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118S1724 | Bicycle Commuter Act of 2023 | [
[
"B000944",
"Sen. Brown, Sherrod [D-OH]",
"sponsor"
]
] | <p> <strong>Bicycle Commuter Act of 2023 </strong></p> <p>This bill reinstates and expands the tax exclusion for employer-provided fringe benefits for bicycle commuting. It allows employees a bicycle commuting benefit equal to 30% of parking fringe benefits. </p> <p>The bill repeals the suspension period (2018-2025) applicable to such tax exclusion and revises definitions applicable to bicycle commuting benefits to make electric bicycles and certain scooters eligible for the tax exclusion.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1724 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1724
To amend the Internal Revenue Code of 1986 to modify employer-provided
fringe benefits for bicycle commuting.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Brown introduced the following bill; which was read twice and
referred to the Committee on Finance
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to modify employer-provided
fringe benefits for bicycle commuting.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Bicycle Commuter Act of 2023''.
SEC. 2. REINSTATEMENT AND EXPANSION OF EMPLOYER-PROVIDED FRINGE
BENEFITS FOR BICYCLE COMMUTING.
(a) Repeal of Suspension of Exclusion for Qualified Bicycle
Commuting Benefits.--Section 132(f) of the Internal Revenue Code of
1986 is amended by striking paragraph (8).
(b) Expansion of Bicycle Commuting Benefits.--Section 132(f)(5)(F)
of such Code is amended to read as follows:
``(F) Definitions related to bicycle commuting
benefits.--
``(i) Qualified bicycle commuting
benefit.--The term `qualified bicycle commuting
benefit' means, with respect to any calendar
year--
``(I) any employer reimbursement
during the 15-month period beginning
with the first day of such calendar
year for reasonable expenses incurred
by the employee during such calendar
year for the purchase (including
associated finance charges), lease,
rental (including a bikeshare),
improvement, repair, or storage of
qualified commuting property, or
``(II) the direct or indirect
provision by the employer to the
employee during such calendar year of
the use (including a bikeshare),
improvement, repair, or storage of
qualified commuting property,
if the employee regularly uses such qualified
commuting property for travel between the
employee's residence, place of employment, a
qualified parking facility, or a mass transit
facility that connects the employee to their
residence or place of employment.
``(ii) Qualified commuting property.--The
term `qualified commuting property' means--
``(I) any bicycle (other than a
bicycle equipped with any motor),
``(II) any electric bicycle,
``(III) any 2- or 3-wheel scooter
(other than a scooter equipped with any
motor), and
``(IV) any 2- or 3-wheel scooter
propelled by an electric motor if such
motor does not provide assistance if
the speed of such scooter exceeds 20
miler per hour (or if the speed of such
scooter is not capable of exceeding 20
miles per hour) and the weight of such
scooter does not exceed 100 pounds.
``(iii) Electric bicycle.--The term
`electric bicycle' means a bicycle which is
equipped with fully operable pedals, a saddle
or seat for the rider, and an electric motor
which is less than 750 watts, designed to
provide assistance in propelling the bicycle,
and--
``(I) does not provide such
assistance if the bicycle is moving in
excess of 20 miler per hour, or
``(II) if such motor only provides
such assistance when the rider is
pedaling, does not provide such
assistance if the bicycle is moving in
excess of 28 miles per hour.
``(iv) Bikeshare.--The term `bikeshare'
means a rental operation at which qualified
commuting property is made available to
customers to pick up and drop off for point-to-
point use within a defined geographic area.''.
(c) Limitation on Exclusion.--Section 132(f)(2)(C) of such Code is
amended to read as follows:
``(C) 30 percent of the dollar amount in effect
under subparagraph (B) per month in the case of any
qualified bicycle commuting benefit.''.
(d) No Constructive Receipt.--Section 132(f)(4) of such Code is
amended by striking ``(other than a qualified bicycle commuting
reimbursement)''.
(e) Conforming Amendments.--
(1) Section 132(f)(1)(D) of such Code is amended by
striking ``reimbursement'' and inserting ``benefit''.
(2) Section 274(l) of such Code is amended by striking
paragraph (2).
(f) Effective Date.--The amendments made by this section shall
apply to taxable years beginning after December 31, 2022.
<all>
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118S1725 | Red Tape Reduction Act of 2023 | [
[
"B000944",
"Sen. Brown, Sherrod [D-OH]",
"sponsor"
],
[
"C001075",
"Sen. Cassidy, Bill [R-LA]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1725 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1725
To amend the Internal Revenue Code of 1986 to modify the exception for
de minimis payments by third party settlement organizations.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Brown (for himself and Mr. Cassidy) introduced the following bill;
which was read twice and referred to the Committee on Finance
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to modify the exception for
de minimis payments by third party settlement organizations.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Red Tape Reduction Act of 2023''.
SEC. 2. MODIFICATION OF EXCEPTION FOR DE MINIMIS PAYMENTS BY THIRD
PARTY SETTLEMENT ORGANIZATIONS.
(a) In General.--Subsection (e) of section 6050W of the Internal
Revenue Code of 1986 is amended by striking ``any participating payee
if'' and all that follows and inserting ``any participating payee if--
``(1) the amount which would otherwise be reported under
subsection (a)(2) with respect to such transactions does not
exceed $10,000, or
``(2) the aggregate number of such transactions does not
exceed 50.''.
(b) Effective Date.--The amendment made by this section shall apply
to transactions settled after December 31, 2023.
<all>
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118S1726 | WOLF Act of 2023 | [
[
"L000570",
"Sen. Lujan, Ben Ray [D-NM]",
"sponsor"
],
[
"S001191",
"Sen. Sinema, Kyrsten [I-AZ]",
"cosponsor"
],
[
"C001056",
"Sen. Cornyn, John [R-TX]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1726 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1726
To amend the Agricultural Act of 2014 to provide emergency relief to
producers of livestock with herds adversely affected by Mexican gray
wolves, and for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Lujan (for himself, Ms. Sinema, and Mr. Cornyn) introduced the
following bill; which was read twice and referred to the Committee on
Agriculture, Nutrition, and Forestry
_______________________________________________________________________
A BILL
To amend the Agricultural Act of 2014 to provide emergency relief to
producers of livestock with herds adversely affected by Mexican gray
wolves, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``WOlf and Livestock Fairness Act of
2023'' or the ``WOLF Act of 2023''.
SEC. 2. LIVESTOCK INDEMNITY PAYMENT RATES.
Section 1501(b)(2) of the Agricultural Act of 2014 (7 U.S.C.
9081(b)(2)) is amended--
(1) by redesignating subparagraphs (A) and (B) as clauses
(i) and (ii), respectively, and indenting appropriately;
(2) in the matter preceding clause (i) (as so
redesignated), by striking ``Indemnity payments'' and inserting
the following:
``(A) In general.--Except as provided in
subparagraph (B), indemnity payments''; and
(3) by adding at the end the following:
``(B) Attacks by mexican gray wolves.--In the case
of attacks on livestock by Mexican gray wolves,
indemnity payments to an eligible producer on a farm
under paragraph (1) shall be made at a rate of 100
percent of the market value of the affected livestock,
as determined by the Secretary, on the applicable date
described in clause (i) or (ii) of subparagraph (A).''.
SEC. 3. EMERGENCY RELIEF TO MITIGATE EFFECT OF MEXICAN GRAY WOLVES.
Section 1501(d) of the Agricultural Act of 2014 (7 U.S.C. 9081(d))
is amended by adding at the end the following:
``(5) Emergency relief to mitigate effect of mexican gray
wolves.--
``(A) In general.--Each fiscal year, the Secretary
shall use funds made available under paragraph (1) to
provide emergency relief to producers of livestock with
herds adversely affected by Mexican gray wolves, as
determined by the Secretary.
``(B) Formula.--Not later than 180 days after the
date of enactment of this paragraph, the Secretary
shall develop a formula to determine the amount of
emergency relief to provide to a producer of livestock
under subparagraph (A), which shall take into
consideration the following factors:
``(i) The herd size of the producer.
``(ii) The average annual number of
confirmed depredations by Mexican gray wolves
per producer in the State in which the producer
is located.
``(iii) The average annual increase in
management costs for producers due to Mexican
gray wolves during the preceding 5 years in the
State in which the producer is located.
``(iv) The average annual decrease in birth
rates of herds of producers due to Mexican gray
wolves during the preceding 5 years in the
State in which the producer is located.
``(v) The depredation prevention practices
carried out by the producer, if any, as
reported through the wolf compensation and
prevention program established by section 6202
of the Omnibus Public Land Management Act of
2009 (7 U.S.C. 8351 note; Public Law 111-11).
``(C) Consultation.--In carrying out this
paragraph, the Secretary shall consult with, and
request information from, as necessary, the
Administrator of the Farm Service Agency, the
Administrator of the Animal and Plant Health Inspection
Service, and the Director of the United States Fish and
Wildlife Service.
``(D) Annual report.--Not later than 1 year after
the date on which emergency relief is first provided
under this paragraph, and annually thereafter, the
Secretary shall submit to the Committee on Agriculture
of the House of Representatives and the Committee on
Agriculture, Nutrition, and Forestry of the Senate a
report on activities carried out under this paragraph,
which shall include an identification of the following:
``(i) The amount of emergency relief
distributed to producers under this paragraph.
``(ii) The number of producers receiving
emergency relief under this paragraph.''.
<all>
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118S1727 | SECURE Act | [
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[From the U.S. Government Publishing Office]
[S. 1727 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1727
To provide a process for granting lawful permanent resident status to
aliens from certain countries who meet specified eligibility
requirements, and for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Van Hollen (for himself, Mr. Wyden, Mr. Whitehouse, Ms. Warren, Mr.
Warner, Ms. Smith, Mr. Schatz, Mr. Sanders, Mr. Bennet, Mr. Booker, Mr.
Brown, Mr. Blumenthal, Mr. Cardin, Mr. Coons, Ms. Cortez Masto, Ms.
Duckworth, Mr. Durbin, Mrs. Feinstein, Mrs. Gillibrand, Mr.
Hickenlooper, Ms. Hirono, Mr. Kaine, Ms. Klobuchar, Mr. Markey, Mrs.
Murray, Mr. Padilla, Mr. Reed, and Ms. Rosen) introduced the following
bill; which was read twice and referred to the Committee on the
Judiciary
_______________________________________________________________________
A BILL
To provide a process for granting lawful permanent resident status to
aliens from certain countries who meet specified eligibility
requirements, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLES.
This Act may be cited as the ``Safe Environment from Countries
Under Repression and Emergency Act'' or the ``SECURE Act''.
SEC. 2. ADJUSTMENT OF STATUS OF CERTAIN FOREIGN NATIONALS.
(a) Adjustment of Status.--
(1) Authorization.--
(A) In general.--Notwithstanding section 245(c) of
the Immigration and Nationality Act (8 U.S.C. 1255(c)),
the status of any alien described in subsection (b)(1)
shall be adjusted by the Secretary of Homeland Security
to that of an alien lawfully admitted for permanent
residence if the alien--
(i) is not inadmissible under paragraph (2)
or (3) of section 212(a) of such Act (8 U.S.C.
1182(a));
(ii) is not deportable under paragraph (2),
(3), or (4) of section 237(a) of such Act (8
U.S.C. 1227(a)); and
(iii) is not described in section
208(b)(2)(A)(i) of such Act (8 U.S.C.
1158(b)(2)(A)(i)).
(B) Treatment of expunged convictions.--For
purposes of this Act, the term ``conviction'' does not
include a judgment that has been expunged or set aside
that resulted in a rehabilitative disposition or the
equivalent.
(2) Application.--
(A) In general.--Except as provided in subparagraph
(B), any alien who is physically present in the United
States may apply for adjustment of status under this
section.
(B) Applications from outside united states for
certain aliens previously removed or who departed.--In
the case of an alien who, on or after September 28,
2016, was removed from the United States or departed
pursuant to an order of voluntary departure, the alien
may apply for adjustment of status under this section
from outside the United States if, on the day before
the date on which the alien was so removed or so
departed, the alien was an alien described in
subsection (b)(1).
(C) Fee.--
(i) In general.--The Secretary of Homeland
Security shall require any alien applying for
permanent resident status under this section to
pay a reasonable fee that is commensurate with
the cost of processing the application. Such
fee may not exceed $1,140.
(ii) Fee exemption.--An applicant may be
exempted from paying the application fee
required under clause (i) if the applicant--
(I) is younger than 18 years of
age;
(II) received total income, during
the 12-month period immediately
preceding the date on which the
applicant files an application under
this section, that is less than 150
percent of the Federal poverty line;
(III) is in foster care or
otherwise lacking any parental or other
familial support; or
(IV) cannot care for himself or
herself because of a serious, chronic
disability.
(D) Relationship of application to certain
orders.--
(i) Motion not required.--An alien
described in subparagraph (A) or (B) who has
been the subject of an order of removal or
voluntary departure may not be required, as a
condition of submitting or approving an
application under such subparagraph, to file a
motion to reopen, reconsider, or vacate such
order.
(ii) Approval.--If the Secretary of
Homeland Security approves an application
submitted by an alien under this paragraph, the
Secretary shall cancel any order of removal or
voluntary departure to which the alien is or
was subject.
(iii) Denial.--If the Secretary of Homeland
Security renders a final administrative
decision to deny an application submitted by an
alien under this paragraph, any order of
removal or voluntary departure to which the
alien is subject shall be effective and
enforceable to the same extent as if such
application had not been made.
(b) Aliens Eligible for Adjustment of Status.--
(1) In general.--An alien is described in this subsection
if the alien--
(A) is a national of a foreign state that was at
any time designated under section 244(b) of the
Immigration and Nationality Act (8 U.S.C. 1254a(b));
(B)(i) is in temporary protected status under
section 244 of the Immigration and Nationality Act (8
U.S.C. 1254a);
(ii) held temporary protected status as a national
of a designated foreign state described in subparagraph
(A);
(iii) qualified for temporary protected status on
the date on which the last designation or extension was
made by the Secretary of Homeland Security; or
(iv) was present in the United States pursuant to a
grant of deferred enforced departure that had been
extended beyond September 28, 2016;
(C)(i) has been continuously present in the United
States for not less than 3 years and is physically
present in the United States on the date on which the
alien files an application for adjustment of status
under this section; or
(ii) in the case of an alien who, on or after
September 28, 2016, was removed from the United States
or departed pursuant to an order of voluntary
departure, was continuously present in the United
States for a period of not less than 3 years before the
date on which the alien was so removed or so departed;
and
(D) passes all applicable criminal and national
security background checks.
(2) Short absences.--An alien shall not be considered to
have failed to maintain continuous physical presence in the
United States under paragraph (1)(C) by reason of an absence,
or multiple absences, from the United States for any period or
periods that do not exceed, in the aggregate, 180 days.
(3) Waiver authorized.--Notwithstanding any provision of
the Immigration and Nationality Act (8 U.S.C. 1101 et seq.), an
alien who fails to meet the continuous physical presence
requirement under paragraph (1)(C) shall be considered eligible
for adjustment of status under this section if the Attorney
General or the Secretary of Homeland Security, as applicable,
determines that the removal or continued absence of the alien
from the United States, as applicable, would result in extreme
hardship to the alien or to the alien's spouse, children,
parents, or domestic partner.
(c) Stay of Removal.--
(1) In general.--Except as provided in paragraph (2), an
alien who is subject to a final order of removal may not be
removed if the alien--
(A) has a pending application under subsection (a);
or
(B)(i) is prima facie eligible to file an
application under subsection (a); and
(ii) indicates that he or she intends to file such
an application.
(2) Exception.--Paragraph (1) shall not apply to any alien
whose application under subsection (a) has been denied by the
Secretary of Homeland Security in a final administrative
determination.
(3) During certain proceedings.--
(A) In general.--Except as provided in subparagraph
(B) and notwithstanding any provision of the
Immigration and Nationality Act (8 U.S.C. 1101 et
seq.), the Secretary of Homeland Security may not order
any alien to be removed from the United States if the
alien raises, as a defense to such an order, the
eligibility of the alien to apply for adjustment of
status under subsection (a).
(B) Exception.--Subparagraph (A) shall not apply to
any alien whose application under subsection (a) has
been denied by the Secretary of Homeland Security in a
final administrative determination.
(4) Work authorization.--The Secretary of Homeland
Security--
(A) shall authorize any alien who has applied for
adjustment of status under subsection (a) to engage in
employment in the United States while such application
is pending; and
(B) may provide such alien with an ``employment
authorized'' endorsement or other appropriate document
signifying such employment authorization.
(d) Advance Parole.--
(1) In general.--During the period beginning on the date on
which an alien applies for adjustment of status under this Act
and ending on the date on which the Secretary of Homeland
Security makes a final decision regarding such application, the
alien shall be eligible to apply for advance parole.
(2) Applicability.--Section 101(g) of the Immigration and
Nationality Act (8 U.S.C. 1101(g)) shall not apply to an alien
granted advance parole under this subsection.
(e) Adjustment of Status for Spouses and Children.--
(1) In general.--Notwithstanding section 245(c) of the
Immigration and Nationality Act (8 U.S.C. 1255(c)) and except
as provided in paragraphs (2) and (3), the Secretary of
Homeland Security shall adjust the status of an alien to that
of an alien lawfully admitted for permanent residence if the
alien--
(A) is the spouse, domestic partner, child, or
unmarried son or daughter of an alien whose status has
been adjusted to that of an alien lawfully admitted for
permanent residence under subsection (a);
(B) is physically present in the United States on
the date on which the alien files an application for
such adjustment of status; and
(C) is otherwise eligible to receive an immigrant
visa and is otherwise admissible to the United States
for permanent residence.
(2) Continuous presence requirement.--
(A) In general.--The status of an unmarried son or
daughter referred to in paragraph (1)(A) may not be
adjusted under paragraph (1) until such son or daughter
establishes that he or she has been physically present
in the United States for at least 1 year.
(B) Short absences.--An alien shall not be
considered to have failed to maintain continuous
physical presence in the United States under
subparagraph (A) by reason of an absence, or multiple
absences, from the United States for any period or
periods that do not exceed, in the aggregate, 180 days.
(3) Waiver.--In determining eligibility and admissibility
under paragraph (1)(C), the grounds for inadmissibility under
paragraphs (4), (5), (6), (7)(A), and (9) of section 212(a) of
the Immigration and Nationality Act (8 U.S.C. 1182(a)) shall
not apply.
(f) Clarification of Inspection and Admission Under Temporary
Protected Status.--Section 244(f)(4) of the Immigration and Nationality
Act (8 U.S.C. 1254a(f)(4)) is amended by inserting ``as having been
inspected and admitted into the United States, and'' after
``considered''.
(g) Availability of Administrative Review.--The Secretary of
Homeland Security shall provide applicants for adjustment of status
under subsection (a) the same right to, and procedures for,
administrative review as are provided to--
(1) applicants for adjustment of status under section 245
of the Immigration and Nationality Act (8 U.S.C. 1255); or
(2) aliens who are subject to removal proceedings under
section 240 of such Act (8 U.S.C. 1229a).
(h) Exceptions to Numerical Limitations.--The numerical limitations
set forth in sections 201 and 202 of the Immigration and Nationality
Act (8 U.S.C. 1151 and 1152) shall not apply to aliens whose status is
adjusted pursuant to subsection (a).
SEC. 3. CONFIDENTIALITY OF INFORMATION.
(a) In General.--The Secretary of Homeland Security may not
disclose or use information provided in applications filed under
section 2 for the purpose of immigration enforcement.
(b) Referrals Prohibited.--The Secretary may not refer any
individual who has been granted permanent resident status under section
2 to U.S. Immigration and Customs Enforcement, U.S. Customs and Border
Protection, or any designee of either such entity.
(c) Limited Exception.--Notwithstanding subsections (a) and (b),
information provided in an application for permanent resident status
under section 2 may be shared with Federal security and law enforcement
agencies--
(1) for assistance in the consideration of an application
for permanent resident status under such section;
(2) to identify or prevent fraudulent claims;
(3) for national security purposes; or
(4) for the investigation or prosecution of any felony not
related to immigration status.
(d) Penalty.--Any person who knowingly uses, publishes, or permits
information to be examined in violation of this section shall be fined
not more than $10,000.
