV's operations if the position or time of an event specified in an 
    activity report will vary more than 5 nautical miles (9.26 km) or 4 
    hours from that previously reported, by sending a revised message 
    inserting the word ``CHANGE'' in front of the previous report, 
    repeating the name, IRCS, date, and time of the previous report, adding 
    the word ``TO'' and the complete revised text of the new report (action 
    code ``CHANGE TO''). Changes to reports specifying an early beginning 
    of fishing by an FFV or other changes to reports contained in 
    paragraphs (c)(1) through (c)(9) of this section must be transmitted 
    and delivered as if the ``CHANGE'' report were the original message.
        (11) ``CANCEL''. Each operator wanting to ``CANCEL'' a previous 
    report may do so by sending a revised message, and inserting the word 
    ``CANCEL'' in front of the previous report's vessel name, IRCS, date, 
    time and action code canceled (action code ``CANCEL''). The message 
    must be transmitted and delivered prior to the date and time of the 
    event in the original message.
        (d) The operator of an FFV will be in violation of paragraphs 
    (c)(1) through (c)(9) of this section if the FFV does not pass within 5 
    nautical miles (9.26 km) of the position given in the report within 4 
    hours of the time given in the report.
        (e) The notices required by this section may be provided for 
    individual or groups of FFV's (on a vessel-by-vessel basis) by 
    authorized persons. An FFV operator may retransmit reports on the 
    behalf of another FFV, if authorized by that FFV's operator. This does 
    not relieve the individual vessel operator of the responsibility of 
    filing required reports. In these cases, the message format should be 
    modified so that each line of text under ``VESREP'' is a separate 
    vessel report.
        (f) Weekly reports. (1) The operator of each FFV in the EEZ must 
    submit appropriate weekly reports through the Nation's designated 
    representative. The report must arrive at the address and time 
    specified in paragraph (g) of this section. The reports may be sent by 
    facsimile or Telex, but a completed copy of the report form must be 
    mailed or hand delivered to confirm the Telex. Appropriate forms, 
    instructions, codes, and examples are contained in the conditions and 
    restrictions of the FFV's permit. Designated representatives may 
    include more than one vessel report in a facsimile or Telex message, if 
    the information is submitted on a vessel-by-vessel basis. Requests for 
    corrections to previous reports must be submitted through the Nation's 
    designated representative and mailed or hand-delivered, together with a 
    written explanation of the reasons for the errors. The appropriate 
    Regional or Science and Research Director may accept or
    
    [[Page 32559]]
    
    reject any correction and initiate any appropriate civil penalty 
    actions.
        (2) Weekly catch report (CATREP). The operator of each FFV must 
    submit a weekly catch report stating any catch (Activity Code 1) in 
    round weight of each species or species group allocated to that Nation 
    by area and days fished in each area for the weekly period Sunday 
    through Saturday, GMT, as modified by the fishery in which the FFV is 
    engaged. Foreign vessels delivering unsorted, unprocessed fish to a 
    processing vessel are not required to submit CATREP's, if that 
    processing vessel (Activity Code 2) submits consolidated CATREP's for 
    all fish received during each weekly period. No report is required for 
    FFV's that do not catch or receive foreign-caught fish during the 
    reporting period.
        (3) Weekly receipts report (RECREP). The operator of each FFV must 
    submit a weekly report stating any receipts of U.S.-harvested fish in a 
    joint venture (Activity Code 4) for the weekly period Sunday through 
    Saturday, GMT, as modified by the fishery in which the FFV is engaged, 
    for each fishing area, by authorized or prohibited species or species 
    group; days fish received; round weight retained or returned to the 
    U.S. fishing vessel; number of codends received; and number of vessels 
    transferring codends. The report must also include the names of U.S. 
    fishing vessels transferring codends during the week. No report is 
    required for FFV's that do not receive any U.S.-harvested fish during 
    the reporting period.
        (4) Marine mammal report (MAMREP). The operator of each FFV must 
    submit a weekly report stating any incidental catch or receipt of 
    marine mammals (Activity Codes 1 or 2 and/or 4), the geographical 
    position caught, the condition of the animal, number caught (if more 
    than one of the same species and condition), and nationality of the 
    catching vessel for the period Sunday through Saturday, GMT, as 
    modified by the fishery in which the vessel is engaged. Foreign 
    catching vessels delivering unsorted, unprocessed fish to processing 
    vessel are not required to submit MAMREP's, provided that the 
    processing or factory vessel (Activity Code 2) submits consolidated 
    MAMREP's for all fish received during each weekly period. FFV's 
    receiving U.S.-harvested fish in a joint venture (Activity Code 4) must 
    submit consolidated reports for U.S. vessels operating in the joint 
    venture. No report is required for FFV's that do not catch or receive 
    marine mammals during the reporting period.
        (g) Submission instructions for weekly reports. The designated 
    representative for each FFV must submit weekly reports in the 
    prescribed format to the appropriate Regional or Science and Research 
    Director of NMFS by 1900 GMT on the Wednesday following the end of the 
    reporting period. However, by agreement with the appropriate Director, 
    the designated representative may submit weekly reports to some other 
    facility of NMFS.
    
                      Table 1 to Sec.  600.502.--Addresses                  
    ------------------------------------------------------------------------
                                    NMFS science and      U.S. Coast Guard  
       NMFS regional directors     research  directors       commanders     
    ------------------------------------------------------------------------
    Director, Northeast Region,   Director, Northeast   Commander, Atlantic 
     National Marine Fisheries     Fisheries Science     Area, U.S. Coast   
     Service, NOAA, One            Center, National      Guard, 431 Crawford
     Blackburn drive,              Marine Fisheries      Street, Portsmouth,
     Gloucester, MA 01930-2298.    Service, NOAA, 166    VA 23704.          
                                   Water Street, Woods                      
                                   Hole, MA 02543-1097.                     
    Director, Southeast Region,   Director, Southeast   Commander, Atlantic 
     National Marine Fisheries     Fisheries Science     Area, U.S. Coast   
     Service, NOAA, 9721 Exec.     Center, National      Guard, Governor's  
     Center Drive N., St.          Marine Fisheries      Island, New York,  
     Petersburg, FL 33702.         Service, NOAA, 75     NY 10004.          
                                   Virginia Beach                           
                                   Drive, Miami, FL                         
                                   33149-1003.                              
    Director, Northwest Region,   Director, Northwest   Commander, Pacific  
     National Marine Fisheries     Fisheries Science     Area, U.S. Coast   
     Service, NOAA, 7600 Sand      Center, National      Guard, Government  
     Point Way, NE, BIN C15700,    Marine Fisheries      Island, Alameda, CA
     Bldg. 1, Seattle, WA 98115.   Service, NOAA, 2725   94501.             
                                   Montlake Boulevard                       
                                   East, Seattle, WA                        
                                   98112-2097.                              
    Director, Alaska Region,      Director, Alaska      Commander,          
     National Marine Fisheries     Fisheries Science     Seventeenth Coast  
     Service, NOAA, P.O. Box       Center, National      Guard District,    
     21668, Juneau, AK 99802-      Marine Fisheries      P.O. Box 25517,    
     1668.                         Service, NOAA, 7600   Juneau, AK 99802.  
                                   Sand Point Way, NE,                      
                                   BIN C15700, Bldg.                        
                                   4, Seattle, WA                           
                                   98115-0070.                              
    Director, Southwest Region    Director, Southwest   Commander,          
     National Marine Fisheries     Fisheries Science     Fourteenth Coast   
     Service, NOAA, 501 West       Center, National      Guard District, 300
     Ocean Blvd, Suite 4200,       Marine Fisheries      Ala Moana Blvd.,   
     Long Beach, CA 90802-4213.    Service, NOAA, P.O.   Honolulu, HI 96850.
                                   Box 271, La Jolla,                       
                                   CA 92038-0271.                           
    ------------------------------------------------------------------------
    
    
       Table 2 to Sec.  600.502.--Areas of Responsibility of NMFS and U.S.  
                               Coast Guard Offices                          
    ------------------------------------------------------------------------
       Area of responsibility/       National Marine                        
               fishery             Fisheries  Service     U.S. Coast Guard  
    ------------------------------------------------------------------------
    Atlantic Ocean North of Cape  Director, Northeast   Commander, Atlantic 
     Hatteras.                     Center, Attn:         Area.              
                                   Observer Program.                        
    Atlantic Ocean South of Cape  Director, Northeast   Commander, Atlantic 
     Hatteras.                     Center, Attn:         Area.              
                                   Observer Program.                        
    Atlantic Tunas, Swordfish,    Director, Office of   Commander, Atlantic 
     Billfish and Sharks.          Fisheries             Area.              
                                   Conservation and                         
                                   Management.                              
    Gulf of Mexico and Caribbean  Director, Southeast   Commander, Atlantic 
     Sea.                          Region.               Area.              
    Pacific Ocean off the States  Director, Northwest   Commander, Pacific  
     of California, Oregon, and    Region.               Area.              
     Washington.                                                            
    North Pacific Ocean and       Director, Alaska      Commander,          
     Bering Sea off Alaska.        Region.               Seventeenth Coast  
                                                         Guard District.    
    
    [[Page 32560]]
    
                                                                            
    Pacific Ocean off Hawaii and  Director, Southwest   Commander,          
     Other U.S. Insular            Region.               Fourteenth Coast   
     Possessions in the Central                          Guard District.    
     and Western Pacific.                                                   
    ------------------------------------------------------------------------
    
    
    
                   Table 3 to Sec.  600.502.--U.S. Coast Guard Communications Stations and Frequencies              
    ----------------------------------------------------------------------------------------------------------------
                                                                        Radiotelephone                              
       U.S. Coast Guard communications   ---------------------------------------------------------------------------
                   station                         IRCS                 Channel \1\                GMT time         
    ----------------------------------------------------------------------------------------------------------------
    Boston..............................  NMF                     A-E                     2330-1100.                
                                          ......................  B,C                     All.                      
                                          ......................  D                       1100-2330.                
                                          ......................  E                       (On request).             
    CAMSLANT Chesapeake (Portsmouth, VA)  NMN                     A                       2330-1100.                
                                          ......................  B,C                     All.                      
                                          ......................  D                       1100-2330.                
                                          ......................  E                       (On request).             
    New Orleans.........................  NMG                     A                       2330-1100.                
                                          ......................  B,C                     All.                      
                                          ......................  D                       1100-2330.                
                                          ......................  E                       (On request).             
    CAMSPAC Point Reyes (San Francisco,   NMC                     A-D                     All.                      
     CA).                                                                                                           
                                          ......................  E                       (On request).             
    Honolulu............................  NMO                     A-D                     All.                      
                                          ......................  E                       (On request).             
    Kodiak..............................  NOJ                     A-D                     All.                      
                                          ......................  E                       (On request). .           
    ----------------------------------------------------------------------------------------------------------------
    \1\ Carrier frequencies of duplex, high-frequency single-sideband channels are:                                 
    
    
    ------------------------------------------------------------------------
                  Letter                  Shore transmit     Ship transmit  
    ------------------------------------------------------------------------
    A.................................             4426.0             4134.0
    B.................................             6501.0             6200.0
    C.................................             8764.0             8240.0
    D.................................            13089.0            12242.0
    E.................................            17314.0            16432.0
    ------------------------------------------------------------------------
    
    Sec. 600.503  Vessel and gear identification.
    
        (a) Vessel identification. (1) The operator of each FFV assigned an 
    IRCS must display that call sign amidships on both the port and 
    starboard sides of the deckhouse or hull, so that it is visible from an 
    enforcement vessel, and on an appropriate weather deck so it is visible 
    from the air.
        (2) The operator of each FFV not assigned an IRCS, such as a small 
    trawler associated with a mothership or one of a pair of trawlers, must 
    display the IRCS of the associated vessel, followed by a numerical 
    suffix. (For example, JCZM-1, JCZM-2, etc., would be displayed on small 
    trawlers not assigned an IRCS operating with a mothership whose IRCS is 
    JCZM; JANP-1 would be displayed by a pair trawler not assigned an IRCS 
    operating with a trawler whose IRCS is JANP.)
        (3) The vessel identification must be in a color in contrast to the 
    background and must be permanently affixed to the FFV in block Roman 
    alphabet letters and Arabic numerals at least 1 m in height for FFV's 
    over 20 m in length, and at least 0.5 m in height for all other FFV's.
        (b) Navigational lights and shapes. Each FFV must display the 
    lights and shapes prescribed by the International Regulations for 
    Preventing Collisions at Sea, 1972 (TIAS 8587, and 1981 amendment TIAS 
    10672), for the activity in which the FFV is engaged (as described at 
    33 CFR part 81).
        (c) Gear identification. (1) The operator of each FFV must ensure 
    that all deployed fishing gear that is not physically and continuously 
    attached to an FFV:
        (i) Is clearly marked at the surface with a buoy displaying the 
    vessel identification of the FFV (see paragraph (a) of this section) to 
    which the gear belongs.
        (ii) Has attached a light visible for 2 nautical miles (3.70 km) at 
    night in good visibility.
        (iii) Has a radio buoy.
        Trawl codends passed from one vessel to another are considered 
    continuously attached gear and are not required to be marked.
        (2) The operator of each FFV must ensure that deployed longlines, 
    strings of traps or pots, and gillnets are marked at the surface at 
    each terminal end with: (see paragraphs (c)(1)(i) through (c)(1)(iii) 
    of this section).
        (3) Additional requirements may be specified for the fishery in 
    which the vessel is engaged.
        (4) Unmarked or incorrectly identified fishing gear may be 
    considered abandoned and may be disposed of in accordance with 
    applicable Federal regulations by any authorized officer.
        (d) Maintenance. The operator of each FFV must--
        (1) Keep the vessel and gear identification clearly legible and in 
    good repair.
        (2) Ensure that nothing on the FFV obstructs the view of the 
    markings from an enforcement vessel or aircraft.
        (3) Ensure that the proper navigational lights and shapes are
    
    [[Page 32561]]
    
    displayed for the FFV's activity and are properly functioning.
    