SEC. 4. ADDITIONAL REPORTING REQUIREMENTS REGARDING FUTURE DISCONTINUED
ELIGIBILITY OF ALIENS FROM COUNTRIES CURRENTLY LISTED
UNDER TEMPORARY PROTECTED STATUS.
Section 244(b)(3) of the Immigration and Nationality Act (8 U.S.C.
1254a(b)(3)) is amended--
(1) in subparagraph (A)--
(A) by striking ``Attorney General'' each place
such term appears and inserting ``Secretary of Homeland
Security''; and
(B) by inserting ``(including a recommendation from
the Secretary of State that is received by the
Secretary of Homeland Security not later than 90 days
before the end of such period of designation)'' after
``Government''; and
(2) in subparagraph (B)--
(A) by striking ``If the Attorney General'' and
inserting the following:
``(i) In general.--If the Secretary of
Homeland Security''; and
(B) in clause (i), as designated by subparagraph
(A), by striking ``Attorney General'' and inserting
``Secretary''; and
(C) by adding at the end the following:
``(ii) Report.--Not later than 3 days after
the publication of the Secretary's
determination in the Federal Register that a
country's designation under paragraph (1) is
being terminated, the Secretary shall submit a
report to the Committee on the Judiciary of the
Senate and the Committee on the Judiciary of
the House of Representatives that includes--
``(I) an explanation of the event
or events that initially prompted such
country's designation under paragraph
(1);
``(II) the progress the country has
made in remedying the designation under
paragraph (1), including any
significant challenges or shortcomings
that have not been addressed since the
initial designation;
``(III) a statement indicating
whether the country has requested a
designation under paragraph (1), a
redesignation under such paragraph, or
an extension of such designation; and
``(IV) an analysis, with applicable
and relevant metrics, as determined by
the Secretary, of the country's ability
to repatriate its nationals,
including--
``(aa) the country's
financial ability to provide
for its repatriated citizens;
``(bb) the country's
financial ability to address
the initial designation under
paragraph (1) without foreign
assistance;
``(cc) the country's gross
domestic product and per capita
gross domestic product per
capita;
``(dd) an analysis of the
country's political stability
and its ability to be
economically self-sufficient
without foreign assistance;
``(ee) the economic and
social impact the repatriation
of nationals in possession of
temporary protected status
would have on the recipient
country; and
``(ff) any additional
metrics the Secretary considers
necessary.''.
SEC. 5. OTHER MATTERS.
(a) Application of Immigration and Nationality Act Provisions.--
Except as otherwise specifically provided in this Act, the definitions
under section 101 of the Immigration and Nationality Act (8 U.S.C.
1101) shall apply when such terms are used in this Act.
(b) Savings Provision.--Nothing in this Act may be construed to
repeal, amend, alter, modify, effect, or restrict the powers, duties,
functions, or authority of the Secretary of Homeland Security in the
administration and enforcement of the immigration laws.
(c) Eligibility for Other Immigration Benefits.--Any alien who is
eligible to be granted the status of an alien lawfully admitted for
permanent residence under section 2 may not be precluded from seeking
such status under any other provision of law for which the alien may
otherwise be eligible.
<all>
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] | <p><strong>Ethan's Law</strong></p> <p>This bill establishes a framework to regulate the storage of firearms on residential premises at the federal, state, and tribal levels.</p> <p>At the federal level, the bill establishes statutory requirements for firearms on residential premises to be safely stored if a minor is likely to gain access without permission or if a resident is ineligible to possess a firearm.</p> <p>An individual who violates the requirements is subject to criminal penalties. A firearm stored in violation of the requirements is subject to seizure and forfeiture.</p> <p>At the state and tribal levels, the bill requires the Department of Justice to award grants to implement functionally identical requirements for the safe storage of firearms. </p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 173 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 173
To amend chapter 44 of title 18, United States Code, to require the
safe storage of firearms, and for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
January 31, 2023
Mr. Blumenthal (for himself, Mr. Murphy, Mr. Casey, Mr. Padilla, Mr.
Coons, Mr. Wyden, Ms. Warren, Mr. Reed, Mrs. Gillibrand, Mr. Markey,
Ms. Hirono, Mr. Menendez, Mrs. Feinstein, Mr. Sanders, Ms. Duckworth,
Mr. Merkley, Mr. Kaine, Ms. Baldwin, Mr. Booker, Mr. Whitehouse, Mr.
King, Ms. Stabenow, Mrs. Murray, Mr. Brown, Mr. Kelly, Mr. Lujan, Mrs.
Shaheen, Mr. Durbin, and Mr. Welch) introduced the following bill;
which was read twice and referred to the Committee on the Judiciary
_______________________________________________________________________
A BILL
To amend chapter 44 of title 18, United States Code, to require the
safe storage of firearms, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as ``Ethan's Law''.
SEC. 2. FINDINGS.
Congress find the following:
(1) An estimated 4,600,000 minors in the United States live
in homes with at least 1 unsecured firearm.
(2) Seventy-three percent of children under the age of 10
living in homes with firearms reported knowing the location of
their parents' firearms. Thirty-six percent of those children
reported handling their parents' unsecured firearms.
(3) The presence of unsecured firearms in the home
increases the risk of unintentional and intentional shootings.
Over 75 percent of firearms used in youth suicide attempts and
unintentional firearm injuries were stored in the residence of
the victim, a relative, or a friend.
(4) The United States Secret Service and the Department of
Education report that in 65 percent of deadly school shootings,
the attacker obtained the firearm from his or her own home or
that of a relative.
(5) In the last decade, nearly 2,000,000 firearms have been
reported stolen. In 2016 alone, 238,000 firearms were reported
stolen in the United States. Between 2010 and 2016, police
recovered more than 23,000 stolen firearms across jurisdictions
that were used to commit kidnappings, armed robberies, sexual
assaults, murders, and other violent crimes.
(6) Higher levels of neighborhood gun violence drive
depopulation, discourage commercial activity, and decrease
property values, resulting in fewer business establishments,
fewer jobs, lower home values, and lower home ownership rates.
(7) The negative economic impact of gun violence in
communities is tied directly to the national economy and
interstate commerce.
(8) Congress has the power under the interstate commerce
clause and other provisions of the Constitution of the United
States to enact measures ensuring firearms are securely stored.
SEC. 3. SECURE GUN STORAGE OR SAFETY DEVICE.
Section 922(z) of title 18, United States Code, is amended by
adding at the end the following:
``(4) Secure gun storage by owners.--
``(A) Offense.--
``(i) In general.--Except as provided in
clause (ii), it shall be unlawful for a person
to store or keep any firearm that has moved in,
or that has otherwise affected, interstate or
foreign commerce on the premises of a residence
under the control of the person if the person
knows, or reasonably should know, that--
``(I) a minor is likely to gain
access to the firearm without the
permission of the parent or guardian of
the minor; or
``(II) a resident of the residence
is ineligible to possess a firearm
under Federal, State, or local law.
``(ii) Exception.--Clause (i) shall not
apply to a person if the person--
``(I) keeps the firearm--
``(aa) secure using a
secure gun storage or safety
device; or
``(bb) in a location that a
reasonable person would believe
to be secure; or
``(II) carries the firearm on his
or her person or within such close
proximity thereto that the person can
readily retrieve and use the firearm as
if the person carried the firearm on
his or her person.
``(B) Penalty.--
``(i) In general.--Any person who violates
subparagraph (A) shall be fined $500 per
violation.
``(ii) Enhanced penalty.--If a person
violates subparagraph (A) and a minor or a
resident who is ineligible to possess a firearm
under Federal, State, or local law obtains the
firearm and causes injury or death to such
minor or resident, or to any other individual,
the person shall be fined under this title,
imprisoned for not more than 5 years, or both.
``(iii) Forfeiture of improperly stored
firearm.--Any firearm stored in violation of
subparagraph (A) shall be subject to seizure
and forfeiture in accordance with the
procedures described in section 924(d).
``(C) Minor defined.--In this paragraph, the term
`minor' means an individual who is less than 18 years
of age.''.
SEC. 4. FIREARM SAFE STORAGE PROGRAM.
Title I of the Omnibus Crime Control and Safe Streets Act of 1968
(34 U.S.C. 10101 et seq.) is amended by adding at the end the
following:
``PART PP--FIREARM SAFE STORAGE PROGRAM
``SEC. 3061. FIREARM SAFE STORAGE PROGRAM.
``(a) In General.--The Assistant Attorney General shall make grants
to an eligible State or Indian Tribe to assist the State or Indian
Tribe in carrying out the provisions of any State or Tribal law that is
functionally identical to section 922(z)(4) of title 18, United States
Code.
``(b) Eligible State or Indian Tribe.--
``(1) In general.--Except as provided in paragraph (2), a
State or Indian Tribe shall be eligible to receive grants under
this section on and after the earliest date as of which--
``(A) the State or Indian Tribe has enacted a law
that is functionally identical to section 922(z)(4) of
title 18, United States Code; and
``(B) the attorney general of the State (or
comparable Tribal official) has submitted a written
certification to the Assistant Attorney General stating
that the law of the State or Indian Tribe reflects the
sense of Congress in section 922(z)(4)(D) of such title
18.
``(2) First year eligibility exception.--
``(A) In general.--A covered State or Indian Tribe
shall be eligible to receive a grant under this section
during the 1-year period beginning on the date of
enactment of this part.
``(B) Covered state or indian tribe.--In this
paragraph, the term `covered State or Indian Tribe'
means a State or Indian Tribe that, before the date of
enactment of this part, enacted a law--
``(i) that is functionally identical to
section 922(z)(4) of title 18, United States
Code; and
``(ii) for which the attorney general of
the State (or comparable Tribal official)
submits a written certification to the
Assistant Attorney General stating that the law
of the State or Indian Tribe reflects the sense
of Congress in section 922(z)(4)(D) of such
title 18.
``(c) Use of Funds.--Funds awarded under this section may be used
by a State or Indian Tribe to assist law enforcement agencies or the
courts of the State or Indian Tribe in enforcing and otherwise
facilitating compliance with any State or Tribal law functionally
identical to section 922(z)(4) of title 18, United States Code.
``(d) Application.--An eligible State or Indian Tribe desiring a
grant under this section shall submit to the Assistant Attorney General
an application at such time, in such manner, and containing or
accompanied by such information, as the Assistant Attorney General may
reasonably require.
``(e) Incentives.--For each of fiscal years 2023 through 2027, the
Attorney General shall give affirmative preference to all Bureau of
Justice Assistance discretionary grant applications of a State or
Indian Tribe that has enacted a law--
``(1) functionally identical to section 922(z)(4) of title
18, United States Code; and
``(2) for which the attorney general of the State (or
comparable Tribal official) submits a written certification to
the Assistant Attorney General stating that the law of the
State or Indian Tribe reflects the sense of Congress in section
922(z)(4)(D) of such title 18.''.
SEC. 5. SENSE OF CONGRESS.
Paragraph (4) of section 922(z) of title 18, United States Code, as
added by section 3, is amended by adding at the end the following:
``(D) Sense of congress relating to liability.--It
is the sense of Congress that--
``(i) failure to comply with subparagraph
(A) constitutes negligence under any relevant
statute or common law rule; and
``(ii) when a violation of subparagraph (A)
is the but-for cause of a harm caused by the
discharge of a firearm, such violation should
be deemed to be the legal or proximate cause of
such harm, regardless of whether such harm was
also the result of an intentional tort.''.
SEC. 6. SEVERABILITY.
If any provision of this Act, or an amendment made by this Act, or
the application of such provision to any person or circumstance, is
held to be invalid, the remainder of this Act, or an amendment made by
this Act, or the application of such provision to other persons or
circumstances, shall not be affected.
<all>
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118S1730 | Data on Interactions and Accountability for Law Enforcement with Individuals with Disabilities Act | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1730 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1730
To strengthen the collection of data regarding interactions between law
enforcement officers and individuals with disabilities.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Casey (for himself, Mr. Sanders, Ms. Warren, Mr. Van Hollen, Mr.
Durbin, Ms. Duckworth, Mr. Menendez, Ms. Hirono, Mr. Fetterman, and Mr.
Brown) introduced the following bill; which was read twice and referred
to the Committee on Health, Education, Labor, and Pensions
_______________________________________________________________________
A BILL
To strengthen the collection of data regarding interactions between law
enforcement officers and individuals with disabilities.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Data on Interactions and
Accountability for Law Enforcement with Individuals with Disabilities
Act''.
SEC. 2. DEFINITIONS.
In this Act:
(1) Disability.--The term ``disability'' has the meaning
given the term in section 3 of the Americans with Disabilities
Act of 1990 (42 U.S.C. 12102).
(2) Institution of higher education.--The term
``institution of higher education'' has the meaning given the
term in section 101 of the Higher Education Act of 1965 (20
U.S.C. 1001).
SEC. 3. ADVISORY COUNCIL ON DISABILITY STATUS AND LAW ENFORCEMENT
INTERACTION DATA COLLECTION.
(a) Definition.--In this section, the term ``Secretary'' means the
Secretary of Health and Human Services.
(b) Establishment.--Not later than 120 days after the date of
enactment of this Act, the Secretary shall establish the Advisory
Council on Disability Status and Law Enforcement Interaction Data
Collection (in this section referred to as the ``Advisory Council'').
(c) Membership.--
(1) Considerations.--The Secretary shall appoint the
members of the Advisory Council in a manner that--
(A) provides diverse representation of populations
underrepresented on advisory committees, such as
underrepresented racial and ethnic populations; and
(B) ensures that more than 50 percent of the
members are individuals with disabilities.
(2) Composition.--The members of the Advisory Council shall
include representatives of--
(A) individuals with disabilities;
(B) individuals aged 65 and older;
(C) law enforcement organizations, including
representatives of rank and file law enforcement
officers;
(D) faculty or researchers, at institutions of
higher education or other research institutions, with
expertise in disability research;
(E) faculty or researchers, at institutions of
higher education or other research institutions, with
expertise in criminal justice research and statistics;
(F) States, including State surveying agencies;
(G) State and local public safety agencies;
(H) nonprofit organizations led by and serving the
disability population;
(I) the National Quality Forum or other quality
measurement entity; and
(J) the Bureau of Justice Statistics of the
Department of Justice.
(d) Chairperson; Vice-Chairperson.--The Secretary shall select--
(1) a member of the Advisory Council who is an individual
with a disability to be the chairperson of the Advisory
Council; and
(2) a member of the Advisory Council who is a
representative of a law enforcement agency to be the vice-
chairperson of the Advisory Council.
(e) Duties.--
(1) Data collection and reporting development.--The
Advisory Council shall--
(A) develop a valid and reliable data collection
and reporting methodology on interactions between law
enforcement officers and individuals with disabilities;
and
(B) provide recommendations to the Attorney General
on best practices to collect disability status data in
instances where a death, a shooting, or an injury has
occurred as a result of an interaction with a law
enforcement officer.
(2) Recommendations.--Not later than 2 years after the date
of enactment of this Act, the Advisory Council shall submit to
the Secretary, the Attorney General, the Committee on Finance
and the Special Committee on Aging of the Senate, and the
Committee on Ways and Means and the Committee on Energy and
Commerce of the House of Representatives, the recommended data
collection and reporting methodology and other recommendations
developed under paragraph (1).
(f) Independent Study.--
(1) Grant authorized.--After receiving the recommendations
under subsection (e)(2), the Secretary shall award a grant, to
an independent research organization or institution of higher
education, to conduct an independent study to test the validity
and reliability of the data collection and reporting
methodology developed under such subsection.
(2) Review by advisory council.--The Secretary shall share
the results of the study conducted under paragraph (1) with the
Advisory Council as soon as practicable.
(g) Report.--
(1) In general.--Not later than 180 days after receiving
the results of the study conducted under subsection (f), the
Advisory Council shall reconvene and prepare and submit a
report to the Secretary, the Attorney General, the Committee on
Finance and the Special Committee on Aging of the Senate, and
the Committee on Ways and Means and the Committee on Energy and
Commerce of the House of Representatives, with final
recommendations on best practices to collect data on the
interactions between law enforcement officers and individuals
with disabilities.
(2) Public availability.--Upon receiving the report
described in paragraph (1), the Secretary shall make the report
available to the public.
(h) Adoption of Best Practices by Attorney General.--The Attorney
General shall review the best practices recommended in the report under
subsection (g)(1) and, to the extent that the Attorney General
determines appropriate, implement the best practices within the
Department of Justice.
(i) Termination.--The Advisory Council shall terminate by not later
than 30 days after the submission of the report to the Secretary under
subsection (g)(1).
SEC. 4. BUREAU OF JUSTICE STATISTICS SURVEY.
(a) Definition.--In this section, the term ``Director'' means the
Director of the Bureau of Justice Statistics.
(b) Inclusion of Disability Status in Police-Public Contact
Survey.--The Director, in conducting the Police-Public Contact Survey,
shall collect data on the disability status of individuals who have had
contact with law enforcement officers.
(c) Statistic Analysis by Third-Party Organization.--
(1) Grant.--The Director shall award a grant to a single,
independent third-party organization, which may be an
institution of higher education or other research institution,
to conduct a statistical analysis of data collected in the
Police-Public Contact Survey to identify trends in reports of
violence committed by law enforcement officers against
individuals with disabilities.
(2) Deadline.--The Director shall require the third-party
organization that receives the grant under paragraph (1) to
complete the statistical analysis not later than 1 year after
the date on which the Director begins collecting data on
disability status under subsection (b).
SEC. 5. DEATH IN CUSTODY REPORTING ACT.
(a) Disability Status.--Section 2 of the Death in Custody Reporting
Act of 2013 (34 U.S.C. 60105) is amended--
(1) in subsection (b)(1), by inserting ``disability
status,'' after ``ethnicity,'';
(2) in subsection (f), in the heading, by striking ``Study
and Report'' and inserting ``Initial Study and Report''; and
(3) by adding at the end the following:
``(g) Annual Report.--
``(1) In general.--Each year, the Attorney General shall
publish a report on the information reported under subsection
(b) and section 3(a).
``(2) Local disaggregation.--The Attorney General shall
disaggregate the information published under paragraph (1) by
the locality in which the death occurred.''.
(b) FBI Use-of-Force Data Collection Program.--The Death in Custody
Reporting Act of 2013 (Public Law 113-242; 128 Stat. 2860) is amended--
(1) in section 2(c) (34 U.S.C. 60105(c)), by adding at the
end the following:
``(3) Compliance through participation in national use-of-
force data collection.--A State may satisfy the requirement
under subsection (a) by--
``(A) participating in the National Use-of-Force
Data Collection of the Federal Bureau of Investigation;
and
``(B) including with the information reported for
the National Use-of-Force Data Collection the
disability status of each subject of the use of
force.''; and
(2) in section 3 (18 U.S.C. 4001 note)--
(A) by redesignating subsection (c) as subsection
(d); and
(B) by inserting after subsection (b) the
following:
``(c) Compliance Through Participation in National Use-of-Force
Data Collection.--A Federal law enforcement agency may satisfy the
requirement under subsection (a) by--
``(1) participating in the National Use-of-Force Data
Collection of the Federal Bureau of Investigation; and
``(2) including with the information reported for the
National Use-of-Force Data Collection the disability status of
each subject of the use of force.''.
<all>
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118S1732 | Know Your App Act | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1732 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1732
To require application stores to publicly list the country of origin of
the applications that they distribute, and to provide consumers the
ability to protect themselves.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Scott of South Carolina (for himself, Mr. Wicker, and Mr. Lankford)
introduced the following bill; which was read twice and referred to the
Committee on Commerce, Science, and Transportation
_______________________________________________________________________
A BILL
To require application stores to publicly list the country of origin of
the applications that they distribute, and to provide consumers the
ability to protect themselves.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Know Your App Act''.
SEC. 2. FINDINGS; SENSE OF CONGRESS.
(a) Findings.--Congress finds the following:
(1) Minors engaging with internet-linked applications face
heightened susceptibility to privacy risks and potential
exploitation through those applications. It is crucial for
parents and guardians to possess comprehensive knowledge about
the applications being accessed so that they can make informed
decisions to protect their children.
(2) Many users are unaware of the country of origin of the
applications they download and use, as well as the data
handling practices of the developers behind those applications.
This lack of transparency can lead to potential risks for
users, including exposure to foreign government surveillance,
data breaches, and privacy violations. Users have a right to
know baseline information on the country of origin so that they
can personally make decisions to mitigate the threat to their
personal and biometric information.
(3) The potential for foreign governments to access user
data through internet-linked applications presents national
security risks. These risks may include the collection of
sensitive information, espionage, and potential influence over
critical infrastructure.
(4) Increasing transparency and providing users with the
necessary information to make informed decisions about the
applications they download can help protect consumer privacy
and security.
(b) Sense of Congress.--It is the sense of Congress that covered
companies and developers already posses the information necessary to
provide adequate transparency to consumers.
SEC. 3. PUBLIC LISTING OF COUNTRY OF ORIGIN OF APPLICATIONS.
(a) Definitions.--In this section:
(1) Application.--The term ``application'' means a software
application or electronic service that may be run or directed
by a user on a computer, a mobile device, or any other general
purpose computing device.
(2) Application store.--The term ``application store''
means a publicly available website, software application,
electronic service, or platform provided by a device
manufacturer that--
(A) distributes applications from third-party
developers to users of a computer, a mobile device, or
any other general purpose computing device; and
(B) has more than 20,000,000 users in the United
States.
(3) Application store page.--The term ``application store
page'' means the individual, dedicated listing page within an
application store that serves as the primary source of
information on a specific application and provides detailed
information about the application, including the name of the
application, the developer, a description, user ratings and
reviews, screenshots or previews, pricing, and system
requirements.
(4) Assistant secretary.--The term ``Assistant Secretary''
means the Assistant Secretary of Commerce for Communications
and Information.
(5) Beneficial owner.--The term ``beneficial owner''--
(A) means, with respect to a developer of an
application, an individual who, directly or indirectly,
through any contract, arrangement, understanding,
relationship, or otherwise--
(i) exercises substantial control over the
developer; or
(ii) owns or controls not less than 25
percent of the ownership interests of the
developer; and
(B) does not include--
(i) a minor child, as defined in the State
in which the entity is formed, if the
information of the parent or guardian of the
minor child is reported in accordance with this
section;
(ii) an individual acting as a nominee,
intermediary, custodian, or agent on behalf of
another individual;
(iii) an individual acting solely as an
employee of a corporation, limited liability
company, or other similar entity and whose
control over or economic benefits from such
entity is derived solely from the employment
status of the individual;
(iv) an individual whose only interest in a
corporation, limited liability company, or
other similar entity is through a right of
inheritance; or
(v) a creditor of a corporation, limited
liability company, or other similar entity,
unless the creditor meets the requirements of
subparagraph (A).
(6) Country of concern.--The term ``country of concern''
means a country that is on the list described in section 4.
(7) Country of origin.--The term ``country of origin''--
(A) with respect to the developer of an
application, means the country in which the developer
is headquartered or principally operates; and
(B) with respect to the beneficial owner of the
developer of an application--
(i) except as provided in clause (ii),
means the country from which the beneficial
owner principally exercises control over the
developer; and
(ii) if the beneficial owner exercises any
control over the developer from a country of
concern, means that country.
(8) Covered company.--The term ``covered company'' means
any person, entity, or organization that owns, controls, or
operates an application store that serves customers in the
United States.
(9) Developer.--The term ``developer'' means a person that
creates, owns, or controls an application and is responsible
for the design, development, maintenance, and distribution of
the application to end users through an application store.
(10) Primary country of origin.--The term ``primary country
of origin'', with respect to an application--
(A) except as provided in subparagraph (B), means
the country of origin of the developer of the
application; and
(B) if the country of origin of the beneficial
owner of the developer of the application is a country
of concern, means that country.
(11) Prominent display.--The term ``prominent display'',
with respect to an application store page, means a banner that
is immediately and clearly visible when the application store
page is accessed.
(b) Requirements.--
(1) Public listing.--The Assistant Secretary shall require
a covered company to publicly list, in a prominent display on
the application store page, the primary country of origin of
each application distributed through an application store
owned, controlled, or operated by the covered company.
(2) Protections regarding certain foreign countries.--
(A) Filter for certain applications.--The Assistant
Secretary shall require a covered company to provide
users of the covered company's application store with
the option to filter out applications whose primary
country of origin is a country of concern.
(B) Disclaimer for certain applications.--The
Assistant Secretary shall require that if the primary
country of origin of an application is a country of
concern, a covered company that distributes the
application through an application store shall provide
a disclaimer, in a prominent display on the application
store page, that data from the application could be
accessed by a foreign government.
(3) Update of information.--
(A) In general.--The Assistant Secretary shall
require a developer to notify a covered company whose
application store distributes the developer's
application of any change in--
(i) the country of origin of the developer;
(ii) the beneficial owner of the developer;
or
(iii) the country of origin of the
beneficial owner of the developer.
(B) Developer certification.--
(i) In general.--The Assistant Secretary
shall require a developer to certify to each
covered company that owns, controls, or
operates an application store through which the
developer's application is distributed, not
less frequently than annually, that the
information displayed on the application store
page with respect to the application, including
primary country of origin and beneficial
ownership, is up-to-date.
(ii) Violations.--If a developer violates
clause (i)--
(I) the covered company shall issue
the developer a series of not fewer
than 3 warnings over a period of not
more than 90 days; and
(II) if the developer does not
correct the violation by the date that
is 90 days after the date on which the
first warning is issued under subclause
(I), the covered company shall remove
the application of the developer from
the application store.
(4) Reporting mechanism.--The Assistant Secretary shall
require a covered company to establish a mechanism that--
(A) allows a user of the covered company's
application store, an employee of a developer whose
application is distributed through the covered
company's application store, or an associated third
party to report a potential violation of this
subsection by a developer, including incorrect
information displayed on the application store page;
and
(B) allows a report under subparagraph (A) to be
made anonymously.
(5) Written policy for appeals of removals.--The Assistant
Secretary shall require a covered company to establish, for any
application store owned, controlled, or operated by the covered
company, a clear written policy for how a developer can appeal
the removal of an application from the application store and
have the application be reinstated.
SEC. 4. LIST OF FOREIGN COUNTRIES WITH NATIONAL LAWS RESULTING IN
GOVERNMENT CONTROL OVER APPLICATIONS.
(a) In General.--Not later than 180 days after the date of
enactment of this Act, and annually thereafter, the Secretary of the
Treasury and the Secretary of Commerce shall jointly develop and submit
to Congress a list of each foreign country that has in effect a
national law that may subject a developer or application to control by
the government of the country over content moderation, algorithm
design, or user data transfers.
(b) Publication.--With respect to the list developed under
subsection (a)--
(1) the Secretary of the Treasury shall make the list
publicly available on the website of the Department of the
Treasury; and
(2) the Secretary of Commerce shall make the list publicly
available on the website of the Department of Commerce.
SEC. 5. LIMITATION OF ENFORCEMENT AND REGULATION.
The Assistant Secretary may not exercise any enforcement authority
or regulatory authority over a covered company or developer that is not
provided under this Act, including through rulemaking.
SEC. 6. ENFORCEMENT.
The Attorney General may bring a civil action in an appropriate
district court of the United States against any covered company that
violates this Act.
<all>
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118S1733 | POLICE Act of 2023 | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1733 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1733
To make the assault of a law enforcement officer a deportable offense,
and for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Budd (for himself, Mr. Tillis, Mrs. Capito, Mrs. Blackburn, Mr.
Hagerty, Mr. Daines, Mr. Rubio, Mr. Braun, and Mrs. Britt) introduced
the following bill; which was read twice and referred to the Committee
on the Judiciary
_______________________________________________________________________
A BILL
To make the assault of a law enforcement officer a deportable offense,
and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLES.
This Act may be cited as the ``Protect Our Law enforcement with
Immigration Control and Enforcement Act of 2023'' or the ``POLICE Act
of 2023''.
SEC. 2. ASSAULT OF LAW ENFORCEMENT OFFICER.
Section 237(a)(2) of the Immigration and Nationality Act (8 U.S.C.
1227(a)(2)) is amended by adding at the end the following:
``(G) Assault of law enforcement officers.--
``(i) In general.--Any alien who has been
convicted of, who admits having committed, or
who admits committing acts constituting the
essential elements of, and offense involving
the assault of a law enforcement officer is
deportable.
``(ii) Circumstances.--The circumstances
referred to in clause (i) are that the law
enforcement officer was assaulted--
``(I) while he or she was engaged
in the performance of his or her
official duties;
``(II) because of the performance
of his or her official duties; or
``(III) because of his or her
station as a law enforcement officer.
``(iii) Definitions.--In this
subparagraph--
``(I) the term `assault' has the
meaning given such term in the
jurisdiction where the act occurred;
and
``(II) the term `law enforcement
officer' is a person authorized by law
(in the jurisdiction where the act
occurred)--
``(aa) to apprehend,
arrest, or prosecute an
individual for any criminal
violation of law; or
``(bb) to be a firefighter
or other first responder.''.
<all>
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118S1734 | SARFA Act | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1734 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1734
To enhance the research security protocols of the Department of Energy
for the purpose of preventing theft of government research by nationals
of foreign countries of concern, and for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Barrasso introduced the following bill; which was read twice and
referred to the Committee on Energy and Natural Resources
_______________________________________________________________________
A BILL
To enhance the research security protocols of the Department of Energy
for the purpose of preventing theft of government research by nationals
of foreign countries of concern, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Securing American Research from
Foreign Adversaries Act'' or the ``SARFA Act''.
SEC. 2. RESEARCH SECURITY.
Section 10114(a)(2) of the Research and Development, Competition,
and Innovation Act (42 U.S.C. 18912(a)(2)) is amended by striking
``authorized'' and all that follows through the period at the end and
inserting ``administered or provided, as applicable, by the Department
of Energy, including National Laboratories (as defined in section 2 of
the Energy Policy Act of 2005 (42 U.S.C. 15801)).''.
SEC. 3. POLYGRAPH EXAMINATIONS FOR CERTAIN FOREIGN NATIONALS WITH
ACCESS TO NONPUBLIC NATIONAL LABORATORY AREAS OR
INFORMATION.
(a) Definitions.--In this section:
(1) Covered foreign national.--
(A) In general.--The term ``covered foreign
national'' means a foreign national who--
(i) is a citizen or national of, or
otherwise owes allegiance to, a country that,
as of the date described in subparagraph (B),
is a foreign country of concern (as defined in
section 10612(a) of the Research and
Development, Competition, and Innovation Act
(42 U.S.C. 19221(a))); and
(ii) is not--
(I) a national of the United
States; or
(II) lawfully admitted for
permanent residence.
(B) Date described.--The date referred to in
subparagraph (A)(i) is, as applicable--
(i) the date on which the foreign national
begins work--
(I) in a position at a National
Laboratory; or
(II) in any other position at the
Department in which the foreign
national will have access to nonpublic
areas, data, or information of a
National Laboratory; or
(ii) the date on which the foreign national
is initially granted access to nonpublic areas,
data, or information of a National Laboratory
under a contract or agreement with the
Department.
(2) Department.--The term ``Department'' means the
Department of Energy.
(3) Lawfully admitted for permanent residence.--The term
``lawfully admitted for permanent residence'' has the meaning
given the term in section 101(a) of the Immigration and
Nationality Act (8 U.S.C. 1101(a)).
(4) National of the united states.--The term ``national of
the United States'' has the meaning given the term in section
101(a) of the Immigration and Nationality Act (8 U.S.C.
1101(a)).
(5) National laboratory.--The term ``National Laboratory''
has the meaning given the term in section 2 of the Energy
Policy Act of 2005 (42 U.S.C. 15801).
(6) Qualifying polygraph examination.--The term
``qualifying polygraph examination'' means a polygraph
examination that is carried out in a manner that, as determined
by the Secretary, is consistent with Intelligence Community
Policy Guidance 704.6 published by the Director of National
Intelligence and entitled ``Conduct of Polygraph Examinations
for Personnel Security Vetting'' (or successor guidance).
(7) Secretary.--The term ``Secretary'' means the Secretary
of Energy, acting through the Director of the Office of
Intelligence and Counterintelligence.
(b) Qualifying Polygraph Examinations.--
(1) Potential employees of the department.--Before a
covered foreign national is hired by the Department to work in
a position at a National Laboratory or in any position in which
the covered foreign national will have access to nonpublic
areas, data, or information of a National Laboratory, the
Secretary shall administer a qualifying polygraph examination
to the covered foreign national.
(2) Existing employees of the department.--
(A) In general.--Before an employee of the
Department who is a covered foreign national may be
transferred to a position at a National Laboratory or
to any other position at the Department in which the
employee will have access to nonpublic areas, data, or
information of a National Laboratory, the Secretary
shall administer a qualifying polygraph examination to
the employee.
(B) Certain existing employees with access to
nonpublic information.--
(i) Existing employees who are covered
foreign nationals.--Each employee of the
Department who, as of the date of enactment of
this Act, is a covered foreign national who
works in a position at a National Laboratory or
in any other position at the Department in
which the employee has access to nonpublic
areas, data, or information of a National
Laboratory shall be required to submit to a
qualifying polygraph examination by a date
determined by the Secretary, but not later than
1 year after the date of enactment of this Act,
to remain in that position.
(ii) Existing employees who become covered
foreign nationals.--An employee of the
Department who works in a position at a
National Laboratory or in any other position at
the Department in which the employee has access
to nonpublic areas, data, or information of a
National Laboratory shall be required to submit
to a qualifying polygraph examination--
(I) as soon as practicable after
becoming a covered foreign national;
and
(II) before being transferred,
promoted, or otherwise hired into
another position at the Department in
which the employee will have access to
nonpublic areas, data, or information
of a National Laboratory if the
employee is a covered foreign national
as of the date of the transfer,
promotion, or hiring.
(3) Contractors and other individuals with access to
nonpublic information.--Before a covered foreign national is
initially granted access to nonpublic areas, data, or
information of a National Laboratory under a contract or
agreement with the Department, the Secretary shall administer a
qualifying polygraph examination to the covered foreign
national.
(c) Specific Issue Polygraph Examinations.--The Secretary may
require a covered foreign national to submit to a Specific Issue
Polygraph examination (within the meaning of Intelligence Community
Policy Guidance 704.6 published by the Director of National
Intelligence and entitled ``Conduct of Polygraph Examinations for
Personnel Security Vetting'' (or successor guidance)) at any time
during which the covered foreign national is employed by the
Department.
(d) Reexamination.--The Secretary shall require each employee of
the Department who is a covered foreign national to be reexamined with
an appropriate polygraph examination--
(1) not less frequently than once every 5 years while
employed by the Department; and
(2) in a manner consistent with other members of the
intelligence community (as defined in section 3 of the National
Security Act of 1947 (50 U.S.C. 3003)) that require
reexamination every 5 years.
(e) Refusal of Examination; Termination of Employment.--
(1) In general.--If a covered foreign national refuses to
submit to a polygraph examination under this section--
(A) the covered foreign national shall not be
granted access to any nonpublic areas, data, or
information of a National Laboratory, and any existing
grant of access to such areas, data, or information
shall be immediately revoked; and
(B) if the covered foreign national is an employee
of the Department, the employment of the covered
foreign national at the Department shall be terminated.
(2) Certain employees of the department.--
(A) Employees under consideration for transfer to
certain positions.--Paragraph (1)(B) shall apply to an
employee of the Department described in subsection
(b)(2)(A) who does not have access to nonpublic areas,
data, or information of the Department but is under
consideration for a transfer to a position described in
that paragraph such that, if the employee refuses to
submit to a polygraph examination under this section--
(i) the employee shall be ineligible for
the transfer; and
(ii) the employment of the employee at the
Department shall be terminated.
(B) Employees with access to nonpublic areas or
information.--Paragraph (1)(B) shall apply to any
employee of the Department who is a covered foreign
national and works in a position at a National
Laboratory or in any other position at the Department
in which the employee has access to nonpublic areas,
data, or information of a National Laboratory such
that, if the employee refuses to submit to a polygraph
examination under this section, the employment of the
employee at the Department, including at any National
Laboratory, shall be terminated.
(3) Potential employees of the department.--A covered
foreign national who is under consideration for employment in a
position described in subsection (b)(1) and refuses to submit
to a polygraph examination under this section--
(A) shall be removed from consideration for
employment in that position; and
(B) in accordance with paragraph (4), shall not be
eligible for employment at the Department, including at
any National Laboratory.
(4) Subsequent employment at the department.--
(A) In general.--A covered foreign national shall
not be eligible for employment at the Department,
including at any National Laboratory, if the covered
foreign national previously refused to submit to a
polygraph examination under this section.
(B) Change in status.--A foreign national who is
lawfully admitted for permanent residence shall not be
eligible for employment at the Department, including at
any National Laboratory, if the foreign national
previously refused to submit to a polygraph examination
under this section at a time when the foreign national
was a covered foreign national.
(f) Savings Provision.--Nothing in this section authorizes the
Secretary to require an individual who is not a covered foreign
national to submit to a polygraph examination.
<all>
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1735 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1735
To amend the Farm Security and Rural Investment Act of 2002 to improve
assistance to community wood facilities, and for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mrs. Feinstein (for herself, Ms. Collins, Mrs. Shaheen, and Mr. Kelly)
introduced the following bill; which was read twice and referred to the
Committee on Agriculture, Nutrition, and Forestry
_______________________________________________________________________
A BILL
To amend the Farm Security and Rural Investment Act of 2002 to improve
assistance to community wood facilities, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Community Wood Facilities Assistance
Act of 2023''.
SEC. 2. COMMUNITY WOOD FACILITIES GRANT PROGRAM.
Section 9013 of the Farm Security and Rural Investment Act of 2002
(7 U.S.C. 8113) is amended--
(1) in the section heading, by striking ``energy and wood
innovation'' and inserting ``facilities grant'';
(2) in subsection (a)--
(A) in paragraph (1)(A)(iii), in the matter
preceding subclause (I), by striking ``woody biomass,
including'' and inserting ``primarily forest biomass,
including processing or manufacturing''; and
(B) in paragraph (4), by striking ``Energy and Wood
Innovation'' and inserting ``Facilities Grant'';
(3) in subsection (b), by striking ``Energy and Wood
Innovation'' and inserting ``Facilities Grant'';
(4) in subsection (c)--
(A) in paragraph (1), by striking ``35'' and
inserting ``50'';
(B) by striking paragraph (2); and
(C) by redesignating paragraph (3) as paragraph
(2);
(5) in subsection (d), by striking ``exceed--'' in the
matter preceding paragraph (1) and all that follows through the
period at the end of paragraph (2) and inserting ``exceed
$5,000,000.'';
(6) in subsection (e)--
(A) by striking paragraph (1);
(B) by redesignating paragraphs (2) through (8) as
paragraphs (1) through (7), respectively; and
(C) in paragraph (1) (as so redesignated), by
inserting ``or market competitiveness'' after ``cost
effectiveness'';
(7) in subsection (f)--
(A) by striking paragraph (2);
(B) by redesignating paragraphs (3) and (4) as
paragraphs (2) and (3), respectively; and
(C) in paragraph (2) (as so redesignated), by
striking ``use or retrofitting (or both) of existing
sawmill'' and inserting ``construction, use, or
retrofitting of forest products manufacturing'';
(8) in subsection (g)--
(A) in paragraph (1), by striking ``5 megawatts of
thermal energy or combined thermal and electric
energy'' and inserting ``15 megawatts of thermal
energy''; and
(B) in paragraph (2), by striking ``25 percent''
and inserting ``50 percent''; and
(9) in subsection (h), by striking ``$25,000,000 for each
of fiscal years 2019 through 2023'' and inserting ``$50,000,000
for each of fiscal years 2024 through 2028''.
SEC. 3. WOOD INNOVATIONS GRANT PROGRAM.
Section 8643 of the Agriculture Improvement Act of 2018 (7 U.S.C.
7655d) is amended--
(1) in the section heading, by striking ``innovation'' and
inserting ``innovations'';
(2) in subsection (c)--
(A) in the subsection heading, by striking
``Incentivizing Use of Existing Milling'' and inserting
``Expanding Forest Products Manufacturing''; and
(B) by striking ``use or retrofitting (or both) of
existing sawmill'' and inserting ``construction, use,
or retrofitting for forest products manufacturing'';
and
(3) in subsection (d), by inserting ``50 percent of''
before ``the amount''.