    
    Sec. 600.504  Facilitation of enforcement.
    
        (a) General. (1) The owner, operator, or any person aboard any FFV 
    subject to this subpart must immediately comply with instructions and 
    signals issued by an authorized officer to stop the FFV; to move the 
    FFV to a specified location; and to facilitate safe boarding and 
    inspection of the vessel, its gear, equipment, records, and fish and 
    fish products on board for purposes of enforcing the Magnuson Act and 
    this subpart.
        (2) The operator of each FFV must provide vessel position or other 
    information when requested by an authorized officer within the time 
    specified in the request.
        (b) Communications equipment. (1) Each FFV must be equipped with a 
    VHF-FM radiotelephone station located so that it may be operated from 
    the wheelhouse. Each operator must maintain a continuous listening 
    watch on channel 16 (156.8 mHz).
        (2) Each FFV must be equipped with a radiotelephone station capable 
    of communicating via 2182 kHz (SSB) radiotelephony and at least one set 
    of working frequencies identified in table 3 to Sec. 600.502 
    appropriate to the fishery in which the FFV is operating. Each operator 
    must monitor and be ready to communicate via 2182 kHz (SSB) 
    radiotelephone each day from 0800 GMT to 0830 GMT and 2000 to 2030 GMT, 
    and in preparation for boarding.
        (3) FFV's that are not equipped with processing facilities and that 
    deliver all catches to a foreign processing vessel are exempt from the 
    requirements of paragraph (b)(2) of this section.
        (4) FFV's with no IRCS that do not catch fish and are used as 
    auxiliary vessels to handle codends, nets, equipment, or passengers for 
    a processing vessel are exempt from the requirements of paragraphs 
    (b)(1) and (b)(2) of this section.
        (5) The appropriate Regional Director, with the agreement of the 
    appropriate USCG commander, may, upon request by a foreign nation, 
    accept alternatives to the radio requirements of this section to 
    certain FFV's or types of FFV's operating in a fishery, provided they 
    are adequate for the communications needs of the fishery.
        (c) Communications procedures. (1) Upon being approached by a USCG 
    vessel or aircraft, or other vessel or aircraft with an authorized 
    officer aboard, the operator of any FFV subject to this subpart must be 
    alert for communications conveying enforcement instructions. The 
    enforcement unit may communicate by channel 16 VHF-FM radiotelephone, 
    2182 kHz (SSB) radiotelephone, message block from an aircraft, flashing 
    light or flag signals from the International Code of Signals, hand 
    signal, placard, loudhailer, or other appropriate means. The following 
    signals, extracted from the International Code of Signals, are among 
    those that may be used.
        (i) ``AA, AA, AA, etc.'', which is the call for an unknown station. 
    The signaled vessel should respond by identifying itself or by 
    illuminating the vessel identification required by Sec. 600.505.
        (ii) ``RY-CY'', meaning ``You should proceed at slow speed, a boat 
    is coming to you''.
        (iii) ``SQ3'', meaning ``You should stop or heave to; I am going to 
    board you''.
        (iv) ``L'', meaning ``You should stop your vessel instantly.''
        (2) Failure of an FFV's operator to stop the vessel when directed 
    to do so by an authorized officer using VHF-FM radiotelephone (channel 
    16), 2182 kHz (SSB) radiotelephone (where required), message block from 
    an aircraft, flashing light signal, flaghoist, or loudhailer 
    constitutes a violation of this subpart.
        (3) The operator of or any person aboard an FFV who does not 
    understand a signal from an enforcement unit and who is unable to 
    obtain clarification by radiotelephone or other means must consider the 
    signal to be a command to stop the FFV instantly.
        (d) Boarding. The operator of an FFV signaled for boarding must--
        (1) Monitor 2182 kHz (SSB) radiotelephone and channel 16 (156.8 
    mHz) VHF-FM radiotelephone.
        (2) Stop immediately and lay to or maneuver in such a way as to 
    maintain the safety of the FFV and facilitate boarding by the 
    authorized officer and the boarding party or an observer.
        (3) Provide the authorized officer, boarding party, or observer a 
    safe pilot ladder. The operator must ensure the pilot ladder is 
    securely attached to the FFV and meets the construction requirements of 
    Regulation 17, Chapter V of the International Convention for the Safety 
    of Life at Sea (SOLAS), 1974 (TIAS 9700 and 1978 Protocol, TIAS 10009), 
    or a substantially equivalent national standard approved by letter from 
    the Assistant Administrator, with agreement with the USCG. Safe pilot 
    ladder standards are summarized below:
        (i) The ladder must be of a single length of not more than 9 m (30 
    ft), capable of reaching the water from the point of access to the FFV, 
    accounting for all conditions of loading and trim of the FFV and for an 
    adverse list of 15 deg.. Whenever the distance from sea level to the 
    point of access to the ship is more than 9 m (30 ft), access must be by 
    means of an accommodation ladder or other safe and convenient means.
        (ii) The steps of the pilot ladder must be--
        (A) Of hardwood, or other material of equivalent properties, made 
    in one piece free of knots, having an efficient non-slip surface; the 
    four lowest steps may be made of rubber of sufficient strength and 
    stiffness or of other suitable material of equivalent characteristics.
        (B) Not less than 480 mm (19 inches) long, 115 mm (4.5 inches) 
    wide, and 25 mm (1 inch) in depth, excluding any non-slip device.
        (C) Equally spaced not less than 300 millimeters (12 inches) nor 
    more than 380 mm (15 inches) apart and secured in such a manner that 
    they will remain horizontal.
        (iii) No pilot ladder may have more than two replacement steps that 
    are secured in position by a method different from that used in the 
    original construction of the ladder.
        (iv) The side ropes of the ladder must consist of two uncovered 
    manila ropes not less than 60 mm (2.25 inches) in circumference on each 
    side (or synthetic ropes of equivalent size and equivalent or greater 
    strength). Each rope must be continuous, with no joints below the top 
    step.
        (v) Battens made of hardwood, or other material of equivalent 
    properties, in one piece and not less than 1.80 m (5 ft 10 inches) long 
    must be provided at such intervals as will prevent the pilot ladder 
    from twisting. The lowest batten must be on the fifth step from the 
    bottom of the ladder and the interval between any batten and the next 
    must not exceed nine steps.
        (vi) Where passage onto or off the ship is by means of a bulwark 
    ladder, two handhold stanchions must be fitted at the point of boarding 
    or leaving the FFV not less than 0.70 m (2 ft 3 inches) nor more than 
    0.80 m (2 ft 7 inches) apart, not less than 40 mm (2.5 inches) in 
    diameter, and must extend not less than 1.20 m (3 ft 11 inches) above 
    the top of the bulwark.
        (4) When necessary to facilitate the boarding or when requested by 
    an authorized officer or observer, provide a manrope, safety line, and 
    illumination for the ladder; and
        (5) Take such other actions as necessary to ensure the safety of 
    the authorized officer and the boarding party and to facilitate the 
    boarding and inspection.
        (e) Access and records. (1) The owner and operator of each FFV must 
    provide
    
    [[Page 32562]]
    
    authorized officers access to all spaces where work is conducted or 
    business papers and records are prepared or stored, including but not 
    limited to, personal quarters and areas within personal quarters.
        (2) The owner and operator of each FFV must provide to authorized 
    officers all records and documents pertaining to the fishing activities 
    of the vessel, including but not limited to, production records, 
    fishing logs, navigation logs, transfer records, product receipts, 
    cargo stowage plans or records, draft or displacement calculations, 
    customs documents or records, and an accurate hold plan reflecting the 
    current structure of the vessel's storage and factory spaces.
        (f) Product storage. The operator of each permitted FFV storing 
    fish or fish products in a storage space must ensure that all non-fish 
    product items are neither stowed beneath nor covered by fish products, 
    unless required to maintain the stability and safety of the vessel. 
    These items include, but are not limited to, portable conveyors, 
    exhaust fans, ladders, nets, fuel bladders, extra bin boards, or other 
    movable non-product items. These items may be in the space when 
    necessary for safety of the vessel or crew or for storage of the 
    product. Lumber, bin boards, or other dunnage may be used for shoring 
    or bracing of product to ensure safety of crew and to prevent shifting 
    of cargo within the space.
    
    
    Sec. 600.505  Prohibitions.
    
        (a) It is unlawful for any person to do any of the following:
        (1) Ship, transport, offer for sale, sell, purchase, import, 
    export, or have custody, control, or possession of any fish taken or 
    retained in violation of the Magnuson Act, the applicable GIFA, this 
    subpart, or any permit issued under this subpart;
        (2) Refuse to allow an authorized officer to board an FFV for 
    purposes of conducting any search or inspection in connection with the 
    enforcement of the Magnuson Act, the applicable GIFA, this subpart, or 
    any other permit issued under this subpart;
        (3) Assault, resist, oppose, impede, intimidate, or interfere with 
    any authorized officer in the conduct of any inspection or search 
    described in paragraph (a)(2) of this section;
        (4) Resist a lawful arrest for any act prohibited by the Magnuson 
    Act, the applicable GIFA, this subpart, or any permit issued under this 
    subpart;
        (5) Interfere with, delay, or prevent by any means the apprehension 
    or arrest of another person with the knowledge that such other person 
    has committed any act prohibited by the Magnuson Act, the applicable 
    GIFA, this subpart, or any permit issued under this subpart;
        (6) Interfere with, obstruct, delay, oppose, impede, intimidate, or 
    prevent by any means any boarding, investigation or search, wherever 
    conducted, in the process of enforcing the Magnuson Act, the applicable 
    GIFA, this subpart, or any permit issued under this subpart;
        (7) Engage in any fishing activity for which the FFV does not have 
    a permit as required under Sec. 600.501;
        (8) Engage in any fishing activity within the EEZ without a U.S. 
    observer aboard the FFV, unless the requirement has been waived by the 
    appropriate Regional Director;
        (9) Retain or attempt to retain within the EEZ, directly or 
    indirectly, any U.S. harvested fish, unless the FFV has a permit for 
    Activity Codes 4 or 6.
        (10) Use any fishing vessel to engage in fishing after the 
    revocation, or during the period of suspension, of an applicable permit 
    issued under this subpart;
        (11) Violate any provision of the applicable GIFA;
        (12) Falsely or incorrectly complete (including by omission) a 
    permit application or permit form as specified in Sec. 600.501 (d) and 
    (k);
        (13) Fail to report to the Assistant Administrator within 15 days 
    any change in the information contained in the permit application for a 
    FFV, as specified in Sec. 600.501(k);
        (14) Assault, resist, oppose, impede, intimidate, or interfere with 
    an observer placed aboard an FFV under this subpart;
        (15) Interfere with or bias the sampling procedure employed by an 
    observer, including sorting or discarding any catch prior to sampling, 
    unless the observer has stated that sampling will not occur; or tamper 
    with, destroy, or discard an observer's collected samples, equipment, 
    records, photographic film, papers, or effects without the express 
    consent of the observer;
        (16) Prohibit or bar by command, impediment, threat, coercion, or 
    refusal of reasonable assistance, an observer from collecting samples, 
    conducting product recovery rate determinations, making observations, 
    or otherwise performing the observer's duties;
        (17) Harass or sexually harass an authorized officer or observer;
        (18) Fail to provide the required assistance to an observer as 
    described at Sec. 600.506 (c) and (e);
        (19) Fail to identify, falsely identify, fail to properly maintain, 
    or obscure the identification of the FFV or its gear as required by 
    this subpart;
        (20) Falsify or fail to make, keep, maintain, or submit any record 
    or report required by this subpart;
        (21) Fail to return to the sea or fail to otherwise treat 
    prohibited species as required by this subpart;
        (22) Fail to report or falsely report any gear conflict;
        (23) Fail to report or falsely report any loss, jettisoning, or 
    abandonment of fishing gear or other article into the EEZ that might 
    interfere with fishing, obstruct fishing gear or vessels, or cause 
    damage to any fishery resource or marine mammals;
        (24) Continue Activity Codes 1 through 4 after those activity codes 
    have been canceled under Sec. 600.511;
        (25) Fail to maintain health and safety standards set forth in 
    Sec. 600.506(d);
        (26) Violate any provisions of regulations for specific fisheries 
    of this subpart;
        (27) On a scientific research vessel, engage in fishing other than 
    recreational fishing authorized by applicable state, territorial, or 
    Federal regulations;
        (28) Violate any provision of this subpart, the Magnuson Act, the 
    applicable GIFA, any notice issued under this subpart or any permit 
    issued under this subpart; or
        (29) Attempt to do any of the foregoing.
        (b) It is unlawful for any FFV, and for the owner or operator of 
    any FFV except an FFV engaged only in recreational fishing, to fish--
        (1) Within the boundaries of any state, unless the fishing is 
    authorized by the Governor of that state as permitted by section 306(c) 
    of the Magnuson Act to engage in a joint venture for processing and 
    support with U.S. fishing vessels in the internal waters of that state; 
    or
        (2) Within the EEZ, or for any anadromous species or continental 
    shelf fishery resources beyond the EEZ, unless the fishing is 
    authorized by, and conducted in accordance with, a valid permit issued 
    under Sec. 600.501.
    
    
    Sec. 600.506   Observers.
    