<all>
</pre></body></html>
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118S1736 | Farmers First Act of 2023 | [
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"F000479",
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1736 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1736
To amend the Food, Conservation, and Energy Act of 2008 to reauthorize
the Farm and Ranch Stress Assistance Network.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Ms. Baldwin (for herself, Ms. Ernst, Mr. Moran, Mr. Tester, Ms.
Stabenow, Mr. Boozman, Ms. Smith, Ms. Collins, and Mr. Bennet)
introduced the following bill; which was read twice and referred to the
Committee on Agriculture, Nutrition, and Forestry
_______________________________________________________________________
A BILL
To amend the Food, Conservation, and Energy Act of 2008 to reauthorize
the Farm and Ranch Stress Assistance Network.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Farmers First Act of 2023''.
SEC. 2. FARM AND RANCH STRESS ASSISTANCE NETWORK.
Section 7522 of the Food, Conservation, and Energy Act of 2008 (7
U.S.C. 5936) is amended--
(1) in subsection (b)(1)(A), by inserting ``, including
crisis lines'' before the semicolon at the end;
(2) in subsection (d), by striking ``$10,000,000 for each
of fiscal years 2019 through 2023'' and inserting ``$15,000,000
for each of fiscal years 2024 through 2028''; and
(3) by striking subsection (e) and inserting the following:
``(e) Referrals to Providers.--As part of the efforts of the
recipient of a grant under subsection (a) to connect individuals to
behavioral health counseling and wellness support and to ensure
individuals have access to a comprehensive scope of mental health and
substance use treatments and supports, when applicable, the grant
recipient may establish referral relationships with--
``(1) certified community behavioral health clinics
described in section 223 of the Protecting Access to Medicare
Act of 2014 (42 U.S.C. 1396a note; Public Law 113-93);
``(2) health centers (as defined in section 330(a) of the
Public Health Service Act (42 U.S.C. 254b(a)));
``(3) rural health clinics (as defined in section 1861(aa)
of the Social Security Act (42 U.S.C. 1395x(aa)));
``(4) Federally qualified health centers (as defined in
that section); and
``(5) critical access hospitals (as defined in section
1861(mm) of the Social Security Act (42 U.S.C. 1395x(mm))).''.
<all>
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118S1738 | Build Housing with Care Act of 2023 | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1738 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1738
To establish a grant program to address the crises in accessing
affordable housing and child care through the co-location of housing
and child care, and for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Wyden (for himself, Mr. Padilla, Mr. Merkley, Mr. Welch, Ms.
Klobuchar, Ms. Warren, Mr. Whitehouse, and Mr. Heinrich) introduced the
following bill; which was read twice and referred to the Committee on
Banking, Housing, and Urban Affairs
_______________________________________________________________________
A BILL
To establish a grant program to address the crises in accessing
affordable housing and child care through the co-location of housing
and child care, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Build Housing with Care Act of
2023''.
SEC. 2. PURPOSE.
The purpose of this Act is to expand access to affordable housing
and child care through the establishment of a grant program to promote
the co-location of housing and child care providers.
SEC. 3. DEFINITIONS.
In this Act:
(1) Appropriate congressional committees.--The term
``appropriate congressional committees'' means--
(A) the Committee on Banking, Housing, and Urban
Affairs of the Senate;
(B) the Committee on Health, Education, Labor, and
Pensions of the Senate;
(C) the Committee on Financial Services of the
House of Representatives; and
(D) the Committee on Education and the Workforce of
the House of Representatives.
(2) Caregiver; eligible child care provider.--The terms
``caregiver'' and ``eligible child care provider'' have the
meanings given those terms in section 658P of the Child Care
and Development Block Grant Act of 1990 (42 U.S.C. 9858n).
(3) Child care desert.--The term ``child care desert''
means--
(A) a census tract that contains not less than 3
times more children than the licensed child care
providers in the census tract have the capacity to care
for; or
(B) a census tract where there are no licensed
child care providers.
(4) Co-location facility.--The term ``co-location
facility'' means a housing facility that contains an eligible
child care provider within the facility, on the premises of the
facility, or nearby the facility, where such provider serves
the residents of the housing facility.
(5) Community development financial institution.--The term
``community development financial institution'' has the meaning
given the term in section 103 of the Community Development
Banking and Financial Institutions Act of 1994 (12 U.S.C.
4702).
(6) Community development corporation.--The term
``community development corporation'' has the same meaning as
when used in the Cranston-Gonzalez National Affordable Housing
Act (42 U.S.C. 12701 et seq.).
(7) Community housing development organization.--The term
``community housing development organization'' has the meaning
given the term in section 104 of the Cranston-Gonzalez National
Affordable Housing Act (42 U.S.C. 12704).
(8) Eligible entity.--The term ``eligible entity'' means--
(A) a community development financial institution;
(B) an eligible child care provider;
(C) a public housing authority;
(D) a government entity including a public housing
agency;
(E) an Indian Tribe or a Tribal organization;
(F) a community development corporation;
(G) a housing developer using--
(i) low income housing tax credits under
section 42 of the Internal Revenue Code of
1986; or
(ii) new markets tax credits under section
45D of the Internal Revenue Code of 1986;
(H) a nonprofit organization that develops housing;
(I) a community housing development organization;
(J) a consortia of 2 or more entities described in
this paragraph; or
(K) another entity identified as appropriate by the
Secretary.
(9) Indian tribe; tribal organization.--The terms ``Indian
Tribe'' and ``Tribal organization''--
(A) have the meanings given those terms in section
4 of the Indian Self-Determination and Education
Assistance Act (25 U.S.C. 5304); and
(B) include--
(i) tribally designated housing entities;
and
(ii) entities that serve Native Hawaiians,
as defined in section 338K(c) of the Public
Health Service Act (42 U.S.C. 254s(c))).
(10) Low-income family; public housing agency; very low-
income family.--The terms ``low-income family'', ``public
housing agency'', and ``very low-income family'' have the
meanings given those terms in section 3(b) of the United States
Housing Act of 1937 (42 U.S.C. 1437a(b)).
(11) Program.--The term ``Program'' means the program
established under section 4(b).
(12) Public housing dwelling unit.--The term ``public
housing dwelling unit'' means a dwelling unit in public
housing, as defined in section 3(b) of the United States
Housing Act of 1937 (42 U.S.C. 1437a(b)).
(13) Secretary.--The term ``Secretary'' means the Secretary
of Housing and Urban Development.
(14) Tribally designated housing entity.--The term
``tribally designated housing entity'' has the meaning given
the term in section 4 of the Native American Housing Assistance
and Self-Determination Act of 1996 (25 U.S.C. 4103).
SEC. 4. HOUSING AND CHILD CARE PROVIDER CO-LOCATION GRANT PROGRAM.
(a) Establishment.--The Secretary of Housing and Urban Development
shall establish a program to award grants, on a competitive basis, to
eligible entities to facilitate the design, planning, construction,
conversion, retrofitting, preservation, or renovation of a co-location
facility.
(b) Consultation.--In developing the Program, the Secretary shall
consult with--
(1) the Secretary of Health and Human Services, acting
through the Assistant Secretary of the Administration for
Children and Families;
(2) the Secretary of the Treasury, acting through the
Director of the Community Development Financial Institutions
Fund; and
(3) the Secretary of Agriculture, acting through the Under
Secretary for Rural Development.
(c) Application.--To be eligible to receive a grant under the
Program, an eligible entity shall submit to the Secretary an
application at such time, in such manner, and containing such
information as the Secretary determines appropriate, including the
following:
(1) A certification that the eligible child care provider
associated with the application is eligible to receive vouchers
or assistance under the Child Care and Development Block Grant
Act of 1990 (42 U.S.C. 9857 et seq.), or in the case of an
application to construct a new facility, or an application when
the eligible entity intends to subgrant or capitalize amounts
provided, a commitment to--
(A) establish a partnership with an eligible child
care provider not later than 1 year after the date on
which funding is received;
(B) submit to the Secretary a certification of the
eligibility of the provider to receive vouchers or
assistance under the Child Care and Development Block
Grant Act of 1990 (42 U.S.C. 9857 et seq.); and
(C) in the case of an application to construct a
new facility, or an application when the eligible
entity intends to subgrant or capitalize amounts
provided--
(i) clearly establish a project pipeline;
and
(ii) certify that a child care provider
associated with a co-location facility project
receives vouchers or assistance under the Child
Care and Development Block Grant Act of 1990
(42 U.S.C. 9857 et seq.) or the Head Start Act
of 1965 (42 U.S.C. 9831 et seq.).
(2) A certification that activities funded by grant amounts
will not result in the eviction of residents of the housing
facility associated with the application.
(3) A description of a plan to inform and engage with
residents of the housing facility associated with the
application about the proposed use of grant amounts.
(4) A certification of compliance with required Federal,
State, and local environmental laws and State and local land
use policies, unless the eligible entity--
(A) intends to use grant amounts to facilitate the
planning or design required for permit approval; or
(B) demonstrates that the construction,
preservation, conversion, retrofitting, or renovation
of an existing facility does not require environmental
review.
(5) A business plan for the eligible child care provider
associated with the application, submitted at the time of
application or not later than 1 year after the date on which
the application is submitted, including--
(A) a budget or, in the case of a new eligible
child care provider, a proposed budget;
(B) appropriate State and local licensing or, in
the case of a new eligible child care provider, a copy
of the application of the provider for appropriate
State and local licensing; and
(C) copies of contracts between the provider and a
local, county, regional, State, or Federal governmental
entity, to facilitate--
(i) the business operations of the
provider; or
(ii) the enrollment of children from low-
income families with the provider.
(d) Awarding of Grants.--
(1) Priority.--In awarding grants under the Program, the
Secretary shall give priority to each eligible entity that
demonstrates that the eligible child care provider associated
with the application of the entity will--
(A) operate in a child care desert, a low-income
community, or a rural area as determined by the
Secretary;
(B) certify designation as a Head Start provider,
an Early Head Start Provider, a Migrant and Seasonal
Head Start Provider, or an American Indian and Alaska
Native Head Start Provider, or enroll at least 10
percent of children from very-low income families; or
(C) demonstrate a partnership with a community
development financial institution, including through
the provision of financial or technical assistance.
(2) Grant amounts.--An eligible entity may be awarded not
more than $10,000,000 under the Program.
(e) Use of Amounts.--
(1) Eligible uses.--An eligible entity may only use grant
amounts provided under the Program to facilitate the design,
planning, construction, acquisition, preservation, conversion,
retrofitting, long-term leasing, or renovation of a new or
existing co-location facility.
(2) Distribution.--An eligible entity receiving a grant
under this section may distribute grant amounts to a government
entity, a nonprofit organization that develops housing, a
public housing agency, a tribally designated housing entity, or
other appropriate entity as determined by the Secretary, to
carry out activities in accordance with this section.
(3) Finance products.--A community development financial
institution receiving a grant under this section may capitalize
amounts received to create financial products, including loans,
to carry out activities in accordance with this section.
(4) Pre-development and technical assistance.--An eligible
entity may use--
(A) not more than 10 percent of amounts awarded to
facilitate the pre-development phase of a new facility,
including planning and design; and
(B) not more than 10 percent of amounts awarded to
partner with a community development financial
institution that provides technical assistance and
capacity building to help the eligible entity--
(i) submit applications to the Program;
(ii) support an eligible child care
provider that is home-based with meeting
relevant State and local licensing and quality
standards; and
(iii) conduct pre-development activities.
(f) Assistance.--The Secretary shall provide technical assistance
and publish best practices online to facilitate the operation of co-
location facilities.
(g) Report to Congress.--Not later than 1 year after the date of
the enactment of this Act, and annually thereafter for the duration of
the Program, the Secretary shall submit to the appropriate
congressional committees a report regarding the implementation of the
Program, including--
(1) the number of grants awarded;
(2) a description of the activities funded;
(3) the number of child care slots created, including the
number of child care slots serving children from low-income
families or children who are dual language learners;
(4) the number of child care slots preserved that were at
risk of elimination due to a child care center closing or
proposed price increases;
(5) the number and percentage of residents in a co-location
facility that use or are employed by the associated child care
program;
(6) the number of staff employed by the child care
provider;
(7) demographic data of residents of housing facilities
associated with the Program;
(8) the number and type of projects facilitated through
eligible uses of amounts described in paragraphs (2) and (3) of
subsection (e);
(9) the number of early childhood providers supported with
funds from the Program; and
(10) the number of eligible entities of each type that
receive grant funding under the Program.
(h) Authorization of Appropriations.--There is authorized to be
appropriated to carry out this section $100,000,000 for each of fiscal
years 2024 through 2029.
SEC. 5. GAO STUDY AND REPORT REGARDING CHILD CARE ACCESS FOR RESIDENTS
OF PUBLIC HOUSING.
Not later than 1 year after the date of enactment of this Act, the
Comptroller General of the United States shall conduct a study and
submit to the appropriate congressional committees a report on the
availability and affordability of child care for residents of public
housing dwelling units, which shall include the following:
(1) A description of how amounts from the following
programs have been used by eligible child care providers to
establish, renovate, or improve facilities:
(A) The community development block grant program
under title I of the Housing and Community Development
Act of 1974 (42 U.S.C. 5301 et seq.).
(B) New markets tax credits under section 45D of
the Internal Revenue Code of 1986.
(C) The Community Development Financial
Institutions Fund established under section 104(a) of
the Community Development Banking and Financial
Institutions Act of 1994 (42 U.S.C. 4703).
(D) Low-income housing tax credits under section 42
of the Internal Revenue Code of 1986.
(E) Capital Magnet Fund funds under section 1339 of
the Federal Housing Enterprises Financial Safety and
Soundness Act of 1992.
(F) HOME Investment Partnerships Program funds
under title II of the Cranston-Gonzalez National
Affordable Housing Act (42 U.S.C. 12721 et seq.).
(2) An evaluation of the effects of housing and child care
costs on the economic outlook of residents of public housing
dwelling units.
(3) An evaluation of what percentage of residents of public
housing dwelling units are both--
(A) cost-burdened, as defined by the Secretary; and
(B) part of a household where not less than 7
percent of the income of the household is spent on
child care.
(4) Identification and analysis of State or local laws that
are barriers to building or maintaining a facility for use by
eligible child care providers within or near a public housing
dwelling unit.
(5) An assessment of how housing assistance provided under
the program for rental assistance under section 8 of the United
States Housing Act of 1937 (42 U.S.C. 1437f) affects the
ability of residents of public housing dwelling units to afford
child care and other essential expenses, including--
(A) food;
(B) telecommunications services and equipment such
as broadband internet connectivity and cellular phones;
and
(C) means of transportation such as automobiles,
bicycles, or public transportation.
(6) An evaluation of the efficacy of the child and
dependent care tax credit under section 21 of the Internal
Revenue Code of 1986, the earned income tax credit under
section 32 of the Internal Revenue Code of 1986, the child tax
credit under section 24 of the Internal Revenue Code of 1986,
and dependent care flexible spending arrangements for residents
of public housing dwelling units, including--
(A) the degree of public knowledge about such
programs;
(B) the degree of success of outreach or public
education programs regarding such programs; and
(C) an assessment of the sufficiency of each
program to cover the costs of child care.
(7) An evaluation of the extent that residents of public
housing dwelling units receive information regarding child care
resources from Federal agencies or public housing agencies.
(8) Recommendations to improve access to child care within
and near public housing dwelling units and to improve awareness
of the availability of Federal programs to assist with the
costs of housing and child care.
<all>
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118S174 | Conservation Reserve Program Improvement Act of 2023 | [
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"T000250",
"Sen. Thune, John [R-SD]",
"sponsor"
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[
"K000367",
"Sen. Klobuchar, Amy [D-MN]",
"cosponsor"
],
[
"R000605",
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] | <p><strong>Conservation Reserve Program Improvement Act of 202</strong><b>3</b></p> <p>This bill revises the Conservation Reserve Program (CRP) of the Farm Service Agency. CRP is a land conservation program that provides an annual rental payment to farmers in exchange for farmers removing environmentally sensitive land from agricultural production and planting species that will improve environmental health and quality.</p> <p>Specifically, the bill permanently establishes a continuous enrollment procedure for land that will be enrolled under the State Acres for Wildlife Enhancement Initiative.</p> <p>Additionally, the bill provides federal cost sharing payments for the establishment of grazing infrastructure on all CRP contracts and practices, if grazing is included in the conservation plan and addresses a resource concern. It also provides federal cost sharing payments under CRP for management activities to implement the conservation plan that are not related to haying or grazing.</p> <p>Further, the bill increases the CRP annual rental payment limitation from $50,000 to $125,000.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 174 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 174
To amend the Food Security Act of 1985 to improve the conservation
reserve program, and for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
January 31, 2023
Mr. Thune (for himself and Ms. Klobuchar) introduced the following
bill; which was read twice and referred to the Committee on
Agriculture, Nutrition, and Forestry
_______________________________________________________________________
A BILL
To amend the Food Security Act of 1985 to improve the conservation
reserve program, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Conservation Reserve Program
Improvement Act of 2023''.
SEC. 2. CONSERVATION RESERVE PROGRAM IMPROVEMENTS.
(a) State Acres for Wildlife Enhancement Continuous Enrollment.--
Section 1231(d)(6)(A)(i) of the Food Security Act of 1985 (16 U.S.C.
3831(d)(6)(A)(i)) is amended--
(1) in subclause (II), by striking ``and'' at the end; and
(2) by adding at the end the following:
``(IV) land that will be enrolled
under the State acres for wildlife
enhancement practice established by the
Secretary; and''.
(b) Cost Sharing Payments for Establishment of Grazing
Infrastructure.--
(1) In general.--Section 1234(b)(1) of the Food Security
Act of 1985 (16 U.S.C. 3834(b)(1)) is amended--
(A) by striking ``establishing water'' and
inserting the following: ``establishing--
``(A) water'';
(B) in subparagraph (A) (as so designated), by
striking the period at the end and inserting ``; and'';
and
(C) by adding at the end the following:
``(B) grazing infrastructure, including interior
cross fencing, perimeter fencing, and water
infrastructure (such as rural water connections, water
wells, pipelines, and water tanks), under each
contract, for all practices, if grazing is included in
the conservation plan and addresses a resource
concern.''.
(2) Reenrollment of land with grazing infrastructure.--
Section 1231(h) of the Food Security Act of 1985 (16 U.S.C.
3831(h)) is amended by adding at the end the following:
``(3) Land with grazing infrastructure.--On the expiration
of a contract entered into under this subchapter that covers
land that includes grazing infrastructure established with cost
sharing assistance under section 1234(b)(1)(B)--
``(A) the Secretary shall consider that land to be
planted for purposes of subsection (b)(1)(B); and
``(B) that land shall be eligible for reenrollment
in the conservation reserve, subject to the
requirements of this subchapter.''.
(c) Mid-Contract Management for Activities Not Relating to Haying
or Grazing.--
(1) Definition of management.--Section 1232(a)(5) of the
Food Security Act of 1985 (16 U.S.C. 3832(a)(5)) is amended by
inserting ``(as defined in section 1231A(a))'' after
``management''.
(2) Management payments.--Section 1234(b)(2) of the Food
Security Act of 1985 (16 U.S.C. 3834(b)(2)) is amended by
striking subparagraph (B) and inserting the following:
``(B) Management payments.--The Secretary shall
make cost sharing payments to an owner or operator
under this subchapter for any management activity
described in section 1232(a)(5), except for those
management activities relating to haying or grazing.''.
(d) Payment Limitation for Rental Payments.--Section 1234(g)(1) of
the Food Security Act of 1985 (16 U.S.C. 3834(g)(1)) is amended by
striking ``$50,000'' and inserting ``$125,000''.
<all>
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118S1740 | Community College Agriculture Advancement Act of 2023 | [
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]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1740 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1740
To amend the National Agricultural Research, Extension, and Teaching
Policy Act of 1977 to authorize capacity building grants for community
college agriculture and natural resources programs.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Hickenlooper (for himself, Mrs. Fischer, Ms. Klobuchar, Mr. Young,
Mr. Wicker, and Ms. Baldwin) introduced the following bill; which was
read twice and referred to the Committee on Agriculture, Nutrition, and
Forestry
_______________________________________________________________________
A BILL
To amend the National Agricultural Research, Extension, and Teaching
Policy Act of 1977 to authorize capacity building grants for community
college agriculture and natural resources programs.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Community College Agriculture
Advancement Act of 2023''.
SEC. 2. CAPACITY BUILDING GRANTS FOR COMMUNITY COLLEGE AGRICULTURE AND
NATURAL RESOURCES PROGRAMS.
Subtitle K of the National Agricultural Research, Extension, and
Teaching Policy Act of 1977 (7 U.S.C. 3310 et seq.) is amended by
adding at the end the following:
``SEC. 1473I. CAPACITY BUILDING GRANTS FOR COMMUNITY COLLEGE
AGRICULTURE AND NATURAL RESOURCES PROGRAMS.
``(a) Definitions.--In this section:
``(1) Eligible entity.--The term `eligible entity' means--
``(A) a junior or community college supporting
agriculture advancement; and
``(B) a consortium or alliance of 2-year public
colleges supporting agriculture advancement.
``(2) Junior or community college.--The term `junior or
community college' has the meaning given the term in section
312 of the Higher Education Act of 1965 (20 U.S.C. 1058).
``(b) Competitive Grants.--The Secretary shall make competitive
grants to eligible entities to assist the eligible entities in
maintaining and expanding the capacity of the eligible entities to
conduct workforce training, education, research, and outreach
activities relating to--
``(1) agriculture; and
``(2) other similar disciplines.
``(c) Priority.--In making grants under subsection (b), the
Secretary shall give priority to an eligible entity coordinating with a
local agriculture industry operator to provide experiential training
and other opportunities for students.
``(d) Use of Funds.--An eligible entity that receives a grant under
subsection (b) may use the funds made available through the grant to
expand and maintain the capacity of the eligible entity--
``(1) to successfully compete for funds from Federal grants
and other sources to carry out educational, research, and
outreach activities that address priority concerns of national,
regional, State, and local interest;
``(2) to offer educational programming on agricultural
industry jobs, including farm business management-related
subjects, such as accounting, paralegal studies, and finance;
``(3) to disseminate information relating to the priority
concerns described in paragraph (1) to interested members of
the agriculture and other relevant communities and to the
public;
``(4) to encourage members of those communities to
participate in priority education, research, and outreach
activities through providing matching funding from sources
other than funds received through the grant; and
``(5) through--
``(A) the purchase or other acquisition of
equipment and other infrastructure (not including the
alteration, repair, renovation, or construction of
buildings);
``(B) the professional growth and development of
faculty; and
``(C) the development of apprenticeships and other
work-based learning opportunities.
``(e) Centers of Agriculture Advancement.--
``(1) In general.--An eligible entity may submit to the
Secretary an application for designation and funding as a
center of excellence for agriculture advancement.
``(2) Use of funds.--A center of excellence for agriculture
advancement designated under paragraph (1) shall use funding
received as a result of that designation--
``(A) to demonstrate best practices relating to
agriculture; and
``(B) to provide leadership in capacity building at
a regional or national level.
``(f) Evaluation and Report.--Not later than 3 years after the date
of enactment of this section, the Secretary shall--
``(1) conduct an evaluation of activities carried out under
this section; and
``(2) submit a report describing the evaluation conducted
under paragraph (1) to--
``(A) the Committee on Agriculture of the House of
Representatives;
``(B) the Committee on Agriculture, Nutrition, and
Forestry of the Senate;
``(C) the Committee on Appropriations of the House
of Representatives; and
``(D) the Committee on Appropriations of the
Senate.
``(g) Authorization of Appropriations.--There is authorized to be
appropriated to carry out this section $20,000,000 for each of fiscal
years 2024 through 2029.''.
<all>
</pre></body></html>
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118S1741 | No Fuel Credits for Batteries Act of 2023 | [
[
"G000386",
"Sen. Grassley, Chuck [R-IA]",
"sponsor"
],
[
"C001056",
"Sen. Cornyn, John [R-TX]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1741 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1741
To amend the Clean Air Act to prohibit electric vehicle original
equipment manufacturers from participating in the renewable fuel
program, and for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Grassley (for himself and Mr. Cornyn) introduced the following
bill; which was read twice and referred to the Committee on Environment
and Public Works
_______________________________________________________________________
A BILL
To amend the Clean Air Act to prohibit electric vehicle original
equipment manufacturers from participating in the renewable fuel
program, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``No Fuel Credits for Batteries Act of
2023''.
SEC. 2. REVISIONS TO CREDIT PROGRAM.
(a) Amendments.--Section 211(o)(5) of the Clean Air Act (42 U.S.C.
7545(o)(5)) is amended--
(1) in subparagraph (A)--
(A) in clause (ii), by striking ``and'' at the end;
(B) in clause (iii), by striking the period at the
end and inserting ``; and''; and
(C) by adding at the end the following:
``(iv) for the prohibition of generation of
credits by electric vehicle original equipment
manufacturers (as defined in section 3(a) of
the No Fuel Credits for Batteries Act of
2023).'';
(2) in subparagraph (B)--
(A) by striking ``A person'' and inserting the
following:
``(i) In general.--Except as provided in
clause (ii), a person''; and
(B) by adding at the end the following:
``(ii) Exception.--A person that is an
electric vehicle original equipment
manufacturer (as defined in section 3(a) of the
No Fuel Credits for Batteries Act of 2023) may
not, for the purpose of complying with
paragraph (2), use or transfer all or a portion
of the credits to another person.''; and
(3) in subparagraph (E)--
(A) by striking the period at the end and inserting
``; and'';
(B) by striking ``Administrator; and (ii) for the
use'' and inserting the following: ``Administrator;
``(ii) for the use'';
(C) by striking ``regulations providing: (i) for
the generation'' and inserting the following:
``regulations providing--
``(i) for the generation''; and
(D) by adding at the end the following:
``(iii) for the prohibition of the
generation, use, or transfer of the appropriate
amount of credits by electric vehicle original
equipment manufacturers (as defined in section
3(a) of the No Fuel Credits for Batteries Act
of 2023) for additional renewable fuel.''.
(b) Regulations.--Not later than 180 days after the date of
enactment of this Act, the Administrator of the Environmental
Protection Agency shall promulgate a final rule to carry out the
amendments made by subsection (a).
(c) Effective Date.--The amendments made by subsection (a) take
effect on January 1, 2024.
SEC. 3. INELIGIBILITY FOR RENEWABLE FUEL STANDARD.
(a) Definitions.--In this section:
(1) Administrator.--The term ``Administrator'' means the
Administrator of the Environmental Protection Agency.
(2) Electric vehicle original equipment manufacturer.--The
term ``electric vehicle original equipment manufacturer'' means
the original equipment manufacturer of--
(A) an electric light-duty vehicle; or
(B) an electric light-duty truck.
(3) Proposed erin program.--The term ``proposed eRIN
program'' means the program governing the generation of
renewable identification numbers representing renewable
electricity by electric vehicle original equipment
manufacturers, as described in--
(A) the proposed rule of the Environmental
Protection Agency entitled ``Renewable Fuel Standard
(RFS) Program: Standards for 2023-2025 and Other
Changes'' (87 Fed. Reg. 80582 (December 30, 2022)) (or
any successor or substantially related proposal);
(B) the regulatory impact analysis of the
Assessment and Standards Division of the Office of
Transportation and Air Quality of the Environmental
Protection Agency entitled ``Draft Regulatory Impact
Analysis: RFS Standards for 2023-2025 and Other
Changes'', with docket number EPA-HQ-OAR-2021-0427-
0267, and dated November 2022; and
(C) the memorandum of the Office of Transportation
and Air Quality of the Environmental Protection Agency
entitled ``Examples of RIN generation under the
proposed RFS eRIN provisions'', with docket number EPA-
HQ-OAR-2021-0427-0032, and dated November 22, 2022.
(4) Renewable fuel.--The term ``renewable fuel'' has the
meaning given the term in section 211(o)(1) of the Clean Air
Act (42 U.S.C. 7545(o)(1)).
(5) Renewable fuel program.--The term ``renewable fuel
program'' means the renewable fuel program under section 211(o)
of the Clean Air Act (42 U.S.C. 7545(o)).
(6) Renewable identification number.--The term ``renewable
identification number'' has the meaning given the term
``Renewable Identification Number (RIN)'' in section 80.1401 of
title 40, Code of Federal Regulations (or a successor
regulation).
(b) Rule Required.--Not later than 180 days after the date of
enactment of this Act, the Administrator shall promulgate a final rule
revising the regulations for carrying out the renewable fuel program
that--
(1) in accordance with the amendments made by section 2(a),
makes electric vehicle original equipment manufacturers
ineligible for the generation, use, or transfer of renewable
electricity renewable identification numbers for compliance
with, or any other purpose under, the renewable fuel program;
(2) withdraws the proposed eRIN program;
(3) maintains the current equivalence value for renewable
electricity as described in section 80.1415 of title 40, Code
of Federal Regulations (as in effect on the date of enactment
of this Act); and
(4) eliminates the provisions of the proposed rule
described in subsection (a)(3)(A) affiliated with the proposed
eRIN program.
(c) Effective Date of Regulations.--The final rule required under
subsection (b) shall take effect on January 1, 2024.
SEC. 4. SAVINGS PROVISION.
Nothing in this Act or an amendment made by this Act limits the
authority of the Administrator of the Environmental Protection Agency
to approve new fuel pathways or review existing fuel pathways under the
renewable fuel program under section 211(o) of the Clean Air Act (42
U.S.C. 7545(o)).
<all>
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118S1743 | Forest Data Modernization Act of 2023 | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1743 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1743
To amend the Forest and Rangeland Renewable Resources Research Act of
1978 to modify the forest inventory and analysis program.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Ossoff (for himself and Mr. Cassidy) introduced the following bill;
which was read twice and referred to the Committee on Agriculture,
Nutrition, and Forestry
_______________________________________________________________________
A BILL
To amend the Forest and Rangeland Renewable Resources Research Act of
1978 to modify the forest inventory and analysis program.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Forest Data Modernization Act of
2023''.
SEC. 2. FOREST INVENTORY AND ANALYSIS.
(a) In General.--Section 3(e) of the Forest and Rangeland Renewable
Resources Research Act of 1978 (16 U.S.C. 1642(e)) is amended--
(1) in paragraph (1)--
(A) by striking ``their resources'' and inserting
``the resources of those forests, including forest
carbon,'';
(B) by striking ``In compliance'' and inserting the
following:
``(A) In general.--In compliance''; and
(C) by adding at the end the following:
``(B) Additional methods.--Under the program under
this subsection, the Secretary shall carry out, as a
data collection method--
``(i) a timber products output study; and
``(ii) a national woodland owner survey.'';
(2) in paragraph (3)(C), by inserting ``including with
respect to available forest carbon data,'' after ``2
decades,'';
(3) in paragraph (4)--
(A) in the second sentence, by striking ``The
standards'' and inserting the following:
``(B) Inclusions.--The standards described in
subparagraph (A)'';
(B) by striking ``(4) National standards and
definitions.--To ensure'' and inserting the following:
``(4) National consistency.--
``(A) Standards and definitions.--To ensure''; and
(C) by adding at the end the following:
``(C) Terminology.--The Secretary shall include a
clear description of the definition of `forest' used
for purposes of reporting data from inventories and
analyses of forests and the resources of forests under
this subsection with--
``(i) any data or report provided under the
program under this subsection;
``(ii) Renewable Resource Assessments
prepared under section 3(a) of the Forest and
Rangeland Renewable Resources Planning Act of
1974 (16 U.S.C. 1601(a)); and
``(iii) any data or report provided to an
entity outside the United States.'';
(4) in paragraph (6)--
(A) in the matter preceding subparagraph (A), by
striking ``Not later than 180 days after the date of
enactment of this subsection,'' and inserting ``In
accordance with paragraph (7),''; and
(B) by striking subparagraphs (D) and (E) and
inserting the following:
``(D) the organization and procedures necessary to
understand and report on changes in land cover and use;
``(E) the organization and procedures necessary to
evaluate carbon-related data variables, including soil
carbon, collected from forest inventory and analysis
plots, timber products output studies, and national
woodland owner surveys to ensure that carbon accounting
information needs can be met; and''; and
(5) by adding at the end the following:
``(7) Updates to strategic plan.--
``(A) In general.--Not later than 180 days after
the date of enactment of this paragraph, the Secretary
shall prepare an update to the strategic plan under
paragraph (6) to include--
``(i) a plan to implement nationally
consistent data collection protocols and
procedures to improve the statistical precision
of base program estimates;
``(ii) pathways to integrate and report on
changes in forest carbon, including below-
ground carbon;
``(iii) plans, including the identification
of challenges, to collaborate with other
Federal agencies, non-Federal partners, and the
private sector to integrate existing nationally
available data sets and best available
commercial technologies, such as remote
sensing, spatial analysis techniques, and other
new technologies;
``(iv) a plan to increase transparency and
clarity in reporting in accordance with
paragraph (4)(C);
``(v) a plan to expand current data
collection, further integrate remote sensing
technology, or both, to include procedures to
improve the statistical precision of estimates
at the sub-State level;
``(vi) a plan to expand current data
collection, further integrate remote sensing
technology, or both, to include information on
renewable biomass supplies and carbon stocks at
the local, State, regional, and national
levels, including by ownership type; and
``(vii) such other matters as the Secretary
determines to be appropriate based on
recommendations of the Forest Inventory and
Analysis National User Group.
``(B) Submission.--Not later than 180 days after
the date of enactment of this paragraph, the Secretary
shall submit to the Committee on Agriculture,
Nutrition, and Forestry of the Senate and the Committee
on Agriculture of the House of Representatives the
update to the strategic plan prepared under
subparagraph (A).
``(C) Further updates.--Not later than 5 years
after the date on which the update is submitted under
subparagraph (B), and every 5 years thereafter, the
Secretary shall--
``(i) prepare an additional update to the
strategic plan; and
``(ii) submit the additional update to the
committees described in subparagraph (B).
``(8) Accessibility.--The Secretary shall ensure that data
collected under this subsection is--
``(A) easily accessible to all public- and private-
sector entities; and
``(B) collected using means that ensure the
confidentiality, in accordance with section 1770 of the
Food Security Act of 1985 (7 U.S.C. 2276), of--
``(i) plot locations;
``(ii) nonaggregated data of woodland
owners; and
``(iii) forest industry information.
``(9) Biennial compilations.--Biennially, the Secretary
shall prepare and make publicly available a compilation of
national forest inventory and analysis forest statistics, which
shall be similar to the tables contained in the Renewable
Resource Assessments prepared under section 3(a) of the Forest
and Rangeland Renewable Resources Planning Act of 1974 (16
U.S.C. 1601(a)).
``(10) External complex data requests.--
``(A) In general.--The Secretary shall establish an
office, a data platform, or both to process and respond
to complex data requests submitted by external
organizations relating to the program under this
subsection.
``(B) Fees.--To cover the costs of processing of
and responding to complex data requests described in
subparagraph (A), the Secretary may impose fees on the
external organizations submitting the requests.
``(11) Reports.--Each year, the Secretary shall publish as
part of the forest inventory and analysis business report a
detailed description of the progress of the Secretary in
implementing the programmatic elements of the strategic plan
described in paragraph (6), including--
``(A) the costs and priorities of the strategic
plan; and
``(B) how the program under this subsection
leverages new technology, improves and standardizes
collection protocols, and increases workforce
capacity.''.
(b) Remote Sensing Technologies.--Section 8632(1) of the
Agriculture Improvement Act of 2018 (16 U.S.C. 1642 note; Public Law
115-334) is amended by striking ``technologies'' and inserting
``technologies, such as microwave, LiDAR, hyperspectral, and high-
resolution remote sensing data for data collection, and machine
learning for improved modeling,''.
<all>
</pre></body></html>
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118S1744 | SCORE for Small Business Act of 2023 | [
[
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"sponsor"
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[
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],
[
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"Sen. Markey, Edward J. [D-MA]",
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1744 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1744
To amend the Small Business Act to reauthorize the SCORE program, and
for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Coons (for himself, Mr. Cardin, and Mr. Markey) introduced the
following bill; which was read twice and referred to the Committee on
Small Business and Entrepreneurship
_______________________________________________________________________
A BILL
To amend the Small Business Act to reauthorize the SCORE program, and
for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``SCORE for Small Business Act of
2023''.
SEC. 2. DEFINITIONS.
In this Act:
(1) Administration; administrator.--The terms
``Administration'' and ``Administrator'' mean the Small
Business Administration and the Administrator thereof,
respectively.
(2) SCORE association; score program.--The terms ``SCORE
Association'' and ``SCORE program'' have the meanings given
those terms in subsection (gg) of section 3 of the Small
Business Act (15 U.S.C. 632), as added by section 6 of this
Act.
(3) Small business concern.--The term ``small business
concern'' has the meaning given the term in section 3 of the
Small Business Act (15 U.S.C. 632).
SEC. 3. SCORE PROGRAM PROVISIONS AND REQUIREMENTS.
Section 8 of the Small Business Act (15 U.S.C. 637) is amended--
(1) in subsection (b)(1)(B)--
(A) by striking ``a Service Corps of Retired
Executives (SCORE)'' and inserting ``the SCORE
program''; and
(B) by striking ``SCORE may'' and inserting ``the
SCORE Association may''; and
(2) by striking subsection (c) and inserting the following:
``(c) SCORE Program.--
``(1) Cooperative agreement.--The Administrator shall enter
into a cooperative agreement with the SCORE Association to
carry out the SCORE program, which shall include the following
requirements:
``(A) Administrator duties.--The Administrator
shall--
``(i) every 2 years, conduct a financial
examination of the SCORE Association to ensure
that any costs paid for with Federal funds are
allowable, allocable, and reasonable;
``(ii) review and approve contracts entered
into by the SCORE Association to provide goods
or services for the SCORE program of a value
greater than an amount determined by the
Administrator;
``(iii) maintain a system through which the
SCORE Association provides documentation
relating to those contracts; and
``(iv) not later than 30 days after the
receipt of a quarterly report on the
achievements of the SCORE program submitted by
the SCORE Association, reconcile differences
between that report and the performance results
of the SCORE program reported in a management
information system of the Office of
Entrepreneurial Development.
``(B) SCORE association duties.--The SCORE
Association shall--
``(i) manage nationwide chapters of the
SCORE program;
``(ii) provide annual training to employees
of the SCORE Association on generating and
using program income from the SCORE program;
``(iii) submit documentation to the
Administrator verifying the annual training is
completed;
``(iv) maintain separation of funds donated
to the SCORE Association from program income
and funds received pursuant to a cooperative
agreement; and
``(v) maintain and enforce requirements for
volunteers participating in the SCORE program,
including requirements that each volunteer
shall--
``(I) based on the business
experience and knowledge of the
volunteer--
``(aa) provide personal
counseling, mentoring, and
coaching on the process of
starting, expanding, managing,
buying, and selling a business
at no cost to individuals who
own, or aspire to own, small
business concerns; and
``(bb) facilitate free or
low-cost education workshops
for individuals who own, or
aspire to own, small business
concerns; and
``(II) as appropriate, use tools,
resources, and expertise of other
organizations to carry out the SCORE
program.
``(C) Joint duties.--The Administrator, in
consultation with the SCORE Association, shall ensure
that the SCORE program and each chapter of the SCORE
program--
``(i) develop and implement plans and goals
to effectively and efficiently provide services
to individuals in rural areas, economically
disadvantaged communities, or other
traditionally underserved communities,
including plans for virtual, remote, and web-
based initiatives, chapter expansion,
partnerships, and the development of new skills
by volunteers participating in the SCORE
program; and
``(ii) reinforce an inclusive culture by
recruiting diverse volunteers for the chapters
of the SCORE program.
``(2) Online component.--In addition to providing in-person
services, the SCORE Association shall maintain and expand
online counseling services including webinars, electronic
mentoring platforms, and online toolkits to further support
entrepreneurs.
``(3) Accounting.--The SCORE Association shall--
``(A) maintain a centralized accounting and
financing system for each chapter of the SCORE program;
``(B) maintain a uniform policy and procedures to
manage Federal funds received pursuant to a cooperative
agreement described in paragraph (1); and
``(C) maintain an employee of the SCORE Association
to serve as a compliance officer to ensure expenditures
of the SCORE program are fully compliant with any law,
regulation, or cooperative agreement relating to the
SCORE program.