        (a) General. To carry out such scientific, compliance monitoring, 
    and other functions as may be necessary or appropriate to carry out the 
    purposes of the Magnuson Act, the appropriate Regional or Science and 
    Research Director (see table 2 to Sec. 600.502) may assign U.S. 
    observers to FFV's. Except as provided for in section 201(i)(2) of the 
    Magnuson Act, no FFV may conduct fishing operations within the EEZ 
    unless a U.S. observer is aboard.
        (b) Effort plan. To ensure the availability of an observer as 
    required by this section, the owners and operators of FFV's wanting to 
    fish within the EEZ
    
    [[Page 32563]]
    
    will submit to the appropriate Regional Director or Science and 
    Research Director; and also to the Chief, Office of Enforcement, NMFS, 
    Silver Spring, MD, a schedule of fishing effort 30 days prior to the 
    beginning of each quarter. A quarter is a time period of 3 consecutive 
    months beginning January 1, April 1, July 1, and October 1 of each 
    year. The schedule will contain the name and IRCS of each FFV intending 
    to fish within the EEZ during the upcoming quarter, and each FFV's 
    expected date of arrival and expected date of departure.
        (1) The appropriate Regional or Science and Research Director must 
    be notified immediately of any substitution of vessels or any 
    cancellation of plans to fish in the EEZ for FFV's listed in the effort 
    plan required by this section.
        (2) If an arrival date of an FFV will vary more than 5 days from 
    the date listed in the quarterly schedule, the appropriate Regional or 
    Science and Research Director must be notified at least 10 days in 
    advance of the rescheduled date of arrival. If the notice required by 
    this paragraph (b)(2) is not given, the FFV may not engage in fishing 
    until an observer is available and has been placed aboard the vessel or 
    the requirement has been waived by the appropriate Regional or Science 
    and Research Director.
        (c) Assistance to observers. To assist the observer in the 
    accomplishment of his or her assigned duties, the owner and operator of 
    an FFV to which an observer is assigned must--
        (1) Provide, at no cost to the observer or the United States, 
    accommodations for the observer aboard the FFV that are equivalent to 
    those provided to the officers of that vessel.
        (2) Cause the FFV to proceed to such places and at such times as 
    may be designated by the appropriate Regional or Science and Research 
    Director for the purpose of embarking and debarking the observer.
        (3) Allow the observer to use the FFV's communications equipment 
    and personnel upon demand for the transmission and receipt of messages.
        (4) Allow the observer access to and use of the FFV's navigation 
    equipment and personnel upon demand to determine the vessel's position.
        (5) Allow the observer free and unobstructed access to the FFV's 
    bridge, trawl, or working decks, holding bins, processing areas, 
    freezer spaces, weight scales, cargo holds and any other space that may 
    be used to hold, process, weigh, or store fish or fish products at any 
    time.
        (6) Allow the observer to inspect and copy the FFV's daily log, 
    communications log, transfer log, and any other log, document, notice, 
    or record required by these regulations.
        (7) Provide the observer copies of any records required by these 
    regulations upon demand.
        (8) Notify the observer at least 15 minutes before fish are brought 
    on board or fish or fish products are transferred from the FFV to allow 
    sampling the catch or observing the transfer, unless the observer 
    specifically requests not to be notified.
        (9) Provide all other reasonable assistance to enable the observer 
    to carry out his or her duties.
        (d) Health and safety standards. All foreign fishing vessels to 
    which an observer is deployed must maintain, at all times that the 
    vessel is in the EEZ, the following:
        (1) At least one working radar.
        (2) Functioning navigation lights as required by international law.
        (3) A watch on the bridge by appropriately trained and experienced 
    personnel while the vessel is underway.
        (4) Lifeboats and/or inflatable life rafts with a total carrying 
    capacity equal to or greater than the number of people aboard the 
    vessel. Lifeboats and inflatable life rafts must be maintained in good 
    working order and be readily available.
        (5) Life jackets equal or greater in number to the total number of 
    persons aboard the vessel. Life jackets must be stowed in readily 
    accessible and plainly marked positions throughout the vessel, and 
    maintained in a state of good repair.
        (6) At least one ring life buoy for each 25 ft (7.6 m) of vessel 
    length, equipped with automatic water lights. Ring life buoys must have 
    an outside diameter of not more than 32 inches (81.3 cm) nor less than 
    30 inches (76.2 cm), and must be maintained in a state of good repair. 
    Ring life buoys must be readily available, but not positioned so they 
    pose a threat of entanglement in work areas. They must be secured in 
    such a way that they can be easily cast loose in the event of an 
    emergency.
        (7) At least one VHF-FM radio with a functioning channel 16 (156.8 
    mHz), International Distress, Safety and Calling Frequency, and one 
    functioning AM radio (SSB-Single Side Band) capable of operating at 
    2182 kHz (SSB). Radios will be maintained in a radio room, chartroom, 
    or other suitable location.
        (8) At least one Emergency Position Indicating Radio Beacon 
    (EPIRB), approved by the USCG for offshore commercial use, stowed in a 
    location so as to make it readily available in the event of an 
    emergency.
        (9) At least six hand-held, rocket-propelled, parachute, red-flare 
    distress signals, and three orange-smoke distress signals stowed in the 
    pilothouse or navigation bridge in portable watertight containers.
        (10) All lights, shapes, whistles, foghorns, fog bells and gongs 
    required by and maintained in accordance with the International 
    Regulations for Preventing Collisions at Sea.
        (11) Clean and sanitary conditions in all living spaces, food 
    service and preparation areas and work spaces aboard the vessel.
        (e) Observer transfers. (1) The operator of the FFV must ensure 
    that transfers of observers at sea via small boat or raft are carried 
    out during daylight hours as weather and sea conditions allow, and with 
    the agreement of the observer involved. The FFV operator must provide 
    the observer 3 hours advance notice of at-sea transfers, so that the 
    observer may collect personal belongings, equipment, and scientific 
    samples.
        (2) The FFV's involved must provide a safe pilot ladder and conduct 
    the transfer according to the procedures of Sec. 600.504(d) to ensure 
    the safety of the during the transfer.
        (3) An experienced crew member must assist the observer in the 
    small boat or raft in which the transfer is made.
        (f) Supplementary observers. In the event funds are not available 
    from Congressional appropriations of fees collected to assign an 
    observer to a foreign fishing vessel, the appropriate Regional or 
    Science and Research Director will assign a supplementary observer to 
    that vessel. The costs of supplementary observers will be paid for by 
    the owners and operators of foreign fishing vessels as provided for in 
    paragraph (h) of this section.
        (g) Supplementary observer authority and duties. (1) A 
    supplementary observer aboard a foreign fishing vessel has the same 
    authority and must be treated in all respects as an observer who is 
    employed by NMFS, either directly or under contract.
        (2) The duties of supplementary observers and their deployment and 
    work schedules will be specified by the appropriate Regional or Science 
    and Research Director.
        (3) All data collected by supplementary observers will be under the 
    exclusive control of the Assistant Administrator.
        (h) Supplementary observer payment--(1) Method of payment. The 
    owners and operators of foreign fishing vessels must pay directly to 
    the contractor the costs of supplementary observer coverage. Payment 
    must be made to the contractor supplying
    
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    supplementary observer coverage either by letter of credit or certified 
    check drawn on a federally chartered bank in U.S. dollars, or other 
    financial institution acceptable to the contractor. The letter of 
    credit used to pay supplementary observer fees to contractors must be 
    separate and distinct from the letter of credit required by 
    Sec. 600.518(b)(2). Billing schedules will be specified by the terms of 
    the contract between NOAA and the contractors. Billings for 
    supplementary observer coverage will be approved by the appropriate 
    Regional or Science and Research Director and then transmitted to the 
    owners and operators of foreign fishing vessels by the appropriate 
    designated representative. Each country will have only one designated 
    representative to receive observer bills for all vessels of that 
    country, except as provided for by the Assistant Administrator. All 
    bills must be paid within 10 working days of the billing date. Failure 
    to pay an observer bill will constitute grounds to revoke fishing 
    permits. All fees collected under this section will be considered 
    interim in nature and subject to reconciliation at the end of the 
    fiscal year in accordance with paragraph (h)(4) of this section and 
    Sec. 600.518(d).
        (2) Contractor costs. The costs charged for supplementary observer 
    coverage to the owners and operators of foreign fishing vessels may not 
    exceed the costs charged to NMFS for the same or similar services, 
    except that contractors may charge to the owners and operators of 
    foreign fishing vessels an additional fee to cover the administrative 
    costs of the program not ordinarily part of contract costs charged to 
    NMFS. The costs charged foreign fishermen for supplementary observers 
    may include, but are not limited to the following:
        (i) Salary and benefits, including overtime, for supplementary 
    observers.
        (ii) The costs of post-certification training required by paragraph 
    (j)(2) of this section.
        (iii) The costs of travel, transportation, and per diem associated 
    with deploying supplementary observers to foreign fishing vessels 
    including the cost of travel, transportation, and per diem from the 
    supplementary observer's post of duty to the point of embarkation to 
    the foreign fishing vessel, and then from the point of disembarkation 
    to the post of duty from where the trip began. For the purposes of 
    these regulations, the appropriate Regional or Science and Research 
    Director will designate posts of duty for supplementary observers.
        (iv) The costs of travel, transportation, and per diem associated 
    with the debriefing following deployment of a supplementary observer by 
    NMFS officials.
        (v) The administrative and overhead costs incurred by the 
    contractor and, if appropriate, a reasonable profit.
        (3) NMFS costs. The owners and operators of foreign fishing vessels 
    must also pay to NMFS as part of the surcharge required by section 
    201(i)(4) of the Magnuson Act, the following costs:
        (i) The costs of certifying applicants for the position of 
    supplementary observer.
        (ii) The costs of any equipment, including safety equipment, 
    sampling equipment, operations manuals, or other texts necessary to 
    perform the duties of a supplementary observer. The equipment will be 
    specified by the appropriate Regional or Science and Research Director 
    according to the requirements of the fishery to which the supplementary 
    observer will be deployed.
        (iii) The costs associated with communications with supplementary 
    observers for transmission of data and routine messages.
        (iv) For the purposes of monitoring the supplementary observer 
    program, the costs for the management and analysis of data.
        (v) The costs for data editing and entry.
        (vi) Any costs incurred by NMFS to train, deploy or debrief a 
    supplementary observer.
        (vii) The cost for U.S. Customs inspection for supplementary 
    observers disembarking after deployment.
        (4) Reconciliation. Fees collected by the contractor in excess of 
    the actual costs of supplementary observer coverage will be refunded to 
    the owners and operators of foreign fishing vessels, or kept on deposit 
    to defray the costs of future supplementary observer coverage. Refunds 
    will be made within 60 days after final costs are determined and 
    approved by NMFS.
        (i) Supplementary observer contractors--(1) Contractor eligibility. 
    Supplementary observers will be obtained by NMFS from persons or firms 
    having established contracts to provide NMFS with observers. In the 
    event no such contract is in place, NMFS will use established, 
    competitive contracting procedures to select persons or firms to 
    provide supplementary observers. The services supplied by the 
    supplementary observer contractors will be as described within the 
    contract and as specified below.
        (2) Supplementary observer contractors must submit for the approval 
    of the Assistant Administrator the following:
        (i) A copy of any contract, including all attachments, amendments, 
    and enclosures thereto, between the contractor and the owners and 
    operators of foreign fishing vessels for whom the contractor will 
    provide supplementary observer services.
        (ii) All application information for persons whom the contractor 
    desires to employ as certified supplementary observers.
        (iii) Billing schedules and billings to the owners and operators of 
    foreign fishing vessels for further transmission to the designated 
    representative of the appropriate foreign nation.
        (iv) All data on costs.
        (j) Supplementary observers--certification, training--(1) 
    Certification. The appropriate Regional or Science and Research 
    Director will certify persons as qualified for the position of 
    supplementary observer once the following conditions are met:
        (i) The candidate is a citizen or national of the United States.
        (ii) The candidate has education or experience equivalent to the 
    education or experience required of persons used as observers by NMFS 
    as either Federal personnel or contract employees. The education and 
    experience required for certification may vary according to the 
    requirements of managing the foreign fishery in which the supplementary 
    observer is to be deployed. Documentation of U.S. citizenship or 
    nationality, and education or experience will be provided from personal 
    qualification statements on file with NMFS contractors who provide 
    supplementary observer services, and will not require the submission of 
    additional information to NMFS.
        (2) Training. Prior to deployment to foreign fishing vessels, 
    certified supplementary observers must also meet the following 
    conditions:
        (i) Each certified supplementary observer must satisfactorily 
    complete a course of training approved by the appropriate Regional or 
    Science and Research Director as equivalent to that received by persons 
    used as observers by NMFS as either Federal personnel or contract 
    employees. The course of training may vary according to the foreign 
    fishery in which the supplementary observer is to be deployed.
        (ii) Each certified supplementary observer must agree in writing to 
    abide by standards of conduct as set forth in Department of Commerce 
    Administrative Order 202-735 (as provided by the contractor).
    
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        (k) Supplementary observer certification suspension or revocation. 
    (1) Certification of a supplementary observer may be suspended or 
    revoked by the Assistant Administrator under the following conditions:
        (i) A supplementary observer fails to perform the duties specified 
    in paragraph (g)(2) of this section.
        (ii) A supplementary observer fails to abide by the standards of 
    conduct described by Department of Commerce Administrative Order 202-
    735.
        (2) The suspension or revocation of the certification of a 
    supplementary observer by the Assistant Administrator may be based on 
    the following:
        (i) Boarding inspection reports by authorized officers of the USCG 
    or NMFS, or other credible information, that indicate a supplementary 
    observer has failed to abide by the established standards of conduct; 
    or
        (ii) An analysis by NMFS of the data collected by a supplementary 
    observer indicating improper or incorrect data collection or recording. 
    The failure to properly collect or record data is sufficient to justify 
    decertification of supplementary observers; no intent to defraud need 
    be demonstrated.
        (3) The Assistant Administrator will notify the supplementary 
    observer, in writing, of the Assistant Administrator's intent to 
    suspend or revoke certification, and the reasons therefor, and provide 
    the supplementary observer a reasonable opportunity to respond. If the 
    Assistant Administrator determines that there are disputed questions of 
    material fact, then the Assistant Administrator may in this respect 
    appoint an examiner to make an informal fact-finding inquiry and 
    prepare a report and recommendations.
    