``(4) Compensation.--The SCORE Association shall--
``(A) maintain a documented compensation policy
that--
``(i) specifies the maximum rate of pay
allowable for any individual in the SCORE
Association;
``(ii) specifies the maximum percent of the
aggregate salaries of employees of the SCORE
Association that may be spent on individual
performance awards to employees of the SCORE
Association; and
``(iii) shall be reviewed annually by the
SCORE Association and the Administrator;
``(B) prohibit payment of salaries or performance
awards that exceed the limits set by the SCORE
Association compensation policy; and
``(C) prohibit members of the Board of Directors of
the SCORE Association or any employees of the SCORE
Association from simultaneously serving on the Board of
Directors of, or receiving compensation from, the SCORE
Foundation without written approval from the
Administrator.
``(5) Whistleblower protection requirements.--The SCORE
Association shall--
``(A) annually update all manuals or other
documents applicable to employees and volunteers of the
SCORE Association or the SCORE program to include
requirements relating to reporting procedures and
protections for whistleblowers; and
``(B) conduct an annual training for employees and
volunteers of the SCORE Association or the SCORE
program on the requirements described in subparagraph
(A) and encourage the use of the hotline established by
the Office of the Inspector General of the
Administration to submit whistleblower reports.
``(6) Published materials.--The SCORE Association shall
ensure all published materials include written acknowledgment
of Administration support of the SCORE program if those
materials are paid for in whole or in part by Federal funds.
``(7) Privacy requirements.--
``(A) In general.--Neither the Administrator nor
the SCORE Association may disclose the name, email
address, address, or telephone number of any individual
or small business concern receiving assistance from the
SCORE Association without the consent of the individual
or small business concern, unless--
``(i) the Administrator is ordered to make
a disclosure by a court in any civil or
criminal enforcement action initiated by a
Federal or State agency; or
``(ii) the Administrator determines that a
disclosure is necessary for the purpose of
conducting a financial audit of the SCORE
program, in which case disclosure shall be
limited to the information necessary for the
audit.
``(B) Administrator use of information.--This
paragraph shall not--
``(i) restrict the access of the
Administrator to SCORE program activity data;
or
``(ii) prevent the Administrator from using
SCORE program client information to conduct
client surveys.
``(C) Standards.--
``(i) In general.--The Administrator shall,
after opportunity for notice and comment,
establish standards for--
``(I) disclosures with respect to
financial audits described in
subparagraph (A)(ii); and
``(II) conducting client surveys,
including standards for oversight of
the surveys and for dissemination and
use of client information.
``(ii) Maximum privacy protection.--The
standards issued under this subparagraph shall,
to the extent practicable, provide for the
maximum amount of privacy protection.
``(8) Annual report.--Not later than 180 days after the
date of enactment of the SCORE for Small Business Act of 2023
and annually thereafter, the Administrator shall submit to the
Committee on Small Business and Entrepreneurship of the Senate
and the Committee on Small Business of the House of
Representatives a report on the performance and effectiveness
of the SCORE program, which may be included as part of another
report submitted to those committees by the Administrator, and
which shall include--
``(A) the total number and the number of unique
clients counseled or trained under the SCORE program;
``(B) the total number of hours of counseling or
training provided under the SCORE program;
``(C) the total number of local workshops provided
under the SCORE program;
``(D) the total number of clients attending local
workshops provided under the SCORE program;
``(E) to the extent practicable, the demographics
of SCORE program clients and volunteers, which may
include the gender, race, ethnicity, and age of each
client or volunteer;
``(F) the number of SCORE program clients and
volunteers who are veterans;
``(G) the number of referrals of SCORE program
clients to other resources and programs of the
Administration;
``(H) the results of SCORE program client
satisfactory surveys, including a summary of any
comments received from those clients;
``(I) the number of new businesses started by SCORE
program clients;
``(J) the percentage of new revenue growth
realizing by businesses assisted by the SCORE program;
``(K) to the extent practicable, the number of jobs
created with assistance from the SCORE program;
``(L) the total cost of the SCORE program;
``(M) any recommendations of the Administrator to
improve the SCORE program;
``(N) an explanation of how the SCORE program has
been integrated with--
``(i) small business development centers;
``(ii) women's business centers described
in section 29;
``(iii) Veteran Business Outreach Centers
described in section 32;
``(iv) other offices of the Administration;
and
``(v) other public and private entities
engaging in entrepreneurial and small business
development;
``(O) the SCORE compensation policy for the
relevant fiscal year, including--
``(i) a list of any changes to the
compensation policy since the previous fiscal
year; and
``(ii) justification if the maximum rate of
pay allowable for any individual in the SCORE
Association exceeds the maximum rate of pay
allowable for an individual in the career
Senior Executive Service employed at the
Administration;
``(P) the names, positions, and salaries of any
employees of the SCORE Association whose salaries
exceed the maximum rate of pay allowable per the SCORE
compensation policy;
``(Q) the percent of the aggregate salaries of
employees of the SCORE Association spent on individual
performance awards to employees of the SCORE
Association, with a justification if this amount
exceeds 10 percent;
``(R) the total amount of performance awards that
have been disbursed or will be disbursed after the last
day of the fiscal year in which the awards were earned
and a justification for any awards that have been
disbursed or will be disbursed outside the fiscal year
in which the awards were earned; and
``(S) the names, positions, and salaries of any
members of the Board of Directors of the SCORE
Association or any employees of the SCORE Association
that simultaneously serve on the Board of Directors of,
or receive compensation from, the SCORE Foundation
without written approval of the Administrator.''.
SEC. 4. AUTHORIZATION OF APPROPRIATIONS FOR THE SCORE PROGRAM.
Section 20 of the Small Business Act (15 U.S.C. 631 note) is
amended by adding at the end the following:
``(i) SCORE Program.--There are authorized to be appropriated to
the Administrator to carry out the SCORE program such sums as are
necessary for the Administrator to make grants or enter into
cooperative agreements in a total amount that does not exceed
$18,000,000 in each of fiscal years 2024 and 2025.''.
SEC. 5. REPORTING REQUIREMENTS.
(a) Study and Report on the Future Role of the SCORE Program.--
(1) Study.--The SCORE Association shall carry out a study
on the future role of the SCORE program and develop a strategic
plan for how the SCORE program will meet the needs of small
business concerns during the 5-year period beginning on the
date of enactment of this Act, with specific objectives for the
first, third, and fifth years of the 5-year period.
(2) Report.--Not later than 180 days after the date of
enactment of this Act, the SCORE Association shall submit to
the Committee on Small Business and Entrepreneurship of the
Senate and the Committee on Small Business of the House of
Representatives a report containing--
(A) all findings and determinations made in
carrying out the study required under paragraph (1);
(B) the strategic plan developed under paragraph
(1); and
(C) an explanation of how the SCORE Association
plans to achieve the strategic plan, assuming both
stagnant and increased funding levels.
(b) Administrator Report on Leased Space.--Not later than 1 year
after the date of enactment of this Act, the Administrator shall submit
to the Committee on Small Business and Entrepreneurship of the Senate
and the Committee on Small Business of the House of Representatives a
report containing an assessment of the cost of leased space that is
donated to the SCORE Association.
(c) Online Component Report.--Not later than 3 months after the
last day of the first full fiscal year following the date of enactment
of this Act, the SCORE Association shall submit to the Committee on
Small Business and Entrepreneurship of the Senate and the Committee on
Small Business of the House of Representatives a report on the
effectiveness of the online counseling services required under
paragraph (2) of section 8(c) of the Small Business Act (15 U.S.C.
637(c)), as added by section 3 of this Act, including a description
of--
(1) how the SCORE Association determines electronic
mentoring and webinar needs, develops training for electronic
mentoring, establishes webinar criteria curricula, and
evaluates webinar and electronic mentoring results;
(2) the internal controls that are used and a summary of
the topics covered by the webinars; and
(3) performance metrics, including the number of small
business concerns counseled by, the number of small business
concerns created by, the number of jobs created and retained
by, and the funding amounts directed towards those online
counseling services.
SEC. 6. TECHNICAL AND CONFORMING AMENDMENTS.
(a) Small Business Act.--The Small Business Act (15 U.S.C. 631 et
seq.) is amended--
(1) in section 3 (15 U.S.C. 632), by adding at the end the
following:
``(gg) SCORE Program Definitions.--In this Act:
``(1) SCORE program.--The term `SCORE program' means the
Service Corps of Retired Executives program described in
section 8(c).
``(2) SCORE association.--The term `SCORE Association'
means the Service Corps of Retired Executives Association or
any successor or other organization that enters into a
cooperative agreement described in section 8(c)(1) with the
Administrator to operate the SCORE program.
``(3) SCORE foundation.--The term `SCORE Foundation' means
an organization with a mission to support the SCORE Association
and volunteers of the SCORE program.'';
(2) in section 7 (15 U.S.C. 636)--
(A) in subsection (b)(12)--
(i) in the paragraph heading, by striking
``score'' and inserting ``SCORE program''; and
(ii) in subparagraph (A), by striking
``Service Corps of Retired Executives'' and
inserting ``SCORE program''; and
(B) in subsection (m)(3)(A)(i)(VIII), by striking
``Service Corps of Retired Executives'' and inserting
``SCORE program'';
(3) in section 20(d)(1)(E) (15 U.S.C. 631 note), by
striking ``Service Corps of Retired Executives program'' and
inserting ``SCORE program''; and
(4) in section 22 (15 U.S.C. 649)--
(A) in subsection (b)--
(i) in paragraph (1), by striking ``Service
Corps of Retired Executives authorized by
section (8)(b)(1)'' and inserting ``SCORE
program''; and
(ii) in paragraph (3), by striking
``Service Corps of Retired Executives'' and
inserting ``SCORE program''; and
(B) in subsection (c)(12), by striking ``Service
Corps of Retired Executives authorized by section
8(b)(1)'' and inserting ``SCORE program''.
(b) Other Laws.--
(1) Small business reauthorization act of 1997.--Section
707 of the Small Business Reauthorization Act of 1997 (15
U.S.C. 631 note) is amended by striking ``Service Corps of
Retired Executives (SCORE) program'' and inserting ``SCORE
program described in section 8(c) of the Small Business Act (15
U.S.C. 637(c))''.
(2) Veterans entrepreneurship and small business
development act of 1999.--Section 301 of the Veterans
Entrepreneurship and Small Business Development Act of 1999 (15
U.S.C. 657b note) is amended--
(A) in subsection (a)--
(i) in the matter preceding paragraph (1),
by striking ``Service Core of Retired
Executives (described in section 8(b)(1)(B) of
the Small Business Act (15 U.S.C. 637(b)(1)(B))
and in this section referred to as `SCORE')''
and inserting ``SCORE program described in
section 8(c) of the Small Business Act (15
U.S.C. 637(c)) (in this section referred to as
the `SCORE program')'';
(ii) in paragraphs (1), (2), and (3), by
striking ``SCORE'' each place the term appears
and inserting ``the SCORE program''; and
(iii) in paragraph (2), by striking ``the''
before ``establishing''; and
(B) in subsection (b), by striking ``SCORE'' each
place the term appears and inserting ``the SCORE
program''.
(3) Military reservist and veteran small business
reauthorization and opportunity act of 2008.--The Military
Reservist and Veteran Small Business Reauthorization and
Opportunity Act of 2008 (15 U.S.C. 636 note) is amended--
(A) in section 3, by striking paragraph (5) and
inserting the following:
``(5) the term `SCORE program' means the SCORE program
described in section 8(c) of the Small Business Act (15 U.S.C.
637(c));''; and
(B) in section 201(c)(2)(B)(i), by striking
``Service Corps of Retired Executives'' and inserting
``SCORE program''.
(4) Children's health insurance program reauthorization act
of 2009.--Section 621 of the Children's Health Insurance
Program Reauthorization Act of 2009 (15 U.S.C. 657p) is
amended--
(A) in subsection (a), by striking paragraph (4)
and inserting the following:
``(4) the term `SCORE program' means the SCORE program
described in section 8(c) of the Small Business Act (15 U.S.C.
637(c));''; and
(B) in subsection (b)(4)(A)(iv), by striking
``Service Corps of Retired Executives'' and inserting
``SCORE program''.
(5) Energy policy and conservation act.--Section
337(d)(2)(A) of the Energy Policy and Conservation Act (42
U.S.C. 6307(d)(2)(A)) is amended by striking ``Service Corps of
Retired Executives (SCORE)'' and inserting ``SCORE program''.
<all>
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118S1748 | Interregional Transmission Planning Improvement Act of 2023 | [
[
"H001046",
"Sen. Heinrich, Martin [D-NM]",
"sponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1748 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1748
To require the Federal Energy Regulatory Commission to reform the
interregional transmission planning process, and for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Heinrich introduced the following bill; which was read twice and
referred to the Committee on Energy and Natural Resources
_______________________________________________________________________
A BILL
To require the Federal Energy Regulatory Commission to reform the
interregional transmission planning process, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Interregional Transmission Planning
Improvement Act of 2023''.
SEC. 2. INCREASING EFFECTIVENESS OF INTERREGIONAL TRANSMISSION
PLANNING.
(a) In General.--The Federal Energy Regulatory Commission (referred
to in this section as the ``Commission'') shall ensure--
(1) the effectiveness of existing planning processes for
identifying interregional transmission projects that provide
economic, reliability, and operational benefits, taking into
consideration the public interest, the integrity of markets,
and the protection of consumers;
(2) any changes to the processes described in paragraph (1)
promote efficient, cost-effective, and broadly beneficial
interregional transmission solutions that are selected for cost
allocation--
(A) taking into consideration--
(i) the public interest;
(ii) the integrity of markets;
(iii) the protection of consumers;
(iv) the broad range of economic,
reliability, and operational benefits;
(v) the need for single projects to secure
approvals based on a comprehensive assessment
of the multiple benefits provided;
(vi) that projects that meet interregional
benefit criteria should not be subject to
subsequent reassessment by transmission
planning authorities;
(vii) the importance of synchronization of
planning processes in neighboring regions, such
as using a joint model on a consistent timeline
with a single set of needs, input assumptions,
and benefit metrics;
(viii) that evaluation of long-term
scenarios should align with the expected life
of a transmission asset to be not less than 20
years;
(ix) that transmission planning authorities
should allow for the identification and joint
evaluation of alternatives proposed by
stakeholders;
(x) that interregional planning should be
done regularly and not less frequently than
once every 2 years; and
(xi) the elimination of arbitrary project
voltage, size, or cost requirements for
interregional solutions; and
(B) regardless of the regulatory or business model
of the entity developing the transmission project; and
(3) the use of cost allocation methodologies that--
(A) reflect the multiple benefits provided by
interregional transmission solutions, including
economic, reliability, resiliency, operational
benefits; and
(B) assign costs broadly to customers based on the
multiple benefits described in subparagraph (A)
received by customers.
(b) Recovery of Costs.--The Commission shall allow a transmission
developer of an interregional transmission project that meets the
criteria described in subsection (a)(2)(A) to submit to the Commission
a request to recover the cost of the project if the transmission
developer demonstrates to the satisfaction of the Commission that--
(1) the project connects more than 1 planning region;
(2) no interregional plan that meets the criteria described
in subsection (a)(2)(A) has been adopted by the connected
planning regions; and
(3) the benefits of the project outweigh the costs of the
project.
(c) Rulemaking.--Not later than 18 months after the date of
enactment of this Act, the Commission shall promulgate a final rule to
implement this section.
<all>
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118S1749 | Ensuring Seniors’ Access to Quality Care Act | [
[
"W000805",
"Sen. Warner, Mark R. [D-VA]",
"sponsor"
],
[
"S001184",
"Sen. Scott, Tim [R-SC]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1749 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1749
To amend titles XVIII and XIX of the Social Security Act with respect
to nursing facility requirements, and for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Warner (for himself and Mr. Scott of South Carolina) introduced the
following bill; which was read twice and referred to the Committee on
Finance
_______________________________________________________________________
A BILL
To amend titles XVIII and XIX of the Social Security Act with respect
to nursing facility requirements, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Ensuring Seniors' Access to Quality
Care Act''.
SEC. 2. TRAINING AND COMPETENCY EVALUATION PROGRAMS.
(a) Medicare.--Section 1819(f)(2) of the Social Security Act (42
U.S.C. 1395i-3(f)(2)) is amended--
(1) in subparagraph (A)(iv)(I), by striking ``(unless the
facility is described in subparagraph (B)(iii)(I))'';
(2) in subparagraph (B)--
(A) in clause (i)--
(i) by striking ``(subject to clause
(iii))''; and
(ii) by inserting ``and'' after the
semicolon;
(B) in clause (ii), by striking ``; and'' and
inserting a period; and
(C) by striking clause (iii);
(3) by striking ``A State may not delegate (through
subcontract or otherwise) its responsibility under clause
(iii)(II) to the skilled nursing facility.'';
(4) by striking subparagraphs (C) and (D); and
(5) by adding at the end the following:
``(C) Disapproval of nurse aide training and
competency evaluation programs and nurse aide
competency evaluation programs.--
``(i) In general.--With respect to a State,
the Secretary shall, in consultation with such
State, disapprove, for a period not to exceed 2
years, a nurse aide training and competency
evaluation program or a nurse aide competency
evaluation program offered by or in a skilled
nursing facility if such facility--
``(I) has been assessed a civil
monetary penalty under subsection
(h)(2)(B)(ii) or section
1919(h)(2)(A)(ii) of not less than
$10,697 for providing substandard
quality of care; and
``(II) has not, in the
determination of the Secretary,
corrected the deficiencies in quality
of care for which such civil monetary
penalty was assessed.
``(ii) Rescission of disapproval.--The
Secretary shall rescind a disapproval under
clause (i) upon demonstration by a skilled
nursing facility that--
``(I) all deficiencies for which
the civil monetary penalty described in
clause (i)(I) was assessed have been
remedied;
``(II) the facility has not
received deficiencies related to direct
patient harm for substandard quality of
care deficiencies in the prior 2 years;
and
``(III) the Secretary certifies
that the civil monetary penalty
assessed under clause (i)(I) did not
result in immediate jeopardy for direct
patient harm or injury related to an
abuse or neglect deficiency.
For purposes of rescinding disapproval under
this clause, the Secretary may require
additional oversight of the skilled nursing
facility for a period not to exceed the period
of disapproval imposed under clause (i) with
respect to such facility.''.
(b) Medicaid.--Section 1919(f)(2) of the Social Security Act (42
U.S.C. 1396r(f)(2)) is amended--
(1) in subparagraph (A)(iv)(I), by striking ``(unless the
facility is described in subparagraph (B)(iii)(I))'';
(2) in subparagraph (B)--
(A) in clause (i), by inserting ``and'' after the
semicolon;
(B) in clause (ii), by striking ``; and'' and
inserting a period;
(C) by striking clause (iii); and
(D) by striking ``A State may not delegate (through
subcontract or otherwise) its responsibility under
clause (iii)(II) to the nursing facility.'';
(3) by striking subparagraphs (C) and (D); and
(4) by adding at the end the following:
``(C) Disapproval of nurse aide training and
competency evaluation programs and nurse aide
competency evaluation programs.--
``(i) In general.--With respect to a State,
the Secretary shall, in consultation with such
State, disapprove, for a period not to exceed 2
years, a nurse aide training and competency
evaluation program or a nurse aide competency
evaluation program offered by or in a nursing
facility if such facility--
``(I) has been assessed a civil
monetary penalty under section
1819(h)(2)(B)(ii) or subsection
(h)(2)(A)(ii) of not less than $10,697
for providing substandard quality of
care; and
``(II) has not, in the
determination of the Secretary,
corrected the deficiencies in quality
of care for which such civil monetary
penalty was assessed.
``(ii) Rescission of disapproval.--The
Secretary shall rescind a disapproval under
clause (i) upon demonstration by a nursing
facility that--
``(I) all deficiencies for which
the civil monetary penalty described in
clause (i)(I) was assessed have been
remedied;
``(II) the facility has not
received deficiencies related to direct
patient harm for substandard quality of
care deficiencies in the prior 2 years;
and
``(III) the Secretary certifies
that the civil monetary penalty
assessed under clause (i)(I) did not
result in immediate jeopardy for direct
patient harm or injury related to an
abuse or neglect deficiency.