    
    Sec. 600.507  Recordkeeping.
    
        (a) General. The owner and operator of each FFV must maintain 
    timely and accurate records required by this section as modified by the 
    regulations for the fishery in which the FFV is engaged.
        (1) The owner and operator of each FFV must maintain all required 
    records in English, based on Greenwich mean time (GMT) unless otherwise 
    specified in the regulation, and make them immediately available for 
    inspection upon the request of an authorized officer or observer.
        (2) The owner and operator of each FFV must retain all required 
    records on board the FFV whenever it is in the EEZ, for 3 years after 
    the end of the permit period.
        (3) The owner and operator of each FFV must retain the required 
    records and make them available for inspection upon the request of an 
    authorized officer at any time during the 3 years after the end of the 
    permit period, whether or not such records are on board the vessel.
        (4) The owner and operator of each FFV must provide to the 
    Assistant Administrator, in the form and at the times prescribed, any 
    other information requested that the Assistant Administrator determines 
    is necessary to fulfill the fishery conservation, management and 
    enforcement purposes of the Magnuson Act.
        (b) Communications log. The owner and operator of each FFV must 
    record in a separate communications log, at the time of transmittal, 
    the time and content of each notification made under Sec. 600.504.
        (c) Transfer log. Except for the transfer of unsorted, unprocessed 
    fish via codend from a catching vessel to a processing vessel (Activity 
    Code 2 or 4), the owner and operator of each FFV must record, in a 
    separate transfer log, each transfer or receipt of any fish or fishery 
    product, including quantities transferred or offloaded outside the EEZ. 
    The operator must record in the log within 12 hours of the completion 
    of the transfer:
        (1) The time and date (GMT) and location (in geographic 
    coordinates) the transfer began and was completed.
        (2) The product weight, by species and product (use species and 
    product codes), of all fish transferred, to the nearest 0.01 mt.
        (3) The name, IRCS, and permit number of both the FFV offloading 
    the fish and the FFV receiving the fish.
        (d) Daily fishing log. (1) The owner or operator of each FFV 
    authorized to catch fish (Activity Code 1) must maintain a daily 
    fishing log of the effort, catch and production of the FFV, as modified 
    by paragraph (d)(2) of this section and the regulations for the fishery 
    in which the FFV is engaged. The operator must maintain on a daily and 
    cumulative basis for the permit period a separate log for each fishery 
    (see table 2 to Sec. 600.502) in which the FFV is engaged according to 
    this section and in the format specified in the instructions provided 
    with the permit or other format authorized under paragraph (i) of this 
    section. Daily effort entries are required for each day the vessel 
    conducts fishing operations within the EEZ. Daily entries are not 
    required whenever the FFV is in port or engaged in a joint venture in 
    the internal waters of a state. Each page of log may contain entries 
    pertaining to only one day's fishing operations or one gear set, 
    whichever is longer.
        (2) The owner or operator of each FFV authorized to catch fish 
    (Activity Code 1) and that delivers all catches to a processing vessel, 
    must maintain only ``SECTION ONE-EFFORT'', of the daily fishing log, 
    provided the processing vessel maintains a daily consolidated fishing 
    log as described in paragraphs (f) and (g) of this section.
        (e) Daily fishing log--contents. The daily fishing log must contain 
    the following information, as modified by paragraph (d)(2) of this 
    section and the regulations for the fishery in which the FFV is 
    engaged, and be completed according to the format and instructions 
    provided with the permit or other format authorized under paragraph (i) 
    of this section.
        (1) ``SECTION ONE-EFFORT'' must contain on a daily basis--
        (i) A consecutive page number, beginning with the first day the 
    vessel started fishing operations within the EEZ and continuing 
    throughout the log.
        (ii) The date (based on GMT).
        (iii) The FFV's name.
        (iv) The FFV's IRCS.
        (v) The FFV's U.S. permit number.
        (vi) The FFV's noon (1200 GMT) position in geographic coordinates.
        (vii) The master or operator's signature or title.
        (2) ``SECTION ONE-EFFORT'' must contain, for each trawl or set, as 
    appropriate to the gear type employed--
        (i) The consecutive trawl or set number, beginning with the first 
    set of the calendar year.
        (ii) The fishing area in which the trawl or set was completed.
        (iii) The gear type.
        (iv) The time the gear was set.
        (v) The position of the set.
        (vi) The course of the set.
        (vii) The sea depth.
        (viii) The depth of the set.
        (ix) The duration of the set.
        (x) The hauling time.
        (xi) The position of the haul.
        (xii) The number of pots or longline units (where applicable).
        (xiii) The average number of hooks per longline unit (where 
    applicable).
        (xiv) The trawl speed (where applicable).
        (xv) The mesh size of the trawl's codend (where applicable).
        (xvi) The estimated total weight of the catch for the trawl of set, 
    to at least the nearest metric ton round weight.
        (3) ``SECTION TWO-CATCH'' must contain, for each trawl or set--
        (i) The consecutive set or trawl number from ``SECTION ONE''.
        (ii) The catch of each allocated species or species group to at 
    least the nearest 0.1 mt round weight.
        (iii) The prohibited species catch to at least the nearest 0.1 mt 
    round weight or by number, as required by the
    
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    regulations for the fishery in which the FFV is engaged.
        (iv) The species code of each marine mammal caught and its 
    condition when released.
        (4) ``SECTION TWO-CATCH'' must contain, on a daily basis--
        (i) The species codes for all allocated or prohibited species or 
    species groups caught.
        (ii) For each allocated species--the amount, to at least the 
    nearest 0.1 mt, and the daily disposition, either processed for human 
    consumption, used for fishmeal, or discarded; the daily catch by 
    fishing area; the daily catch for all fishing areas; and the cumulative 
    total catch.
        (iii) For the total catch of allocated species--the amount to at 
    least the nearest 0.1 mt and the daily disposition, daily total catch 
    by fishing area, daily total catch for all fishing areas, and 
    cumulative total catch.
        (iv) The catch by fishing area, daily total, and cumulative total 
    of each prohibited species.
        (5) ``SECTION THREE--PRODUCTION'' must contain, on a daily basis, 
    for each allocated species caught and product produced--
        (i) The product by species code and product type.
        (ii) The daily product recovery rate of each species and product.
        (iii) The daily total product produced by species to at least the 
    nearest 0.01 mt.
        (iv) The cumulative total of each product to at least the nearest 
    0.01 mt.
        (v) The cumulative amount of product transferred.
        (vi) The balance of product remaining aboard the FFV.
        (vii) The total daily amount, cumulative amount, transferred 
    product and balance of frozen product aboard the FFV to the nearest 
    0.01 mt.
        (viii) Transferred amount and balance of fishmeal and fish oil 
    aboard to at least the nearest 0.01 mt.
        (f) Daily consolidated fishing or joint venture log. The operator 
    of each FFV that receives unsorted, unprocessed fish from foreign 
    catching vessels (Activity Code 2) for processing or receives U.S.-
    harvested fish from U.S. fishing vessels in a joint venture (Activity 
    Code 4) must maintain a daily joint venture log of the effort, catch 
    and production of its associated U.S. or foreign fishing vessels and 
    the processing vessel as modified by the regulations for the fishery in 
    which the FFV is engaged. This log is separate and in addition to the 
    log required by paragraph (d) of this section. The operator must 
    maintain a separate log for each fishery in which the FFV is engaged, 
    on a daily and cumulative basis, according to this section and in the 
    format specified in the instructions provided with the permit or other 
    format authorized under paragraph (i) of this section. Receipts of fish 
    caught outside the EEZ must be included. Each page of the log may 
    contain entries pertaining to only one day's fishing operations.
        (g) Daily joint venture log--contents. Daily joint venture logs 
    must contain the following information, as modified by the fishery in 
    which the vessel is engaged, and be completed according to the format 
    and instructions provided with the permit or other format authorized 
    under paragraph (i) of this section.
        (1) ``SECTION ONE-EFFORT'' must contain, on a daily basis, that 
    information required in paragraph (e)(1) of this section.
        (2) ``SECTION ONE-EFFORT'' must contain for each receipt of a 
    codend--
        (i) The consecutive codend number, beginning with the first codend 
    received for the calendar year.
        (ii) The name of the U.S. fishing vessel or the name and IRCS of 
    the foreign fishing vessel the codend was received from.
        (iii) The fishing area where the codend was received.
        (iv) The time the codend was received.
        (v) The position the codend was received.
        (vi) The estimated weight of the codend to at least the nearest 
    metric ton round weight.
        (3) ``SECTION TWO-CATCH'' must contain, for each codend received--
        (i) The consecutive codend number from ``SECTION ONE''.
        (ii) The receipts of each authorized species or species group and 
    its disposition, either processed for human consumption, used for 
    fishmeal, discarded, or returned to the U.S. fishing vessel, to at 
    least the nearest 0.1 mt round weight.
        (iii) The estimated receipts of each prohibited species or species 
    group and its disposition, either discarded or returned to the U.S. 
    fishing vessel if authorized in the fishery in which the U.S. vessel is 
    engaged, to at least the nearest 0.1 mt round weight.
        (iv) The species code of each marine mammal received and its 
    condition when released.
        (4) ``SECTION TWO-CATCH'' must contain on a daily basis--
        (i) The species codes of all authorized or prohibited species or 
    species groups received.
        (ii) The daily disposition, as described in paragraph (g)(3)(ii) of 
    this section, daily total, and cumulative total receipts of each 
    authorized species or species groups.
        (iii) The daily disposition, daily total and cumulative total 
    receipts of all authorized species or species groups.
        (iv) The daily and cumulative total receipts of prohibited species 
    groups and their disposition as described in paragraph (g)(3)(iii) of 
    this section.
        (5) ``SECTION THREE--PRODUCTION'' must contain, on a daily basis, 
    for each authorized species or species group received and product 
    produced, that information required in paragraph (e)(5) of this 
    section.
        (h) Daily log maintenance. The logs required by paragraphs (e) 
    through (g) of this section must be maintained separately for each 
    fishery (see table 2 to Sec. 600.502).
        (1) The effort section (all of ``SECTION ONE'') of the daily logs 
    must be updated within 2 hours of the hauling or receipt time. The 
    catch or receipt by trawl or set (``SECTION TWO'') must be entered 
    within 12 hours of the hauling or receipt time. The daily and 
    cumulative total catch or receipts (``SECTION TWO'') and the production 
    portion (``SECTION THREE'') of the log must be updated within 12 hours 
    of the end of the day on which the catch was taken. The date of catch 
    is the day and time (GMT) the gear is hauled.
        (2) Entries for total daily and cumulative catch or receipt weights 
    (disposition ``C'' or ``M'') must be based on the most accurate method 
    available to the vessel, either scale round weights or factory weights 
    converted to round weights. Entries for daily and cumulative weights of 
    discarded or returned fish (disposition ``D'' or ``R'') must be based 
    on the most accurate method available to the vessel, either actual 
    count, scale round weight, or estimated deck weights. Entries for 
    product weights must be based on the number of production units (pans, 
    boxes, blocks, trays, cans, or bags) and the average weight of the 
    production unit, with reasonable allowances for water added. Allowances 
    for water added cannot exceed 5 percent of the unit weight. Product 
    weights cannot be based on the commercial or arbitrary wholesale weight 
    of the product, but must be based on the total actual weight of the 
    product as determined by representative samples.
        (3) The owner or operator must make all entries in indelible ink, 
    with corrections to be accomplished by lining out and rewriting, rather 
    than erasure.
        (i) Alternative log formats. As an alternative to the use of the 
    specific formats provided, a Nation may submit a proposed log format 
    for FFV's of that Nation for a general type of fishery operation in a 
    fishery (i.e., joint venture operations) to the appropriate Regional
    
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    Director and the USCG commander (see tables 1 and 2 to Sec. 600.502). 
    With the agreement of the USCG commander, the Regional Director may 
    authorize the use of that log format for vessels of the requesting 
    Nation.
    
    
    Sec. 600.508  Fishing operations.
    
        (a) Catching. Each FFV authorized for activity code 1 may catch 
    fish. An FFV may retain its catch of any species or species group for 
    which there is an unfilled national allocation. All fish caught will be 
    counted against the national allocation, even if the fish are 
    discarded, unless exempted by the regulations of the fishery in which 
    the FFV is engaged. Catching operations may be conducted as specified 
    by the regulations of the fishery in which the FFV is engaged and as 
    modified by the FFV's permit.
        (b) Scouting. Each FFV authorized for Activity Codes 1 through 6 
    may scout for fish. Scouting may be conducted only in the fisheries 
    area authorized by the scouting vessel's permit and under such other 
    circumstances as may be designated in this subpart or the permit.
        (c) Processing. Each FFV with Activity Code 1 or 2 may process 
    fish. Processing may only be conducted whenever and wherever catching 
    operations for FFV's of that Nation are permitted, whenever and 
    wherever joint venture operations are authorized by an FFV's permit 
    under Activity Code 4, and under such other circumstances as may be 
    designated in this subpart or the permit.
        (d) Support. Each FFV with Activity Codes 1, 2, 3, 5, or 8 may 
    support other permitted FFV's. Each FFV with Activity Codes 4 or 6 may 
    support U.S. vessels. Support operations may be conducted only in the 
    fisheries areas authorized by the supporting vessel's permit, and under 
    such other circumstances as may be designated in this subpart or the 
    permit.
        (e) Joint ventures. Each FFV with Activity Code 4 in addition to 
    Activity Codes 1 or 2 may also conduct operations with U.S. fishing 
    vessels. These joint venture operations with U.S. fishing vessels may 
    be conducted throughout the EEZ, and under such other circumstances as 
    may be designated in these regulations or the permit. FFV's with 
    activity code 4 may continue operations assisting U.S. fishing vessels, 
    despite closures under Sec. 600.511(a).
        (f) Each FFV authorized by the Governor of a state under section 
    306(c) of the Magnuson Act may engage in processing and support of U.S. 
    fishing vessels within the internal waters of that state in compliance 
    with terms and conditions set by the authorizing Governor.
    