For purposes of rescinding disapproval under
this clause, the Secretary may require
additional oversight of the nursing facility
for a period not to exceed the period of
disapproval imposed under clause (i) with
respect to such facility.''.
(c) Regulations.--Not later than 180 days after the date of
enactment of this Act, the Secretary of Health and Human Services shall
promulgate regulations as necessary to implement the amendments made by
this section.
(d) Applicability.--
(1) In general.--
(A) Timing of determinations.--The amendments made
by subsections (a)(4) and (b)(4) of this section shall
apply only to a civil monetary penalty if the relevant
covered determination was made on or after the date of
enactment of this Act.
(B) Covered determination defined.--The term
``covered determination'' means, with respect to a
skilled nursing facility or a nursing facility in a
State, a determination by the State or the Secretary of
Health and Human Services that the facility has
provided a substandard quality of care for which a
civil monetary penalty described in section
1819(f)(2)(C)(i)(I) or 1919(f)(2)(C)(i)(I) of the
Social Security Act (as such sections have been amended
by this Act) may be assessed.
(2) Previously prohibited programs.--
(A) Waiver.--With respect to a skilled nursing
facility or a nursing facility subject, on the day
before the date of enactment of this Act, to a
prohibition under item (a) of either section
1819(f)(2)(B)(iii)(I) or section 1919(f)(2)(B)(iii)(I)
of the Social Security Act (as in effect on the day
before such date of enactment), such prohibition shall
no longer apply to the facility on or after such date
of enactment.
(B) Survey or civil monetary penalty.--With respect
to a skilled nursing facility or a nursing facility
subject, on the day before the date of enactment of
this Act, to a prohibition under item (b) or (c) of
either section 1819(f)(2)(B)(iii)(I) or section
1919(f)(2)(B)(iii)(I) of the Social Security Act (as in
effect on the day before such date of enactment), such
prohibition shall no longer apply to the facility on or
after such date of enactment upon a determination by
the Secretary of Health and Human Services that the
facility has corrected the issue that resulted in such
prohibition.
SEC. 3. PERMITTING MEDICARE AND MEDICAID PROVIDERS TO ACCESS THE
NATIONAL PRACTITIONER DATA BANK TO CONDUCT EMPLOYEE
BACKGROUND CHECKS.
Section 1921(b)(6) of the Social Security Act (42 U.S.C. 1396r-
2(b)(6)) is amended--
(1) by striking ``and other health care entities (as
defined in section 431 of the Health Care Quality Improvement
Act of 1986)'' and inserting ``, other health care entities (as
defined in section 431 of the Health Care Quality Improvement
Act of 1986), providers of services (as defined in section
1861(u)), suppliers (as defined in section 1861(d)), and
providers of items or services under a State plan under this
title (or a waiver of such a plan)''; and
(2) by striking ``such hospitals or other health care
entities'' and inserting ``such hospitals, health care
entities, providers, or suppliers''.
<all>
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118S175 | A bill to codify certain public land orders relating to the revocation of certain withdrawals of public land in the State of Alaska. | [
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] | <p>This bill enacts into law the provisions of certain public land orders relating to the revocation of the withdrawal of certain public lands in Alaska.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 175 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 175
To codify certain public land orders relating to the revocation of
certain withdrawals of public land in the State of Alaska.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
January 31, 2023
Ms. Murkowski (for herself and Mr. Sullivan) introduced the following
bill; which was read twice and referred to the Committee on Energy and
Natural Resources
_______________________________________________________________________
A BILL
To codify certain public land orders relating to the revocation of
certain withdrawals of public land in the State of Alaska.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. CODIFICATION OF PUBLIC LAND ORDERS RELATING TO THE
REVOCATION OF WITHDRAWALS OF PUBLIC LAND IN THE STATE OF
ALASKA.
The provisions of the following public land orders of the Bureau of
Land Management are enacted into law:
(1) Public Land Order No. 7899 (86 Fed. Reg. 5236 (January
19, 2021)).
(2) Public Land Order No. 7900 (relating to the partial
revocation of Public Land Orders Nos. 5174, 5175, 5176, 5179,
5180, 5184, 5186, 5188, and 5353, Alaska), signed by the
Secretary of the Interior on January 16, 2021.
(3) Public Land Order No. 7901 (relating to the partial
revocation of Public Land Orders Nos. 5174, 5179, 5180, 5184,
and 5186, Alaska), signed by the Secretary of the Interior on
January 16, 2021.
(4) Public Land Order No. 7902 (relating to the partial
revocation of Public Land Orders Nos. 5172, 5173, 5179, 5180,
5184, and 5186, Alaska), signed by the Secretary of the
Interior on January 15, 2021.
(5) Public Land Order No. 7903 (relating to the partial
revocation of Public Land Orders Nos. 5174, 5176, 5178, 5179,
5180, 5184, and 5186, Alaska), signed by the Secretary of the
Interior on January 16, 2021.
<all>
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118S1750 | A bill to prohibit and prevent seclusion, mechanical restraint, chemical restraint, and dangerous restraints that restrict breathing, and to prevent and reduce the use of physical restraint in schools, and for other purposes. | [
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118S1751 | Radiation Exposure Compensation Act Amendments of 2023 | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1751 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1751
To amend the Radiation Exposure Compensation Act to improve
compensation for workers involved in uranium mining, and for other
purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Mr. Lujan (for himself, Mr. Crapo, Mr. Booker, Mr. Brown, Mr. Heinrich,
Mr. Hickenlooper, Mr. Kelly, Mr. Merkley, Ms. Rosen, Ms. Smith, Mr.
Tester, Mr. Wyden, Mr. Risch, Ms. Sinema, and Mr. Bennet) introduced
the following bill; which was read twice and referred to the Committee
on the Judiciary
_______________________________________________________________________
A BILL
To amend the Radiation Exposure Compensation Act to improve
compensation for workers involved in uranium mining, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Radiation Exposure Compensation Act
Amendments of 2023''.
SEC. 2. REFERENCES.
Except as otherwise specifically provided, whenever in this Act an
amendment or repeal is expressed in terms of an amendment to or repeal
of a section or other provision of law, the reference shall be
considered to be made to a section or other provision of the Radiation
Exposure Compensation Act (Public Law 101-426; 42 U.S.C. 2210 note).
SEC. 3. EXTENSION OF FUND.
Section 3(d) is amended--
(1) by striking the first sentence and inserting ``The Fund
shall terminate 19 years after the date of the enactment of the
Radiation Exposure Compensation Act Amendments of 2023.''; and
(2) by striking ``2-year'' and inserting ``19-year''.
SEC. 4. CLAIMS RELATING TO ATMOSPHERIC TESTING.
(a) Leukemia Claims Relating to Trinity Test in New Mexico and
Tests at the Nevada Site and in the Pacific.--Section 4(a)(1)(A) is
amended--
(1) in clause (i)--
(A) in subclause (I), by striking ``October 31,
1958'' and inserting ``November 6, 1962'';
(B) in subclause (II)--
(i) by striking ``in the affected area''
and inserting ``in an affected area''; and
(ii) by striking ``or'' after the
semicolon;
(C) by redesignating subclause (III) as subclause
(V); and
(D) by inserting after subclause (II) the
following:
``(III) was physically present in an
affected area for a period of at least 1 year
during the period beginning on September 24,
1944, and ending on November 6, 1962;
``(IV) was physically present in an
affected area--
``(aa) for a period of at least 1
year during the period beginning on
July 1, 1946, and ending on November 6,
1962; or
``(bb) for the period beginning on
April 25, 1962, and ending on November
6, 1962; or''; and
(2) in clause (ii)(I), by striking ``physical presence
described in subclause (I) or (II) of clause (i) or onsite
participation described in clause (i)(III)'' and inserting
``physical presence described in subclause (I), (II), (III), or
(IV) of clause (i) or onsite participation described in clause
(i)(V)''.
(b) Amounts for Claims Related to Leukemia.--Section 4(a)(1) is
amended--
(1) in subparagraph (A), by striking ``an amount'' and
inserting ``the amount''; and
(2) by striking subparagraph (B) and inserting the
following:
``(B) Amount.--If the conditions described in
subparagraph (C) are met, an individual who is
described in subparagraph (A) shall receive
$150,000.''.
(c) Conditions for Claims Related to Leukemia.--Section 4(a)(1)(C)
is amended--
(1) by striking clause (i); and
(2) by redesignating clauses (ii) and (iii) as clauses (i)
and (ii), respectively.
(d) Specified Diseases Claims Relating to Trinity Test in New
Mexico and Tests at the Nevada Site and in the Pacific.--Section
4(a)(2) is amended--
(1) in subparagraph (A)--
(A) by striking ``in the affected area'' and
inserting ``in an affected area'';
(B) by striking ``2 years'' and inserting ``1
year''; and
(C) by striking ``October 31, 1958'' and inserting
``November 6, 1962'';
(2) in subparagraph (B)--
(A) by striking ``in the affected area'' and
inserting ``in an affected area''; and
(B) by striking ``or'' at the end;
(3) by redesignating subparagraph (C) as subparagraph (E);
and
(4) by inserting after subparagraph (B) the following:
``(C) was physically present in an affected area
for a period of at least 1 year during the period
beginning on September 24, 1944, and ending on November
6, 1962;
``(D) was physically present in an affected area--
``(i) for a period of at least 1 year
during the period beginning on July 1, 1946,
and ending on November 6, 1962; or
``(ii) for the period beginning on April
25, 1962, and ending on November 6, 1962; or''.
(e) Amounts for Claims Related to Specified Diseases.--Section
4(a)(2) is amended in the matter following subparagraph (E) (as
redesignated by subsection (d) of this section) by striking ``$50,000
(in the case of an individual described in subparagraph (A) or (B)) or
$75,000 (in the case of an individual described in subparagraph (C)),''
and inserting ``$150,000''.
(f) Medical Benefits.--Section 4(a) is amended by adding at the end
the following:
``(5) Medical benefits.--An individual receiving a payment
under this section shall be eligible to receive medical
benefits in the same manner and to the same extent as an
individual eligible to receive medical benefits under section
3629 of the Energy Employees Occupational Illness Compensation
Program Act of 2000 (42 U.S.C. 7384t).''.
(g) Downwind States.--Section 4(b)(1) is amended to read as
follows:
``(1) `affected area' means--
``(A) except as provided under subparagraphs (B)
and (C), Arizona, Colorado, Idaho, Montana, Nevada, New
Mexico, Utah, and Guam;
``(B) with respect to a claim by an individual
under subsection (a)(1)(A)(i)(III) or subsection
(a)(2)(C), only New Mexico; and
``(C) with respect to a claim by an individual
under subsection (a)(1)(A)(i)(IV) or subsection
(a)(2)(D), only Guam.''.
(h) Chronic Lymphocytic Leukemia as a Specified Disease.--Section
4(b)(2) is amended by striking ``other than chronic lymphocytic
leukemia'' and inserting ``including chronic lymphocytic leukemia''.
SEC. 5. CLAIMS RELATING TO URANIUM MINING.
(a) Employees of Mines and Mills.--Section 5(a)(1)(A)(i) is
amended--
(1) by inserting ``(I)'' after ``(i)'';
(2) by striking ``December 31, 1971; and'' and inserting
``December 31, 1990; or''; and
(3) by adding at the end the following:
``(II) was employed as a core driller in a
State referred to in subclause (I) during the
period described in such subclause; and''.
(b) Miners.--Section 5(a)(1)(A)(ii)(I) is amended by inserting ``or
renal cancer or any other chronic renal disease, including nephritis
and kidney tubal tissue injury'' after ``nonmalignant respiratory
disease''.
(c) Millers, Core Drillers, and Ore Transporters.--Section
5(a)(1)(A)(ii)(II) is amended--
(1) by inserting ``, core driller,'' after ``was a
miller'';
(2) by inserting ``, or was involved in remediation efforts
at such a uranium mine or uranium mill,'' after ``ore
transporter'';
(3) by inserting ``(I)'' after ``clause (i)''; and
(4) by striking all that follows ``nonmalignant respiratory
disease'' and inserting ``or renal cancer or any other chronic
renal disease, including nephritis and kidney tubal tissue
injury; or''.
(d) Combined Work Histories.--Section 5(a)(1)(A)(ii) is further
amended--
(1) by striking ``or'' at the end of subclause (I); and
(2) by adding at the end the following:
``(III)(aa) does not meet the conditions of
subclause (I) or (II);
``(bb) worked, during the period described
in clause (i)(I), in two or more of the
following positions: miner, miller, core
driller, and ore transporter;
``(cc) meets the requirements of paragraph
(4) or (5), or both; and
``(dd) submits written medical
documentation that the individual developed
lung cancer or a nonmalignant respiratory
disease or renal cancer or any other chronic
renal disease, including nephritis and kidney
tubal tissue injury after exposure to radiation
through work in one or more of the positions
referred to in item (bb);''.
(e) Dates of Operation of Uranium Mine.--Section 5(a)(2)(A) is
amended by striking ``December 31, 1971'' and inserting ``December 31,
1990''.
(f) Special Rules Relating to Combined Work Histories.--Section
5(a) is amended by adding at the end the following:
``(4) Special rule relating to combined work histories for
individuals with at least one year of experience.--An
individual meets the requirements of this paragraph if the
individual worked in one or more of the positions referred to
in paragraph (1)(A)(ii)(III)(bb) for a period of at least one
year during the period described in paragraph (1)(A)(i)(I).
``(5) Special rule relating to combined work histories for
miners.--An individual meets the requirements of this paragraph
if the individual, during the period described in paragraph
(1)(A)(i)(I), worked as a miner and was exposed to such number
of working level months that the Attorney General determines,
when combined with the exposure of such individual to radiation
through work as a miller, core driller, or ore transporter
during the period described in paragraph (1)(A)(i)(I), results
in such individual being exposed to a total level of radiation
that is greater or equal to the level of exposure of an
individual described in paragraph (4).''.
(g) Definition of Core Driller.--Section 5(b) is amended--
(1) by striking ``and'' at the end of paragraph (7);
(2) by striking the period at the end of paragraph (8) and
inserting ``; and''; and
(3) by adding at the end the following:
``(9) the term `core driller' means any individual employed
to engage in the act or process of obtaining cylindrical rock
samples of uranium or vanadium by means of a borehole drilling
machine for the purpose of mining uranium or vanadium.''.
SEC. 6. EXPANSION OF USE OF AFFIDAVITS IN DETERMINATION OF CLAIMS;
REGULATIONS.
(a) Affidavits.--Section 6(b) is amended by adding at the end the
following:
``(3) Affidavits.--
``(A) Employment history.--For purposes of this
Act, the Attorney General shall accept a written
affidavit or declaration as evidence to substantiate
the employment history of an individual as a miner,
miller, core driller, or ore transporter if the
affidavit--
``(i) is provided in addition to other
material that may be used to substantiate the
employment history of the individual;
``(ii) attests to the employment history of
the individual;
``(iii) is made subject to penalty for
perjury; and
``(iv) is made by a person other than the
individual filing the claim.
``(B) Physical presence in affected area.--For
purposes of this Act, the Attorney General shall accept
a written affidavit or declaration as evidence to
substantiate an individual's physical presence in an
affected area during a period described in section
4(a)(1)(A)(i) or section 4(a)(2) if the affidavit--
``(i) is provided in addition to other
material that may be used to substantiate the
individual's presence in an affected area
during that time period;
``(ii) attests to the individual's presence
in an affected area during that period;
``(iii) is made subject to penalty for
perjury; and
``(iv) is made by a person other than the
individual filing the claim.
``(C) Participation at testing site.--For purposes
of this Act, the Attorney General shall accept a
written affidavit or declaration as evidence to
substantiate an individual's participation onsite in a
test involving the atmospheric detonation of a nuclear
device if the affidavit--
``(i) is provided in addition to other
material that may be used to substantiate the
individual's participation onsite in a test
involving the atmospheric detonation of a
nuclear device;
``(ii) attests to the individual's
participation onsite in a test involving the
atmospheric detonation of a nuclear device;
``(iii) is made subject to penalty for
perjury; and
``(iv) is made by a person other than the
individual filing the claim.''.
(b) Technical and Conforming Amendments.--Section 6 is amended--
(1) in subsection (b)(2)(C), by striking ``section
4(a)(2)(C)'' and inserting ``section 4(a)(2)(E)'';
(2) in subsection (c)(2)--
(A) in subparagraph (A)--
(i) in the matter preceding clause (i), by
striking ``subsection (a)(1), (a)(2)(A), or
(a)(2)(B) of section 4'' and inserting
``subsection (a)(1), (a)(2)(A), (a)(2)(B),
(a)(2)(C), or (a)(2)(D) of section 4''; and
(ii) in clause (i), by striking
``subsection (a)(1), (a)(2)(A), or (a)(2)(B) of
section 4'' and inserting ``subsection (a)(1),
(a)(2)(A), (a)(2)(B), (a)(2)(C), or (a)(2)(D)
of section 4''; and
(B) in subparagraph (B), by striking ``section
4(a)(2)(C)'' and inserting ``section 4(a)(2)(E)''; and
(3) in subsection (e), by striking ``subsection (a)(1),
(a)(2)(A), or (a)(2)(B) of section 4'' and inserting
``subsection (a)(1), (a)(2)(A), (a)(2)(B), (a)(2)(C), or
(a)(2)(D) of section 4''.
(c) Regulations.--
(1) In general.--Section 6(k) is amended by adding at the
end the following: ``Not later than 180 days after the date of
enactment of the Radiation Exposure Compensation Act Amendments
of 2023, the Attorney General shall issue revised regulations
to carry out this Act.''.
(2) Considerations in revisions.--In issuing revised
regulations under section 6(k) of the Radiation Exposure
Compensation Act (Public Law 101-426; 42 U.S.C. 2210 note), as
amended under paragraph (1), the Attorney General shall ensure
that procedures with respect to the submission and processing
of claims under such Act take into account and make allowances
for the law, tradition, and customs of Indian tribes, including
by accepting as a record of proof of physical presence for a
claimant a grazing permit, a homesite lease, a record of being
a holder of a post office box, a letter from an elected leader
of an Indian tribe, or a record of any recognized tribal
association or organization.
SEC. 7. LIMITATION ON CLAIMS.
(a) Extension of Filing Time.--Section 8(a) is amended--
(1) by striking ``2 years'' and inserting ``19 years''; and
(2) by striking ``2022'' and inserting ``2023''.
(b) Resubmittal of Claims.--Section 8(b) is amended to read as
follows:
``(b) Resubmittal of Claims.--
``(1) Denied claims.--After the date of enactment of the
Radiation Exposure Compensation Act Amendments of 2023, any
claimant who has been denied compensation under this Act may
resubmit a claim for consideration by the Attorney General in
accordance with this Act not more than three times. Any
resubmittal made before the date of the enactment of the
Radiation Exposure Compensation Act Amendments of 2023 shall
not be applied to the limitation under the preceding sentence.
``(2) Previously successful claims.--
``(A) In general.--After the date of enactment of
the Radiation Exposure Compensation Act Amendments of
2023, any claimant who received compensation under this
Act may submit a request to the Attorney General for
additional compensation and benefits. Such request
shall contain--
``(i) the claimant's name, social security
number, and date of birth;
``(ii) the amount of award received under
this Act before the date of enactment of the
Radiation Exposure Compensation Act Amendments
of 2023;
``(iii) any additional benefits and
compensation sought through such request; and
``(iv) any additional information required
by the Attorney General.
``(B) Additional compensation.--If the claimant
received compensation under this Act before the date of
enactment of the Radiation Exposure Compensation Act
Amendments of 2023 and submits a request under
subparagraph (A), the Attorney General shall--
``(i) pay the claimant the amount that is
equal to any excess of--
``(I) the amount the claimant is
eligible to receive under this Act (as
amended by the Radiation Exposure
Compensation Act Amendments of 2023);
minus
``(II) the aggregate amount paid to
the claimant under this Act before the
date of enactment of the Radiation
Exposure Compensation Act Amendments of
2023; and
``(ii) in any case in which the claimant
was compensated under section 4, provide the
claimant with medical benefits under section
4(a)(5).''.
SEC. 8. GRANT PROGRAM ON EPIDEMIOLOGICAL IMPACTS OF URANIUM MINING AND
MILLING.