    
    Sec. 600.509  Prohibited species.
    
        (a) The owner or operator of each FFV must minimize its catch or 
    receipt of prohibited species.
        (b) After allowing for sampling by an observer (if any), the owner 
    or operator of each FFV must sort its catch of fish received as soon as 
    possible and return all prohibited species and species parts to the sea 
    immediately with a minimum of injury, regardless of condition, unless a 
    different procedure is specified by the regulations for the fishery in 
    which the FFV is engaged. All prohibited species must be recorded in 
    the daily fishing log and other fishing logs as specified by the 
    regulations for the fishery in which the FFV is engaged.
        (c) All species of fish that an FFV has not been specifically 
    allocated or authorized under this subpart to retain, including fish 
    caught or received in excess of any allocation or authorization, are 
    prohibited species.
        (d) It is a rebuttable presumption that any prohibited species or 
    species part found on board an FFV was caught and retained in violation 
    of this section.
    
    
    Sec. 600.510  Gear avoidance and disposal.
    
        (a) Vessel and gear avoidance. (1) FFV's arriving on fishing 
    grounds where fishing vessels are already fishing or have set their 
    gear for that purpose must ascertain the position and extent of gear 
    already placed in the sea and must not place themselves or their 
    fishing gear so as to interfere with or obstruct fishing operations 
    already in progress. Vessels using mobile gear must avoid fixed fishing 
    gear.
        (2) The operator of each FFV must maintain on its bridge a current 
    plot of broadcast fixed-gear locations for the area in which it is 
    fishing, as required by the regulations for the fishery in which the 
    FFV is engaged.
        (b) Gear conflicts. The operator of each FFV that is involved in a 
    conflict or that retrieves the gear of another vessel must immediately 
    notify the appropriate USCG commander identified in tables 1 and 2 to 
    Sec. 600.502 and request disposal instructions. Each report must 
    include:
        (1) The name of the reporting vessel.
        (2) A description of the incident and articles retrieved, including 
    the amount, type of gear, condition, and identification markings.
        (3) The location of the incident.
        (4) The date and time of the incident.
        (c) Disposal of fishing gear and other articles. (1) The operator 
    of an FFV in the EEZ may not dump overboard, jettison or otherwise 
    discard any article or substance that may interfere with other fishing 
    vessels or gear, or that may catch fish or cause damage to any marine 
    resource, including marine mammals and birds, except in cases of 
    emergency involving the safety of the ship or crew, or as specifically 
    authorized by communication from the appropriate USCG commander or 
    other authorized officer. These articles and substances include, but 
    are not limited to, fishing gear, net scraps, bale straps, plastic 
    bags, oil drums, petroleum containers, oil, toxic chemicals or any 
    manmade items retrieved in an FFV's gear.
        (2) The operator of an FFV may not abandon fishing gear in the EEZ.
        (3) If these articles or substances are encountered, or in the 
    event of accidental or emergency placement into the EEZ, the vessel 
    operator must immediately report the incident to the appropriate USCG 
    Commander indicated in tables 1 and 2 to Sec. 600.502, and give the 
    information required in paragraph (b) of this section.
    
    
    Sec. 600.511  Fishery closure procedures.
    
        (a) Activity Codes 1 and 2 for a fishery are automatically canceled 
    in the following cases, unless otherwise specified by regulations 
    specific to a fishery, when--
        (1) The OY for any allocated species or species group has been 
    reached in that fishery;
        (2) The TALFF or catch allowance for any allocated species or 
    species group has been reached in that fishery;
        (3) The foreign nation's allocation for any allocated species or 
    species group has been reached; or
        (4) The letter of credit required in Sec. 600.518(b)(2) is not 
    established and maintained.
        (b) Activity Code 4 is automatically canceled when--
        (1) The OY for a species with a JVP amount is reached;
        (2) The JVP amount for a species or species group is reached; or
        (3) The letter of credit required in Sec. 600.518(b)(2) is not 
    established and maintained.
        (c) Notification. (1) The Regional Director is authorized to close 
    a fishery on behalf of NMFS. The Regional Director will notify each 
    FFV's designated representative of closures.
        (2) If possible, notice will be given 48 hours before the closure. 
    However, each Nation and the owners and operators of all FFV's of that 
    Nation are responsible for ending fishing operations when an allocation 
    is reached.
        (d) Catch reconciliation. Vessel activity reports, U.S. 
    surveillance observations, observer reports, and
    
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    foreign catch and effort reports will be used to make the determination 
    listed in paragraphs (a) and (b) of this section. If NMFS estimates of 
    catch or other values made during the season differ from those reported 
    by the foreign fleets, efforts may be initiated by the designated 
    representative of each Nation to resolve such differences with NMFS. 
    If, however, differences still persist after such efforts have been 
    made, NMFS estimates will be the basis for decisions and will prevail.
        (e) Duration. Any closure under this section will remain in effect 
    until an applicable new or increased allocation or JVP becomes 
    available or the letter of credit required by Sec. 600.518(b)(2) is 
    reestablished.
    
    
    Sec. 600.512  Scientific research.
    
        (a) Scientific research activity. Persons planning to conduct 
    scientific research activities in the EEZ that may be confused with 
    fishing are encouraged to submit to the appropriate Regional Director, 
    Director, or designee, 60 days or as soon as practicable prior to its 
    start, a scientific research plan for each scientific cruise. The 
    Regional Director, Director, or designee will acknowledge notification 
    of scientific research activity by issuing to the operator or master of 
    that vessel, or to the sponsoring institution, a letter of 
    acknowledgment. This letter of acknowledgment is separate and distinct 
    from any permit required under any other applicable law. If the 
    Regional Director, Director, or designee, after review of a research 
    plan, determines that it does not constitute scientific research 
    activity, but rather fishing, the Regional Director, Director, or 
    designee will inform the applicant as soon as practicable and in 
    writing. The Regional Director, Director, or designee may also make 
    recommendations to revise the research plan to make the cruise 
    acceptable as scientific research activity. In order to facilitate 
    identification of activity as scientific research, persons conducting 
    scientific research activities are advised to carry a copy of the 
    scientific research plan and the letter of acknowledgment on board the 
    scientific research vessel. Activities conducted in accordance with a 
    scientific research plan acknowledged by such a letter are presumed to 
    be scientific research activities. The presumption may be overcome by 
    showing that an activity does not fit the definition of scientific 
    research activity or is outside the scope of the scientific research 
    plan.
        (b) Reports. Persons conducting scientific research are requested 
    to submit a copy of any cruise report or other publication created as a 
    result of the cruise, including the amount, composition, and 
    disposition of their catch, to the appropriate Science and Research 
    Director.
    
    
    Sec. 600.513  Recreational fishing.
    
        (a) Foreign vessels conducting recreational fishing must comply 
    only with this section, and Secs. 600.10, 600.504(a)(1), and 600.505 
    (as applicable). Such vessels may conduct recreational fishing within 
    the EEZ and within the boundaries of a state. Any fish caught may not 
    be sold, bartered, or traded.
        (b) The owners or operator and any other person aboard any foreign 
    vessel conducting recreational fishing must comply with any Federal 
    laws or regulations applicable to the domestic fishery while in the 
    EEZ, and any state laws or regulations applicable while in state 
    waters.
    
    
    Sec. 600.514   Relation to other laws.
    
        (a) Persons affected by these regulations should be aware that 
    other Federal and state statutes may apply to their activities.
        (b) Fishing vessel operators must exercise due care in the conduct 
    of fishing activities near submarine cables. Damage to submarine cables 
    resulting from intentional acts or from the failure to exercise due 
    care in the conduct of fishing operations subjects the fishing vessel 
    operator to enforcement action under the International Convention for 
    the Protection of Submarine Cables, and to the criminal penalties 
    prescribed by the Submarine Cable Act (47 U.S.C. 21) and other laws 
    that implement that Convention. Fishing vessel operators also should be 
    aware that the Submarine Cable Act prohibits fishing operations at a 
    distance of less than 1 nautical mile (1.85 km) from a vessel engaged 
    in laying or repairing a submarine cable; or at a distance of less than 
    0.25 nautical mile (0.46 km) from a buoy or buoys intended to mark the 
    position of a cable when being laid, or when out of order, or broken.
    
    
    Sec. 600.515   Interpretation of 16 U.S.C. 1857(4).
    
        Section 307(4) of the Magnuson Act prohibits any fishing vessel 
    other than a vessel of the United States (foreign fishing vessel) from 
    operating in the EEZ if all of the fishing gear on board the vessel is 
    not stowed in compliance with that section ``unless such vessel is 
    authorized to engage in fishing in the area in which the vessel is 
    operating.'' If such a vessel has a permit authorization that is 
    limited to fishing activities other than catching, taking or harvesting 
    (such as support, scouting or processing activities), it must have all 
    of its fishing gear stowed at all times while it is in the EEZ. If such 
    a vessel has a permit authorization to engage in catching, taking or 
    harvesting activities, but such authorization is limited to a specific 
    area within the EEZ, and/or to a specific period of time, the vessel 
    must have all of its fishing gear stowed while it is in the EEZ, except 
    when it is in the specific area authorized, and/or during the specific 
    period of time authorized.
    
    
    Sec. 600.516   Total allowable level of foreign fishing (TALFF).
    
        (a) The TALFF, if any, with respect to any fishery subject to the 
    exclusive fishery management authority of the United States, is that 
    portion of the OY of such fishery that will not be caught by vessels of 
    the United States.
        (b) Each specification of OY and each assessment of the anticipated 
    U.S. harvest will be reviewed during each fishing season. Adjustments 
    to TALFF's will be made based on updated information relating to status 
    of stocks, estimated and actual performance of domestic and foreign 
    fleets, and other relevant factors.
        (c) Specifications of OY and the initial estimates of U.S. harvests 
    and TALFF's at the beginning of the relevant fishing year will be 
    published in the Federal Register. Adjustments to those numbers will be 
    published in the Federal Register upon occasion or as directed by 
    regulations implementing FMPs. For current apportionments, contact the 
    appropriate Regional Director or the Director.
    
    
    Sec. 600.517   Allocations.
    
        The Secretary of State, in cooperation with the Secretary, 
    determines the allocation among foreign nations of fish species and 
    species groups. The Secretary of State officially notifies each foreign 
    nation of its allocation. The burden of ascertaining and accurately 
    transmitting current allocations and status of harvest of an applicable 
    allocation to fishing vessels is upon the foreign nation and the owner 
    or operator of the FFV.
    
    
    Sec. 600.518   Fee schedule for foreign fishing.
    
        (a) Permit application fees. Each vessel permit application 
    submitted under Sec. 600.501 must be accompanied by a fee of $354 per 
    vessel, plus the surcharge, if required under paragraph (e) of this 
    section, rounded to the nearest dollar. At the time the application is 
    submitted to the DOS, a check for the fees, drawn on a U.S. bank, made 
    out to ``Department of Commerce, NOAA,'' must be sent to the
    
    [[Page 32569]]
    
    Director. The permit fee payment must be accompanied by a list of the 
    vessels for which the payment is made.
        (b) Poundage fees--(1) Rates. If a Nation chooses to accept an 
    allocation, poundage fees must be paid at the rate specified in the 
    following table, plus the surcharge required by paragraph (c) of this 
    section.
    
                        Table--Species and Poundage Fees                    
                [Dollars per metric ton, unless otherwise noted]            
    ------------------------------------------------------------------------
                                                                    Poundage
                             Species fees                             fees  
    ------------------------------------------------------------------------
    Northwest Atlantic Ocean fisheries:                                     
      1. Butterfish..............................................     274.61
      2. Hake, red...............................................     163.97
      3. Hake, silver............................................     174.63
      4. Herring.................................................      61.76
      5. Mackerel, Atlantic......................................      58.33
      6. Other groundfish........................................     119.09
      7. Squid, Illex............................................     103.98
      8. Squid, Loligo...........................................     245.73
    ------------------------------------------------------------------------
    
        (2) Method of payment of poundage fees, surcharges and observer 
    fees. (i) If a Nation chooses to accept an allocation, a revolving 
    letter of credit (L/C) must be established and maintained to cover the 
    poundage fees for at least 25 percent of the previous year's total 
    allocations at the rate in paragraph (b)(1) of this section, or as 
    determined by the Assistant Administrator, plus the surcharges and 
    observer fees required by paragraphs (c) and (d) of this section. The 
    L/C must--
        (A) Be irrevocable.
        (B) Be with a bank subscribing to ICC Pub. 290.
        (C) Designate ``Department of Commerce, NOAA'' as beneficiary;
        (D) Allow partial withdrawals.
        (E) Be confirmed by a U.S. bank.
        (ii) The customer must pay all commissions, transmission, and 
    service charges. No fishing will be allowed until the L/C is 
    established, and authorized written notice of its issuance is provided 
    to the Assistant Administrator.
        (3) Assessment of poundage fees. Poundage fees will be assessed 
    quarterly for the actual catch during January through March, April 
    through June, July through September, and October through December. The 
    appropriate Regional Director will reconcile catch figures with each 
    country following the procedures of Sec. 600.511(d). When the catch 
    figures are agreed upon, NOAA will present a bill for collection as the 
    documentary demand for payment to the confirming bank. If, after 45 
    days from the end of the quarter, catches have not been reconciled, the 
    estimate of the Regional Director will stand and a bill will be issued 
    for that amount. If necessary, the catch figures may be refined by the 
    Regional Director during the next 60 days, and any modifications will 
    be reflected in the next quarter's bill.
        (c) Surcharges. The owner or operator of each foreign vessel who 
    accepts and pays permit application or poundage fees under paragraph 
    (a) or (b) of this section must also pay a surcharge. The Assistant 
    Administrator may reduce or waive the surcharge if it is determined 
    that the Fishing Vessel and Gear Damage Compensation Fund is 
    capitalized sufficiently. The Assistant Administrator also may increase 
    the surcharge during the year to a maximum level of 20 percent, if 
    needed, to maintain capitalization of the fund. The Assistant 
    Administrator has effectively waived the surcharge until further 
    notice.
        (d) Observer fees. The Assistant Administrator will notify the 
    owners or operators of FFV's of the estimated annual costs of placing 
    observers aboard their vessels. The owners or operators of any such 
    vessel must provide for repayment of those costs by including one-
    fourth of the estimated annual observer fee as determined by the 
    Assistant Administrator in a L/C as prescribed in Sec. 600.518(b)(2). 
    During the fiscal year, payment will be withdrawn from the L/C as 
    required to cover anticipated observer coverage for the upcoming 
    fishery. The Assistant Administrator will reconcile any differences 
    between the estimated cost and actual costs of observer coverage within 
    90 days after the end of the fiscal year.
        (e) Financial assurances. (1) A foreign nation, or the owners and 
    operators of certain vessels of that foreign nation, may be required by 
    the Assistant Administrator to provide financial assurances. Such 
    assurances may be required if--
        (i) Civil and criminal penalties assessed against fishing vessels 
    of the Nation have not effectively deterred violations;
        (ii) Vessels of that Nation have engaged in fishing in the EEZ 
    without proper authorization to conduct such activities;
        (iii) The Nation's vessel owners have refused to answer 
    administrative charges or summons to appear in court; or
        (iv) Enforcement of Magnuson Act civil or criminal judgments in the 
    courts of a foreign nation is unattainable.
        (2) The level of financial assurances will be guided by the level 
    of penalties assessed and costs to the U.S. Government.
    
    
    Sec. 600.520  Northwest Atlantic Ocean fishery.
    
        (a) Purpose. Sections 600.520 and 600.525 regulate all foreign 
    fishing conducted under a GIFA within the EEZ in the Atlantic Ocean 
    north of 35 deg.00' N. lat.
        (b) Authorized fishery--(1) Allocations. Foreign vessels may engage 
    in fishing only in accordance with applicable national allocations.
        (2) Time and area restrictions. (i) Fishing, including processing, 
    scouting, and support of foreign or U.S. vessels, is prohibited south 
    of 35 deg.00' N. lat., and north and east of a line beginning at the 
    shore at 44 deg.22' N. lat., 67 deg.52' W. long. and intersecting the 
    boundary of the EEZ at 44 deg.11'12'' N. lat., 67 deg.16'46'' W. long.
        (ii) The Regional Director will consult with the Council prior to 
    giving notice of any area or time restriction. NMFS will also consult 
    with the USCG if the restriction is proposed to reduce gear conflicts. 
    If NMFS determines after such consultation that the restriction appears 
    to be appropriate, NMFS will publish the proposed restriction in the 
    Federal Register, together with a summary of the information on which 
    the restriction is based. Following a 30-day comment period, NMFS will 
    publish a final action.
        (iii) The Regional Director may rescind any restriction if he/she 
    determines that the basis for the restriction no longer exists.
        (iv) Any notice of restriction shall operate as a condition imposed 
    on the permit issued to the foreign vessels involved in the fishery.
        (3) TALFF. The TALFFs for the fisheries of the Northwest Atlantic 
    Ocean are published in the Federal Register. Current TALFFs are also 
    available from the Regional Director.
        (4) Species definitions. The category ``other finfish'' used in 
    TALFFs and in allocations includes all species except:
        (i) The other allocated species, namely: Short-finned squid, long-
    finned squid, Atlantic herring, Atlantic mackerel, river herring 
    (includes alewife, blueback herring, and hickory shad), and butterfish.
        (ii) The prohibited species, namely: American plaice, American 
    shad, Atlantic cod, Atlantic menhaden, Atlantic redfish, Atlantic 
    salmon, all marlin, all spearfish, sailfish, swordfish, black sea bass, 
    bluefish, croaker, haddock, ocean pout, pollock, red hake, scup, sea 
    turtles, sharks (except dogfish), silver hake, spot, striped bass, 
    summer flounder, tilefish, yellowtail
    
    [[Page 32570]]
    
    flounder, weakfish, white hake, windowpane flounder, winter flounder, 
    witch flounder, Continental Shelf fishery resources, and other 
    invertebrates (except nonallocated squids).
        (5) Closures. The taking of any species for which a Nation has an 
    allocation is permitted, provided that:
        (i) The vessels of the foreign nation have not caught the 
    allocation of that Nation for any species or species group (e.g., 
    ``other finfish''). When vessels of a foreign nation have caught an 
    applicable allocation of any species, all further fishing other than 
    scouting, processing, or support by vessels of that Nation must cease, 
    even if other allocations have not been reached. Therefore, it is 
    essential that foreign nations plan their fishing strategy to ensure 
    that the reaching of an allocation for one species does not result in 
    the premature closing of a Nation's fishery for other allocated 
    species.
        (ii) The fishery has not been closed for other reasons under 
    Sec. 600.511.
        (6) Allocation utilization. Foreign fishing vessels may elect to 
    retain or discard allocated species; however, the computation of 
    allocation utilization and fee refunds will be based on the total 
    quantity of that species that was caught. Prohibited species must 
    always be returned to the sea as required under Sec. 600.509.
        (c) Fishing areas. For the purposes of the Northwest Atlantic Ocean 
    fishery, fishing areas are that portion of the EEZ shown inside the 
    boundaries of the ``three digit statistical areas'' described in Figure 
    1 to this section.
    
    BILLING CODE 3510-22-W
    
    [[Page 32571]]
    
    Figure 1 to Sec. 600.520--Fishing Areas of the Northwest Atlantic 
    Ocean Fisheries
    [GRAPHIC] [TIFF OMITTED] TR24JN96.000
    
    
    BILLING CODE 3510-22-C
    
    [[Page 32572]]
    
    Sec. 600.525  Atlantic herring fishery.
    
        (a) Initial specifications. The initial specifications of OY, DAH, 
    DAP, JVP, TALFF, and reserve (if any) have been established by the PMP 
    for Atlantic herring approved on July 6, 1995. These annual 
    specifications will remain in effect unless adjusted pursuant to the 
    provisions specified in paragraph (b) of this section.
        (b) Procedures to adjust initial specifications. NMFS may adjust 
    these initial specifications upward or downward to produce the greatest 
    overall benefit to the United States at any time prior to or during the 
    fishing years for which the initial specifications are set by 
    publishing notification in the Federal Register with the reasons for 
    such adjustments. Any notice of adjustment may provide for public 
    comment. Adjustments to the initial specifications may take into 
    account the following information:
        (1) The estimated domestic processing capacity and extent to which 
    it will be used.;
        (2) Landings and catch statistics.;
        (3) Stock assessments.
        (4) Relevant scientific information.
    
    Subpart G--Preemption of State Authority Under Section 306(b)
    
    
    Sec. 600.605  General policy.
    
        It is the policy of the Secretary that preemption proceedings will 
    be conducted expeditiously. The administrative law judge and counsel or 
    other representative for each party are encouraged to make every effort 
    at each stage of the proceedings to avoid delay.
    
    
    Sec. 600.610  Factual findings for Federal preemption.
    
        (a) The two factual findings for Federal preemption of state 
    management authority over a fishery are:
        (1) The fishing in a fishery that is covered by an FMP implemented 
    under the Magnuson Act is engaged in predominately within the EEZ and 
    beyond such zone.
        (2) A state has taken any action, or omitted to take any action, 
    the results of which will substantially and adversely affect the 
    carrying out of such FMP.
        (b) Whether fishing is engaged in ``predominately'' within or 
    beyond the EEZ will be determined after consideration of relevant 
    factors, including but not limited to, the catch (based on numbers, 
    value, or weight of fish caught, or other relevant factors) or fishing 
    effort during the appropriate period, and in light of historical 
    patterns of the distribution of catch or fishing effort for such stock 
    or stocks of fish.
         (c) Whether relevant effects are substantial will be determined 
    after consideration of the magnitude of such actual or potential 
    effects. Relevant to this determination are various factors, including 
    but not limited to, the proportion of the fishery (stock or stocks of 
    fish and fishing for such stocks) that is subject to the effects of a 
    particular state's action or omission, the characteristics and status 
    (including migratory patterns and biological condition) of the stock or 
    stocks of fish in the fishery, and the similarity or dissimilarity 
    between the goals, objectives, or policies of the state's action or 
    omission and the management goals or objectives specified in the FMP 
    for the fishery or between the state and Federal conservation and 
    management measures of the fishery.
    
    
    Sec. 600.615  Commencement of proceedings.
    
        (a) Notice of proposed preemption. (1) If a proceeding under this 
    part is deemed necessary, the Administrator must issue a notice of 
    proposed preemption to the Attorney General of the State or States 
    concerned. The notice will contain:
        (i) A recital of the legal authority and jurisdiction for 
    instituting the proceeding.
        (ii) A concise statement of the Sec. 600.610 factual findings for 
    Federal preemption upon which the notice is based.
        (iii) The time, place, and date of the hearing.
        (2) The notice of proposed preemption will also be published in the 
    Federal Register. This notification may be combined with any notice of 
    proposed rulemaking published under paragraph (d)(1) of this section.
        (b) Response. The state will have the opportunity to respond in 
    writing to the notice of proposed preemption.
        (c) Amendment. The Administrator may, at any time prior to the 
    Secretary's decision, withdraw the notice of proposed preemption. Upon 
    motion of either party before the record is closed, the administrative 
    law judge may amend the notice of proposed preemption.
        (d) Proposed regulations--(1) In general. If additional regulations 
    are required to govern fishing within the boundaries of a state, the 
    Administrator may publish proposed regulations in the Federal Register 
    concurrently with issuing the notification indicated in paragraph (a) 
    of this section.
        (2) Emergency actions. Nothing in this section will prevent the 
    Secretary from taking emergency action under section 305(e) of the 
    Magnuson Act.
    
    
    Sec. 600.620  Rules pertaining to the hearing.
    
        (a) The civil procedure rules of the NOAA currently set forth in 15 
    CFR part 904, subpart C (or as subsequently amended), apply to the 
    proceeding after its commencement by service of notice (pursuant to 
    Sec. 600.615) and prior to the Secretary's decision (Sec. 600.625), 
    except that the following sections will not apply:
        (1) 15 CFR 904.201 (Definitions);
        (2) 15 CFR 904.206(a)(1) (Duties and powers of Judge); and
        (3) 15 CFR 904.272 (Administrative review of decision).
        (b) Additional duties and powers of judge--(1) Time periods. The 
    administrative law judge is authorized to modify all time periods 
    pertaining to the course of the hearing (under Secs. 600.615 and 
    600.620) to expedite the proceedings, upon application and appropriate 
    showing of need or emergency circumstances by a party.
        (2) Intervention. Intervention by persons not parties is not 
    allowed.
    
    
    Sec. 600.625  Secretary's decision.
    
        (a) The Secretary will, on the basis of the hearing, record the 
    administrative law judge's recommended decision:
        (1) Accept or reject any of the findings or conclusions of the 
    administrative law judge and decide whether the factual findings exist 
    for Federal preemption of a state's authority within its boundaries 
    (other than in its internal waters) with respect to the fishery in 
    question;
        (2) Reserve decision on the merits or withdraw the notice of 
    proposed preemption; or
        (3) Remand the case to the administrative law judge for further 
    proceedings as may be appropriate, along with a statement of reasons 
    for the remand.
        (b) Notification. (1) If the factual findings for Federal 
    preemption are determined to exist, the Secretary will notify in 
    writing the Attorney General of that state and the appropriate 
    Council(s) of the preemption of that state's authority. The Secretary 
    will also direct the Administrator to promulgate appropriate 
    regulations proposed under Sec. 600.615(d) and otherwise to begin 
    regulating the fishery within the state's boundaries (other than in its 
    internal waters).
        (2) If the factual findings for Federal preemption are determined 
    not to exist, the Secretary will notify, in writing, the Attorney 
    General of the state and the appropriate Council(s) of that 
    determination. The Secretary will also direct the Administrator to 
    issue a notice withdrawing any regulations proposed under 
    Sec. 600.615(d).
    
    [[Page 32573]]
    
    Sec. 600.630  Application for reinstatement of state authority.
    
        (a) Application or notice. (1) At any time after the promulgation 
    of regulations under Sec. 600.625(b)(1) to regulate a fishery within a 
    state's boundaries, the affected state may apply to the Secretary for 
    reinstatement of state authority. The Secretary may also serve upon 
    such state a notice of intent to terminate such Federal regulation. A 
    state's application must include a clear and concise statement of:
        (i) The action taken by the State to correct the action or omission 
    found to have substantially and adversely affected the carrying out of 
    the FMP; or
        (ii) Any changed circumstances that affect the relationship of the 
    state's action or omission to take action to the carrying out of the 
    FMP (including any amendment to such plan); and
        (iii) Any laws, regulations, or other materials that the state 
    believes support the application.
        (2) Any such application received by the Secretary or notice issued 
    to the State will be published in the Federal Register.
        (b) Informal response. The Secretary has sole discretion to accept 
    or reject the application or response. If the Secretary accepts the 
    application or rejects any responses and finds that the reasons for 
    regulation of the fishery within the boundaries of the state no longer 
    prevail, the Secretary will promptly terminate such regulation and 
    publish in the Federal Register any regulatory amendments necessary to 
    accomplish that end.
        (c) Hearing. The Secretary has sole discretion to direct the 
    Administrator to schedule hearings for the receipt of evidence by an 
    administrative law judge. Hearings before the administrative law judge 
    to receive such evidence will be conducted in accordance with 
    Sec. 600.620. Upon conclusion of such hearings, the administrative law 
    judge will certify the record and a recommended decision to the 
    Secretary. If the Secretary, upon consideration of the state's 
    application or any response to the notice published under 
    Sec. 600.630(a)(2), the hearing record, the recommended decision, and 
    any other relevant materials finds that the reasons for regulation of 
    the fishery within the boundaries of the state no longer prevail, the 
    Secretary will promptly terminate such regulation and publish in the 
    Federal Register any regulatory amendments necessary to accomplish that 
    end.
    
    Subpart H--General Provisions for Domestic Fisheries
    
    
    Sec. 600.705  Relation to other laws.
    
        (a) General. Persons affected by these regulations should be aware 
    that other Federal and state statutes and regulations may apply to 
    their activities. Vessel operators may wish to refer to USCG 
    regulations found in the Code of Federal Regulations title 33--
    Navigation and Navigable Waters and 46--Shipping; 15 CFR part 904, 
    subpart D--Permit Sanctions and Denials; and title 43--Public Lands (in 
    regard to marine sanctuaries).
        (b) State responsibilities. Certain responsibilities relating to 
    data collection and enforcement may be performed by authorized state 
    personnel under a state/Federal agreement for data collection and a 
    tripartite agreement among the state, the USCG, and the Secretary for 
    enforcement.
        (c) Submarine cables. Fishing vessel operators must exercise due 
    care in the conduct of fishing activities near submarine cables. Damage 
    to the submarine cables resulting from intentional acts or from the 
    failure to exercise due care in the conduct of fishing operations 
    subjects the fishing vessel operator to the criminal penalties 
    prescribed by the Submarine Cable Act (47 U.S.C. 21) which implements 
    the International Convention for the Protection of Submarine Cables. 
    Fishing vessel operators also should be aware that the Submarine Cable 
    Act prohibits fishing operations at a distance of less than 1 nautical 
    mile (1.85 km) from a vessel engaged in laying or repairing a submarine 
    cable; or at a distance of less than 0.25 nautical mile (0.46 km) from 
    a buoy or buoys intended to mark the position of a cable when being 
    laid or when out of order or broken.
        (d) Marine mammals. Regulations governing exemption permits and the 
    recordkeeping and reporting of the incidental take of marine mammals 
    are set forth in part 229 of this title.
        (e) Halibut fishing. Fishing for halibut is governed by regulations 
    of the International Pacific Halibut Commission set forth at part 300 
    of this title.
        (f) Marine sanctuaries. All fishing activity, regardless of species 
    sought, is prohibited under 15 CFR part 924 in the U.S.S. Monitor 
    Marine Sanctuary, which is located approximately 15 miles southwest of 
    Cape Hatteras off the coast of North Carolina.
    
    
    Sec. 600.710  Permits.
    
        Regulations pertaining to permits required for certain fisheries 
    are set forth in the parts of this chapter governing those fisheries.
    
    
    Sec. 600.715  Recordkeeping and reporting.
    
        Regulations pertaining to records and reports required for certain 
    fisheries are set forth in the parts of this chapter governing those 
    fisheries.
    
    
    Sec. 600.720  Vessel and gear identification.
    
        Regulations pertaining to special vessel and gear markings required 
    for certain fisheries are set forth in the parts of this chapter 
    governing those fisheries.
    
    
    Sec. 600.725  General prohibitions.
    
        It is unlawful for any person to do any of the following:
        (a) Possess, have custody or control of, ship, transport, offer for 
    sale, sell, purchase, land, import, or export, any fish or parts 
    thereof taken or retained in violation of the Magnuson Act or any other 
    statute administered by NOAA and/or any regulation or permit issued 
    under the Magnuson Act.
        (b) Transfer or attempt to transfer, directly or indirectly, any 
    U.S.-harvested fish to any foreign fishing vessel, while such vessel is 
    in the EEZ, unless the foreign fishing vessel has been issued a permit 
    under section 204 of the Magnuson Act, which authorizes the receipt by 
    such vessel of U.S.- harvested fish.
        (c) Fail to comply immediately with enforcement and boarding 
    procedures specified in Sec. 600.730.
        (d) Refuse to allow an authorized officer to board a fishing vessel 
    or to enter areas of custody for purposes of conducting any search, 
    inspection, or seizure in connection with the enforcement of the 
    Magnuson Act or any other statute administered by NOAA.
        (e) Dispose of fish or parts thereof or other matter in any manner, 
    after any communication or signal from an authorized officer, or after 
    the approach by an authorized officer or an enforcement vessel or 
    aircraft.
        (f) Assault, resist, oppose, impede, intimidate, threaten, or 
    interfere with any authorized officer in the conduct of any search, 
    inspection, or seizure in connection with enforcement of the Magnuson 
    Act or any other statute administered by NOAA.
        (g) Interfere with, delay, or prevent by any means, the 
    apprehension of another person, knowing that such person has committed 
    any act prohibited by the Magnuson Act or any other statute 
    administered by NOAA.
        (h) Resist a lawful arrest for any act prohibited under the 
    Magnuson Act or any other statute administered by NOAA.
    
    [[Page 32574]]
    
        (i) Make any false statement, oral or written, to an authorized 
    officer concerning the taking, catching, harvesting, landing, purchase, 
    sale, offer of sale, possession, transport, import, export, or transfer 
    of any fish, or attempts to do any of the above.
        (j) Interfere with, obstruct, delay, or prevent by any means an 
    investigation, search, seizure, or disposition of seized property in 
    connection with enforcement of the Magnuson Act or any other statute 
    administered by NOAA.
        (k) Fish in violation of the terms or conditions of any permit or 
    authorization issued under the Magnuson Act or any other statute 
    administered by NOAA.
        (l) Fail to report catches as required while fishing pursuant to an 
    exempted fishing permit.
        (m) On a scientific research vessel, engage in fishing other than 
    recreational fishing authorized by applicable state or Federal 
    regulations.
        (n) Trade, barter, or sell; or attempt to trade, barter, or sell 
    fish possessed or retained while fishing pursuant to an authorization 
    for an exempted educational activity.
        (o) Harass or sexually harass an authorized officer or an observer.
        (p) It is prohibited to violate any other provision of this part, 
    the Magnuson Act or any other statute administered by NOAA, any notice 
    issued under this part, or any other regulation promulgated under the 
    Magnuson Act or any other statute administered by NOAA.
    
    
    Sec. 600.730  Facilitation of enforcement.
    
        (a) General. The operator of, or any other person aboard, any 
    fishing vessel subject to parts 625 through 699 of this chapter must 
    immediately comply with instructions and signals issued by an 
    authorized officer to stop the vessel and with instructions to 
    facilitate safe boarding and inspection of the vessel, its gear, 
    equipment, fishing record (where applicable), and catch for purposes of 
    enforcing the Magnuson Act or any other statute administered by NOAA 
    and this chapter.
        (b) Communications. (1) Upon being approached by a USCG vessel or 
    aircraft, or other vessel or aircraft with an authorized officer 
    aboard, the operator of a fishing vessel must be alert for 
    communications conveying enforcement instructions.
        (2) VHF-FM radiotelephone is the preferred method for communicating 
    between vessels. If the size of the vessel and the wind, sea, and 
    visibility conditions allow, a loudhailer may be used instead of the 
    radio. Hand signals, placards, high frequency radiotelephone, or voice 
    may be employed by an authorized officer, and message blocks may be 
    dropped from an aircraft.
        (3) If other communications are not practicable, visual signals may 
    be transmitted by flashing light directed at the vessel signaled. USCG 
    units will normally use the flashing light signal ``L'' as the signal 
    to stop. In the International Code of Signals, ``L'' (.-..) means ``you 
    should stop your vessel instantly.'' (Period (.) means a short flash of 
    light; dash (-) means a long flash of light.)
        (4) Failure of a vessel's operator promptly to stop the vessel when 
    directed to do so by an authorized officer using loudhailer, 
    radiotelephone, flashing light signal, or other means constitutes prima 
    facie evidence of the offense of refusal to permit an authorized 
    officer to board.
        (5) The operator of a vessel who does not understand a signal from 
    an enforcement unit and who is unable to obtain clarification by 
    loudhailer or radiotelephone must consider the signal to be a command 
    to stop the vessel instantly.
        (c) Boarding. The operator of a vessel directed to stop must:
        (1) Guard Channel 16, VHF-FM, if so equipped.
        (2) Stop immediately and lay to or maneuver in such a way as to 
    allow the authorized officer and his/her party to come aboard.
        (3) Except for those vessels with a freeboard of 4 ft (1.2 m) or 
    less, provide a safe ladder, if needed, for the authorized officer and 
    his/her party to come aboard.
        (4) When necessary to facilitate the boarding or when requested by 
    an authorized officer or observer, provide a manrope or safety line, 
    and illumination for the ladder.
        (5) Take such other actions as necessary to facilitate boarding and 
    to ensure the safety of the authorized officer and the boarding party.
        (d) Signals. The following signals, extracted from the 
    International Code of Signals, may be sent by flashing light by an 
    enforcement unit when conditions do not allow communications by 
    loudhailer or radiotelephone. Knowledge of these signals by vessel 
    operators is not required. However, knowledge of these signals and 
    appropriate action by a vessel operator may preclude the necessity of 
    sending the signal ``L'' and the necessity for the vessel to stop 
    instantly. (Period (.) means a short flash of light; dash (-) means a 
    long flash of light.)
        (1) ``AA'' repeated (.-.-) is the call to an unknown station. The 
    operator of the signaled vessel should respond by identifying the 
    vessel by radiotelephone or by illuminating the vessel's 
    identification.
        (2) ``RY-CY'' (.-. -.-- -.-. -.--) means ``you should proceed at 
    slow speed, a boat is coming to you.'' This signal is normally employed 
    when conditions allow an enforcement boarding without the necessity of 
    the vessel being boarded coming to a complete stop, or, in some cases, 
    without retrieval of fishing gear which may be in the water.
        (3) ``SQ3'' (... --.- ...--) means ``you should stop or heave to; I 
    am going to board you.''
    
    
    Sec. 600.735  Penalties.
    
        Any person committing, or fishing vessel used in the commission of 
    a violation of the Magnuson Act or any other statute administered by 
    NOAA and/or any regulation issued under the Magnuson Act, is subject to 
    the civil and criminal penalty provisions and civil forfeiture 
    provisions of the Magnuson Act, to this section, to 15 CFR part 904 
    (Civil Procedures), and to other applicable law.
    
    
    Sec. 600.740  Enforcement policy.
    
        (a) The Magnuson Act provides four basic enforcement remedies for 
    violations, in ascending order of severity, as follows:
        (1) Issuance of a citation (a type of warning), usually at the 
    scene of the offense (see 15 CFR part 904, subpart E).
        (2) Assessment by the Administrator of a civil money penalty.
        (3) For certain violations, judicial forfeiture action against the 
    vessel and its catch.
        (4) Criminal prosecution of the owner or operator for some 
    offenses. It shall be the policy of NMFS to enforce vigorously and 
    equitably the provisions of the Magnuson Act by utilizing that form or 
    combination of authorized remedies best suited in a particular case to 
    this end.
        (b) Processing a case under one remedial form usually means that 
    other remedies are inappropriate in that case. However, further 
    investigation or later review may indicate the case to be either more 
    or less serious than initially considered, or may otherwise reveal that 
    the penalty first pursued is inadequate to serve the purposes of the 
    Magnuson Act. Under such circumstances, the Agency may pursue other 
    remedies either in lieu of or in addition to the action originally 
    taken. Forfeiture of the illegal catch does not fall within this 
    general rule and is considered in most cases as only the initial step 
    in
    
    [[Page 32575]]
    
    remedying a violation by removing the ill-gotten gains of the offense.
        (c) If a fishing vessel for which a permit has been issued under 
    the Magnuson Act is used in the commission of an offense prohibited by 
    section 307 of the Magnuson Act, NOAA may impose permit sanctions, 
    whether or not civil or criminal action has been undertaken against the 
    vessel or its owner or operator. In some cases, the Magnuson Act 
    requires permit sanctions following the assessment of a civil penalty 
    or the imposition of a criminal fine. In sum, the Magnuson Act treats 
    sanctions against the fishing vessel permit to be the carrying out of a 
    purpose separate from that accomplished by civil and criminal penalties 
    against the vessel or its owner or operator.
    
    
    Sec. 600.745   Scientific research activity, exempted fishing, and 
    exempted educational activity.
    
        (a) Scientific research activity. Nothing in this section is 
    intended to inhibit or prevent any scientific research activity 
    conducted by a scientific research vessel. Persons planning to conduct 
    scientific research activities in the EEZ are encouraged to submit to 
    the appropriate Regional Director, Director, or designee, 60 days or as 
    soon as practicable prior to its start, a scientific research plan for 
    each scientific cruise. The Regional Director, Director, or designee 
    will acknowledge notification of scientific research activity by 
    issuing to the operator or master of that vessel, or to the sponsoring 
    institution, a letter of acknowledgment. This letter of acknowledgment 
    is separate and distinct from any permit required by any other 
    applicable law. If the Regional Director, Director, or designee, after 
    review of a research plan, determines that it does not constitute 
    scientific research but rather fishing, the Regional Director, 
    Director, or designee will inform the applicant as soon as practicable 
    and in writing. The Regional Director, Director, or designee may also 
    make recommendations to revise the research plan to make the cruise 
    acceptable as scientific research activity or recommend the applicant 
    request an EFP. In order to facilitate identification of activity as 
    scientific research, persons conducting scientific research activities 
    are advised to carry a copy of the scientific research plan and the 
    letter of acknowledgment on board the scientific research vessel. 
    Activities conducted in accordance with a scientific research plan 
    acknowledged by such a letter are presumed to be scientific research 
    activity. The presumption may be overcome by showing that an activity 
    does not fit the definition of scientific research activity or is 
    outside the scope of the scientific research plan.
        (b) Exempted fishing.--(1) General. A NMFS Regional Director or 
    Director may authorize, for limited testing, public display, data 
    collection, exploratory, health and safety, environmental cleanup, and/
    or hazard removal purposes, the target or incidental harvest of species 
    managed under an FMP or fishery regulations that would otherwise be 
    prohibited. Exempted fishing may not be conducted unless authorized by 
    an EFP issued by a Regional Director or Director in accordance with the 
    criteria and procedures specified in this section. The Regional 
    Director or Director may charge a fee to recover the administrative 
    expenses of issuing an EFP. The amount of the fee will be calculated, 
    at least annually, in accordance with procedures of the NOAA Handbook 
    for determining administrative costs of each special product or 
    service; the fee may not exceed such costs. Persons may contact the 
    appropriate Regional Director or Director to find out the applicable 
    fee.
        (2) Application. An applicant for an EFP shall submit a completed 
    application package to the appropriate Regional Director or Director, 
    as soon as practicable and at least 60 days before the desired 
    effective date of the EFP. Submission of an EFP application less than 
    60 days before the desired effective date of the EFP may result in a 
    delayed effective date because of review requirements. The application 
    package must include payment of any required fee as specified by 
    paragraph (b)(1) of this section, and a written application that 
    includes, but is not limited to, the following information:
        (i) The date of the application.
        (ii) The applicant's name, mailing address, and telephone number.
        (iii) A statement of the purposes and goals of the exempted fishery 
    for which an EFP is needed, including justification for issuance of the 
    EFP.
        (iv) For each vessel to be covered by the EFP, as soon as the 
    information is available and before operations begin under the EFP:
        (A) A copy of the USCG documentation, state license, or 
    registration of each vessel, or the information contained on the 
    appropriate document.
        (B) The current name, address, and telephone number of the owner 
    and master, if not included on the document provided for the vessel.
        (v) The species (target and incidental) expected to be harvested 
    under the EFP, the amount(s) of such harvest necessary to conduct the 
    exempted fishing, the arrangements for disposition of all regulated 
    species harvested under the EFP, and any anticipated impacts on marine 
    mammals or endangered species.
        (vi) For each vessel covered by the EFP, the approximate time(s) 
    and place(s) fishing will take place, and the type, size, and amount of 
    gear to be used.
        (vii) The signature of the applicant.
        (viii) The Regional Director or Director, as appropriate, may 
    request from an applicant additional information necessary to make the 
    determinations required under this section. An incomplete application 
    or an application for which the appropriate fee has not been paid will 
    not be considered until corrected in writing and the fee paid. An 
    applicant for an EFP need not be the owner or operator of the vessel(s) 
    for which the EFP is requested.
        (3) Issuance. (i) The Regional Director or Director, as 
    appropriate, will review each application and will make a preliminary 
    determination whether the application contains all of the required 
    information and constitutes an activity appropriate for further 
    consideration. If the Regional Director or Director finds that any 
    application does not warrant further consideration, both the applicant 
    and the affected Council(s) will be notified in writing of the reasons 
    for the decision. If the Regional Director or Director determines that 
    any application warrants further consideration, notification of receipt 
    of the application will be published in the Federal Register with a 
    brief description of the proposal, and the intent of NMFS to issue an 
    EFP. Interested persons will be given a 15- to 45-day opportunity to 
    comment and/or comments will be requested during public testimony at a 
    Council meeting. The notification may establish a cut-off date for 
    receipt of additional applications to participate in the same, or a 
    similar, exempted fishing activity. The Regional Director or Director 
    also will forward copies of the application to the Council(s), the 
    USCG, and the appropriate fishery management agencies of affected 
    states, accompanied by the following information:
        (A) The effect of the proposed EFP on the target and incidental 
    species, including the effect on any TAC.
        (B) A citation of the regulation or regulations that, without the 
    EFP, would prohibit the proposed activity.
        (C) Biological information relevant to the proposal, including 
    appropriate statements of environmental impacts, including impacts on 
    marine mammals and threatened or endangered species.
    
    [[Page 32576]]
    
        (ii) If the application is complete and warrants additional 
    consultation, the Regional Director or Director may consult with the 
    appropriate Council(s) concerning the permit application during the 
    period in which comments have been requested. The Council(s) or the 
    Director or Regional Director shall notify the applicant in advance of 
    any meeting at which the application will be considered, and offer the 
    applicant the opportunity to appear in support of the application.
        (iii) As soon as practicable after receiving responses from the 
    agencies identified in paragraph (b)(3)(i) of this section, and/or 
    after the consultation, if any, described in paragraph (b)(3)(ii) of 
    this section, the Regional Director or Director shall notify the 
    applicant in writing of the decision to grant or deny the EFP, and, if 
    denied, the reasons for the denial. Grounds for denial of an EFP 
    include, but are not limited to, the following:
        (A) The applicant has failed to disclose material information 
    required, or has made false statements as to any material fact, in 
    connection with his or her application; or
        (B) According to the best scientific information available, the 
    harvest to be conducted under the permit would detrimentally affect the 
    well-being of the stock of any regulated species of fish, marine 
    mammal, or threatened or endangered species in a significant way; or
        (C) Issuance of the EFP would have economic allocation as its sole 
    purpose; or
        (D) Activities to be conducted under the EFP would be inconsistent 
    with the intent of this section, the management objectives of the FMP, 
    or other applicable law; or
        (E) The applicant has failed to demonstrate a valid justification 
    for the permit; or
        (F) The activity proposed under the EFP could create a significant 
    enforcement problem.
        (iv) The decision of a Regional Director or Director to grant or 
    deny an EFP is the final action of NMFS. If the permit, as granted, is 
    significantly different from the original application, or is denied, 
    NMFS may publish notification in the Federal Register describing the 
    exempted fishing to be conducted under the EFP or the reasons for 
    denial.
        (v) The Regional Director or Director may attach terms and 
    conditions to the EFP consistent with the purpose of the exempted 
    fishing, including, but not limited to:
        (A) The maximum amount of each regulated species that can be 
    harvested and landed during the term of the EFP, including trip 
    limitations, where appropriate.
        (B) The number, size(s), name(s), and identification number(s) of 
    the vessel(s) authorized to conduct fishing activities under the EFP.
        (C) The time(s) and place(s) where exempted fishing may be 
    conducted.
        (D) The type, size, and amount of gear that may be used by each 
    vessel operated under the EFP.
        (E) The condition that observers, a vessel monitoring system, or 
    other electronic equipment be carried on board vessels operated under 
    an EFP, and any necessary conditions, such as predeployment 
    notification requirements.
        (F) Reasonable data reporting requirements.
        (G) Other conditions as may be necessary to assure compliance with 
    the purposes of the EFP, consistent with the objectives of the FMP and 
    other applicable law.
        (H) Provisions for public release of data obtained under the EFP 
    that are consistent with NOAA confidentiality of statistics procedures 
    at set out in subpart E. An applicant may be required to waive the 
    right to confidentiality of information gathered while conducting 
    exempted fishing as a condition of an EFP.
        (4) Duration. Unless otherwise specified in the EFP or a 
    superseding notice or regulation, an EFP is effective for no longer 
    than 1 year, unless revoked, suspended, or modified. EFPs may be 
    renewed following the application procedures in this section.
        (5) Alteration. Any permit that has been altered, erased, or 
    mutilated is invalid.
        (6) Transfer. EFPs issued under this section are not transferable 
    or assignable. An EFP is valid only for the vessel(s) for which it is 
    issued.
        (7) Inspection. Any EFP issued under this section must be carried 
    on board the vessel(s) for which it was issued. The EFP must be 
    presented for inspection upon request of any authorized officer.
        (8) Sanctions. Failure of a permittee to comply with the terms and 
    conditions of an EFP may be grounds for revocation, suspension, or 
    modification of the EFP with respect to all persons and vessels 
    conducting activities under the EFP. Any action taken to revoke, 
    suspend, or modify an EFP for enforcement purposes will be governed by 
    15 CFR part 904, subpart D.
        (c) Reports. (1) Persons conducting scientific research activity 
    are requested to submit a copy of any cruise report or other 
    publication created as a result of the cruise, including the amount, 
    composition, and disposition of their catch, to the appropriate Science 
    and Research Director.
        (2) Persons fishing under an EFP are required to report their 
    catches to the appropriate Regional Director or Director, as specified 
    in the EFP.
        (d) Exempted educational activities--(1) General. A NMFS Regional 
    Director or Director may authorize, for educational purposes, the 
    target or incidental harvest of species managed under an FMP or fishery 
    regulations that would otherwise be prohibited. The decision of a 
    Regional Director or Director to grant or deny an exempted educational 
    activity authorization is the final action of NMFS. Exempted 
    educational activities may not be conducted unless authorized in 
    writing by a Regional Director or Director in accordance with the 
    criteria and procedures specified in this section. Such authorization 
    will be issued without charge.
        (2) Application. An applicant for an exempted educational activity 
    authorization shall submit to the appropriate Regional Director or 
    Director, at least 15 days before the desired effective date of the 
    authorization, a written application that includes, but is not limited 
    to, the following information:
        (i) The date of the application.
        (ii) The applicant's name, mailing address, and telephone number.
        (iii) A brief statement of the purposes and goals of the exempted 
    educational activity for which authorization is requested, including a 
    general description of the arrangements for disposition of all species 
    collected.
        (iv) Evidence that the sponsoring institution is a valid 
    educational institution, such as accreditation by a recognized national 
    or international accreditation body.
        (v) The scope and duration of the activity.
        (vi) For each vessel to be covered by the authorization:
        (A) A copy of the U.S. Coast Guard documentation, state license, or 
    registration of the vessel, or the information contained on the 
    appropriate document.
        (B) The current name, address, and telephone number of the owner 
    and master, if not included on the document provided for the vessel.
        (vii) The species and amounts expected to be caught during the 
    exempted educational activity.
        (viii) For each vessel covered by the authorization, the 
    approximate time(s) and place(s) fishing will take place, and
    
    [[Page 32577]]
    
    the type, size, and amount of gear to be used.
        (ix) The signature of the applicant.
        (x) The Regional Director or Director may request from an applicant 
    additional information necessary to make the determinations required 
    under this section. An incomplete application will not be considered 
    until corrected in writing.
        (3) Issuance. (i) The Regional Director or Director, as 
    appropriate, will review each application and will make a determination 
    whether the application contains all of the required information, is 
    consistent with the goals, objectives, and requirements of the FMP or 
    regulations and other applicable law, and constitutes a valid exempted 
    educational activity. The applicant will be notified in writing of the 
    decision within 5 working days of receipt of the application.
        (ii) The Regional Director or Director may attach terms and 
    conditions to the authorization, consistent with the purpose of the 
    exempted educational activity, including, but not limited to:
        (A) The maximum amount of each regulated species that may be 
    harvested.
        (B) The time(s) and place(s) where the exempted educational 
    activity may be conducted.
        (C) The type, size, and amount of gear that may be used by each 
    vessel operated under the authorization.
        (D) Reasonable data reporting requirements.
        (E) Such other conditions as may be necessary to assure compliance 
    with the purposes of the authorization, consistent with the objectives 
    of the FMP or regulations.
        (F) Provisions for public release of data obtained under the 
    authorization, consistent with NOAA confidentiality of statistics 
    procedures in subpart E. An applicant may be required to waive the 
    right to confidentiality of information gathered while conducting 
    exempted educational activities as a condition of the authorization.
        (iii) The authorization will specify the scope of the authorized 
    activity and will include, at a minimum, the duration, vessel(s), 
    species and gear involved in the activity, as well as any additional 
    terms and conditions specified under paragraph (d)(3)(ii) of this 
    section.
        (4) Duration. Unless otherwise specified, authorization for an 
    exempted educational activity is effective for no longer than 1 year, 
    unless revoked, suspended, or modified. Authorizations may be renewed 
    following the application procedures in this section.
        (5) Alteration. Any authorization that has been altered, erased, or 
    mutilated is invalid.
        (6) Transfer. Authorizations issued under this paragraph (d) are 
    not transferable or assignable.
        (7) Inspection. Any authorization issued under this paragraph (d) 
    must be carried on board the vessel(s) for which it was issued or be in 
    possession of the applicant to which it was issued while the exempted 
    educational activity is being conducted. The authorization must be 
    presented for inspection upon request of any authorized officer. 
    Activities that meet the definition of fishing, despite an educational 
    purpose, are fishing. An authorization may allow covered fishing 
    activities; however, fishing activities conducted outside the scope of 
    an authorization for exempted educational activities are illegal.
    
    PARTS 601, 602, 603, 605, 611, 619, 620, and 621 [REMOVED]
    
        4. Under the authority of 16 U.S.C. 1801 et seq., parts 601, 602, 
    603, 605, 611, 619, 620, and 621 are removed.
    
    [FR Doc. 96-15767 Filed 6-21-96; 8:45 am]
    BILLING CODE 3510-22-W
    
    

Document Information

Effective Date:
7/1/1996
Published:
06/24/1996
Department:
National Oceanic and Atmospheric Administration
Entry Type:
Rule
Action:
Final rule.
Document Number:
96-15767
Dates:
July 1, 1996.
Pages:
32538-32577 (40 pages)
Docket Numbers:
Docket No. 960315081-6160-02, I.D. 030596B
RINs:
0648-AI17: Consolidation of General Fishery Regulations of the United States
RIN Links:
https://www.federalregister.gov/regulations/0648-AI17/consolidation-of-general-fishery-regulations-of-the-united-states
PDF File:
96-15767.pdf
CFR: (139)
33 CFR 600.615)
33 CFR 600.630(a)(2)
33 CFR 600.518(b)(2)
33 CFR 600.518(d)
33 CFR 600.506(d)
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