(a) Definitions.--In this section--
(1) the term ``institution of higher education'' has the
meaning given under section 101 of the Higher Education Act of
1965 (20 U.S.C. 1001);
(2) the term ``program'' means the grant program
established under subsection (b); and
(3) the term ``Secretary'' means the Secretary of Health
and Human Services.
(b) Establishment.--The Secretary shall establish a grant program
relating to the epidemiological impacts of uranium mining and milling.
Grants awarded under the program shall be used for the study of the
epidemiological impacts of uranium mining and milling among non-
occupationally exposed individuals, including family members of uranium
miners and millers.
(c) Administration.--The Secretary shall administer the program
through the National Institute of Environmental Health Sciences.
(d) Eligibility and Application.--Any institution of higher
education or nonprofit private entity shall be eligible to apply for a
grant. To apply for a grant an eligible institution or entity shall
submit to the Secretary an application at such time, in such manner,
and containing or accompanied by such information as the Secretary may
reasonably require.
(e) Authorization of Appropriations.--There are authorized to be
appropriated to carry out this section $3,000,000 for each of fiscal
years 2024 through 2026.
SEC. 9. ENERGY EMPLOYEES OCCUPATIONAL ILLNESS COMPENSATION PROGRAM.
(a) Covered Employees With Cancer.--Section 3621(9) of the Energy
Employees Occupational Illness Compensation Program Act of 2000 (42
U.S.C. 7384l(9)) is amended by striking subparagraph (A) and inserting
the following:
``(A) An individual with a specified cancer who is
a member of the Special Exposure Cohort, if and only
if--
``(i) that individual contracted that
specified cancer after beginning employment at
a Department of Energy facility (in the case of
a Department of Energy employee or Department
of Energy contractor employee) or at an atomic
weapons employer facility (in the case of an
atomic weapons employee); or
``(ii) that individual--
``(I) contracted that specified
cancer after beginning employment in a
uranium mine or uranium mill described
under section 5(a)(1)(A)(i) of the
Radiation Exposure Compensation Act (42
U.S.C. 2210 note) (including any
individual who was employed in core
drilling or the transport of uranium
ore or vanadium-uranium ore from such
mine or mill) located in Colorado, New
Mexico, Arizona, Wyoming, South Dakota,
Washington, Utah, Idaho, North Dakota,
Oregon, Texas, or any State the
Attorney General makes a determination
under section 5(a)(2) of that Act for
inclusion of eligibility under section
5(a)(1) of that Act; and
``(II) was employed in a uranium
mine or uranium mill described under
subclause (I) (including any individual
who was employed in core drilling or
the transport of uranium ore or
vanadium-uranium ore from such mine or
mill) at any time during the period
beginning on January 1, 1942, and
ending on December 31, 1990.''.
(b) Members of Special Exposure Cohort.--Section 3626 of the Energy
Employees Occupational Illness Compensation Program Act of 2000 (42
U.S.C. 7384q) is amended--
(1) in subsection (a), by striking paragraph (1) and
inserting the following:
``(1) The Advisory Board on Radiation and Worker Health
under section 3624 shall advise the President whether there is
a class of employees--
``(A) at any Department of Energy facility who
likely were exposed to radiation at that facility but
for whom it is not feasible to estimate with sufficient
accuracy the radiation dose they received; and
``(B) employed in a uranium mine or uranium mill
described under section 5(a)(1)(A)(i) of the Radiation
Exposure Compensation Act (42 U.S.C. 2210 note)
(including any individual who was employed in core
drilling or the transport of uranium ore or vanadium-
uranium ore from such mine or mill) located in
Colorado, New Mexico, Arizona, Wyoming, South Dakota,
Washington, Utah, Idaho, North Dakota, Oregon, Texas,
and any State the Attorney General makes a
determination under section 5(a)(2) of that Act for
inclusion of eligibility under section 5(a)(1) of that
Act, at any time during the period beginning on January
1, 1942, and ending on December 31, 1990, who likely
were exposed to radiation at that mine or mill but for
whom it is not feasible to estimate with sufficient
accuracy the radiation dose they received.''; and
(2) by striking subsection (b) and inserting the following:
``(b) Designation of Additional Members.--
``(1) Subject to the provisions of section 3621(14)(C), the
members of a class of employees at a Department of Energy
facility, or at an atomic weapons employer facility, may be
treated as members of the Special Exposure Cohort for purposes
of the compensation program if the President, upon
recommendation of the Advisory Board on Radiation and Worker
Health, determines that--
``(A) it is not feasible to estimate with
sufficient accuracy the radiation dose that the class
received; and
``(B) there is a reasonable likelihood that such
radiation dose may have endangered the health of
members of the class.
``(2) Subject to the provisions of section 3621(14)(C), the
members of a class of employees employed in a uranium mine or
uranium mill described under section 5(a)(1)(A)(i) of the
Radiation Exposure Compensation Act (42 U.S.C. 2210 note)
(including any individual who was employed in core drilling or
the transport of uranium ore or vanadium-uranium ore from such
mine or mill) located in Colorado, New Mexico, Arizona,
Wyoming, South Dakota, Washington, Utah, Idaho, North Dakota,
Oregon, Texas, and any State the Attorney General makes a
determination under section 5(a)(2) of that Act for inclusion
of eligibility under section 5(a)(1) of that Act, at any time
during the period beginning on January 1, 1942, and ending on
December 31, 1990, may be treated as members of the Special
Exposure Cohort for purposes of the compensation program if the
President, upon recommendation of the Advisory Board on
Radiation and Worker Health, determines that--
``(A) it is not feasible to estimate with
sufficient accuracy the radiation dose that the class
received; and
``(B) there is a reasonable likelihood that such
radiation dose may have endangered the health of
members of the class.''.
<all>
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118S1752 | Fair and Open Skies Act | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1752 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1752
To amend the permitting requirements of foreign air carriers, and for
other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
May 18, 2023
Ms. Klobuchar (for herself and Mr. Marshall) introduced the following
bill; which was read twice and referred to the Committee on Commerce,
Science, and Transportation
_______________________________________________________________________
A BILL
To amend the permitting requirements of foreign air carriers, and for
other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Fair and Open Skies Act''.
SEC. 2. PERMIT REQUIREMENTS OF FOREIGN AIR CARRIERS.
(a) Public Interest Test.--Section 41302(2) of title 49, United
States Code, is amended--
(1) in subparagraph (A), by striking ``under an agreement
with the United States Government; or'' and inserting ``;
and''; and
(2) in subparagraph (B), by striking ``the foreign air
transportation'' and inserting ``after considering the totality
of the circumstances, including the factors set forth in
section 40101(a), the foreign air transportation''.
(b) Public Interest Requirements.--
(1) Policy.--Section 40101(a) of title 49, United States
Code, is amended by adding at the end the following:
``(17) preventing the undermining of labor standards.''.
(2) International air transportation.--Section 40101(e) of
title 49, United States Code, is amended by adding at the end
the following:
``(11) preventing the undermining of labor standards.''.
<all>
</pre></body></html>
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118S176 | Expanding Agricultural Exports Act of 2023 | [
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] | <p> <b>Expanding Agricultural Exports Act of 2023 </b></p> <p>This bill expands and extends through FY2029 the Market Access Program and Foreign Market Development Cooperator Program of the Department of Agriculture.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 176 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 176
To amend the Agricultural Trade Act of 1978 to extend and expand the
Market Access Program and the Foreign Market Development Cooperator
Program.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
January 31, 2023
Mr. King (for himself, Ms. Ernst, Ms. Smith, Ms. Collins, and Mr.
Grassley) introduced the following bill; which was read twice and
referred to the Committee on Agriculture, Nutrition, and Forestry
_______________________________________________________________________
A BILL
To amend the Agricultural Trade Act of 1978 to extend and expand the
Market Access Program and the Foreign Market Development Cooperator
Program.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Expanding Agricultural Exports Act
of 2023''.
SEC. 2. FINDINGS.
Congress finds that--
(1) between 1977 and 2019, the export promotion programs of
the Department of Agriculture--
(A) have added an average of $9,600,000,000
annually to the value of United States agricultural
exports, equal to a total of nearly $648,000,000,000,
or 13.7 percent, in additional export revenue; and
(B) have generated a net return of $24.50 for every
dollar invested;
(2) between 2002 and 2019, the export promotion programs of
the Department of Agriculture--
(A) have contributed to the creation of up to
225,800 full- and part-time jobs across the United
States economy; and
(B) have added up to $45,000,000,000 in gross
economic output and $22,300,000,000 in gross domestic
product;
(3) communities across the United States producing
agricultural commodities as varied as apples, cotton, beef,
soybeans, rice, wheat, dairy, corn, citrus, wine, pork,
peanuts, cranberries, lentils, tree nuts, timber, poultry,
potatoes, and seafood have utilized the export promotion
programs of the Department of Agriculture to increase access to
foreign markets;
(4) private sector contributions have helped maintain the
public-private partnership between the Department of
Agriculture and private agricultural groups as available funds
from the Department of Agriculture have declined, with private
contributions representing approximately 70 to 77 percent of
the funds available for export promotion from 2013 to 2019;
(5) foreign competitors have expanded their agricultural
export promotion programs at a far faster rate than the United
States, placing United States producers at a competitive
disadvantage in international markets;
(6) the economic impact of the export promotion programs of
the Department of Agriculture has eroded in recent years, as
funding for the Market Access Program has remained static since
2006 and funding for the Foreign Market Development Cooperator
Program has remained static since 2002, while inflation has
increased; and
(7) a recent academic analysis found that doubling public
funding for the Market Access Program and the Foreign Market
Development Cooperator Program, coupled with increasing private
contributions ranging from 10 to 20 percent, would result in
average annual gains in agricultural exports of approximately
$7,400,000,000.
SEC. 3. AGRICULTURAL TRADE PROMOTION AND FACILITATION.
Section 203(f) of the Agricultural Trade Act of 1978 (7 U.S.C.
5623(f)) is amended--
(1) in paragraph (2)--
(A) by striking ``2019 through 2023'' and inserting
``2024 through 2029''; and
(B) by striking ``$255,000,000'' and inserting
``$489,500,000''; and
(2) in paragraph (3)(A)--
(A) in the matter preceding clause (i), by striking
``2019 through 2023'' and inserting ``2024 through
2029'';
(B) in clause (i), by striking ``$200,000,000'' and
inserting ``$400,000,000''; and
(C) in clause (ii), by striking ``$34,500,000'' and
inserting ``$69,000,000''.
<all>
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118S177 | Zero Food Waste Act | [
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] | <p><b>Zero Food Waste Act</b></p> <p>This bill directs the Environmental Protection Agency to establish a grant program to study and reduce food waste. </p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 177 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 177
To require the Administrator of the Environmental Protection Agency to
provide grants to reduce the quantity of food waste, and for other
purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
January 31, 2023
Mr. Booker (for himself and Ms. Smith) introduced the following bill;
which was read twice and referred to the Committee on Environment and
Public Works
_______________________________________________________________________
A BILL
To require the Administrator of the Environmental Protection Agency to
provide grants to reduce the quantity of food waste, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Zero Food Waste Act''.
SEC. 2. FOOD WASTE REDUCTION GRANTS.
(a) Definitions.--In this section:
(1) Administrator.--The term ``Administrator'' means the
Administrator of the Environmental Protection Agency.
(2) Eligible entity.--The term ``eligible entity'' means--
(A) a State, a local government, a territorial
government, or a Tribal government;
(B) a nonprofit organization; and
(C) a partnership of 2 or more of any of the
entities described in subparagraphs (A) and (B).
(3) Food waste.--The term ``food waste'' means any uneaten
food and inedible parts of food.
(4) Food waste reduction activity.--The term ``food waste
reduction activity'' means any method or activity that reduces
the quantity of food waste disposed of in landfills or
incinerated, including through prevention, rescue, upcycling,
and recycling.
(5) Nonprofit organization.--The term ``nonprofit
organization'' means an organization described in section
501(c)(3) of the Internal Revenue Code of 1986 and exempt from
taxation under section 501(a) of that Code.
(6) Prevent.--The term ``prevent'' means to forestall the
generation of food waste.
(7) Recycle.--The term ``recycle'' means to reuse food
waste as a feedstock for a nonfood product.
(8) Rescue.--The term ``rescue'' means to redirect surplus
food for consumption.
(9) Source separated organics.--
(A) In general.--The term ``source separated
organics'' means organic waste that is separated from
other waste by the waste generator.
(B) Inclusion.--The term ``source separated
organics'' includes materials that are certified to
meet ASTM standard D6400 or D6868.
(C) Exclusion.--The term ``source separated
organics'' does not include mixed solid waste.
(10) Upcycle.--The term ``upcycle'' means to make new food
from ingredients that otherwise would become food waste.
(b) Program.--
(1) Establishment.--The Administrator shall establish and
carry out a program to award competitive grants in accordance
with paragraph (3).
(2) Purpose.--The purpose of the program established under
paragraph (1) is to help reduce the quantity of food waste by
50 percent by 2030, relative to that quantity in 2010.
(3) Grants.--
(A) Study on food waste generation and food waste
management planning.--Under the program established
under paragraph (1), the Administrator may award a
grant to an eligible entity, excluding any eligible
entity that is a nonprofit organization--
(i) to study--
(I) the generation of food waste in
the State or area in which the eligible
entity is located or otherwise serves;
and
(II) policies and programs that
significantly reduce the quantity of
food waste, including policies and
programs to carry out food waste
reduction activities; and
(ii) to develop a plan under which the
eligible entity will carry out at least 1 food
waste reduction activity, prioritizing
prevention to the extent practicable.
(B) Food waste data and reports.--Under the program
established under paragraph (1), the Administrator may
award a grant to an eligible entity, excluding any
eligible entity that is a nonprofit organization--
(i) to collect data on the quantity of food
waste generated in the State or area in which
the eligible entity is located or otherwise
serves; and
(ii) to publish, on any publicly available
website (which may include the website of a
nongovernmental organization), a monthly or
quarterly report on the data collected under
clause (i).
(C) Food waste reduction projects.--Under the
program established under paragraph (1), the
Administrator may award a grant to an eligible entity--
(i)(I) to carry out or otherwise support a
food waste reduction activity;
(II) to implement a differential pricing
policy on the disposal of food waste--
(aa) to disincentivize disposing of
food waste by incineration or deposit
in a landfill; and
(bb) to incentivize carrying out
food waste reduction activities;
(III) to pay for or provide technical
assistance to carry out a food waste reduction
activity;
(IV) to implement restrictions on disposing
of food waste by incineration or deposit in a
landfill;
(V) to implement food waste reduction
activity requirements;
(VI) to implement demand-stimulating
policies for recycling end-markets; or
(VII) to carry out any other activity the
Administrator determines will reduce the
quantity of food waste in the applicable area;
and
(ii) to collect data and publish reports as
described in subparagraph (B).
(c) Applications.--
(1) In general.--To apply for a grant under this section,
an eligible entity shall submit to the Administrator an
application at such time and in such form as the Administrator
may require, which shall demonstrate how the eligible entity
will use the grant in accordance with subsection (b)(3).
(2) Nonprofit organizations.--In the case of an application
under paragraph (1) from an eligible entity that is a nonprofit
organization, the application shall include--
(A) a letter of support for the proposed use of the
grant from--
(i) the relevant local government,
territorial government, Tribal government, or
State; or
(ii) another nonprofit organization that--
(I) has a demonstrated history of
undertaking work in the geographic
region where the proposed use of the
grant is to take place, as determined
by the Administrator; and
(II) would not be involved in the
proposed use of the grant; and
(B) any other information the Administrator may
require.
(3) Prioritization.--In awarding grants under this section,
the Administrator shall--
(A) seek to award grants for use in diverse
locations and for diverse uses; and
(B) prioritize awarding grants to--
(i) any eligible entity, excluding any
eligible entity that is a nonprofit
organization, that--
(I) implements a program to carry
out food waste reduction activities; or
(II) has a demonstrated need, as
determined by the Administrator, for
additional investment in infrastructure
or other resources to be able to
implement a program to carry out food
waste reduction activities; or
(ii) an eligible entity that will use the
grant in accordance with subsection
(b)(3)(C)(i) in a community of color, low-
income community, or Tribal community that has
been disproportionately affected by adverse
human health or environmental effects.
(4) Anaerobic digestion projects.--With respect to any
grant awarded under subsection (b)(3)(C) to carry out an
anaerobic digestion project, the Administrator shall--
(A) require the applicant to submit to the
Administrator a plan for end-product recycling that, in
accordance with guidelines the Administrator shall
establish--
(i) provides for the use of the material
resulting from the project as a soil amendment;
and
(ii) ensures that the use of the material
resulting from the project does not create an
environmental hazard; and
(B) require the eligible entity that is carrying
out the project--
(i) to limit its use of animal waste to not
more than 20 percent of the total feedstock of
the project; and
(ii) to only use source separated organics
as the portion of the total feedstock that is
not animal waste.
(d) Reporting.--
(1) Effect of use of grant.--Each eligible entity that
receives a grant under this section shall submit to the
Administrator a report, at such time and in such form as the
Administrator may require, on the results of the use of the
grant, which shall include any relevant data requested by the
Administrator for purposes of tracking the effectiveness of the
program established under subsection (b)(1).
(2) Annual report.--The Administrator shall submit to
Congress and make publicly available on the website of the
Environmental Protection Agency an annual report describing--
(A) the effectiveness of the program established
under subsection (b)(1) in reducing the quantity of
food waste by 50 percent by 2030, relative to that
quantity in 2010, including information on the progress
of that reduction; and
(B) the means by which the Administrator is
promoting learning among grantees and other
stakeholders to better achieve results.
(e) Authorization of Appropriations.--There is authorized to be
appropriated to carry out this section $650,000,000 for each of fiscal
years 2023 through 2032, to remain available until expended.
<all>
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118S178 | Airline Passengers' Bill of Rights | [
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] | <p><b>Airline Passengers' Bill of Rights</b></p> <p>This bill expands protections for passengers in air transportation.</p> <p>Among other things, the bill requires the Department of Transportation to implement regulations relating to</p> <ul> <li>protections for airline passengers from being required to involuntarily relinquish their seats, unless necessary for safety or security;</li> <li>the elimination of the dollar limitations on compensation to passengers denied boarding due to overbooking;</li> <li>compensation to passengers for delayed or cancelled flights;</li> <li>interline agreements between air carriers and other transportation providers; </li> <li>training on the rights of passengers;</li> <li>unreasonable air carrier fees; </li> <li>unrestricted access of consumers to information on schedules, fares, fees, and taxes;</li> <li>accuracy in pricing of tickets and disclosure of lowest fares; and</li> <li>notifications to passengers of their rights and eligibility for refunds.</li> </ul> <p>The Federal Aviation Administration must (1) prohibit any air carrier from reducing seat size or leg room, and (2) report on the quality of food and potable water on passenger aircraft and the sufficiency of flight crews and aircraft.</p> <p>The bill provides a private right of action for passengers aggrieved by airline actions and increases civil penalties on air carriers for violations of passenger protections.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 178 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 178
To establish protections for passengers in air transportation, and for
other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
January 31, 2023
Mr. Blumenthal (for himself, Mr. Markey, Mr. Whitehouse, Mr. Casey, Mr.
Wyden, and Mr. Sanders) introduced the following bill; which was read
twice and referred to the Committee on Commerce, Science, and
Transportation
_______________________________________________________________________
A BILL
To establish protections for passengers in air transportation, and for
other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE; TABLE OF CONTENTS.
(a) Short Title.--This Act may be cited as the ``Airline
Passengers' Bill of Rights''.
(b) Table of Contents.--The table of contents for this Act is as
follows:
Sec. 1. Short title; table of contents.
Sec. 2. Definitions.
TITLE I--PASSENGER PROTECTIONS
Sec. 101. Rules regarding compensation provided to passengers.
Sec. 102. Minimum compensation provided to passengers involuntarily
denied boarding.
Sec. 103. Delays and cancellations.
Sec. 104. Unfair and deceptive attribution of delays and cancellations
to force majeure events.
Sec. 105. Interline agreements and protections.
Sec. 106. Protections relating to space for passengers on aircraft.
Sec. 107. Availability of lavatories on passenger aircraft.
Sec. 108. Availability of potable water on passenger aircraft.
Sec. 109. Training on rights of passengers.
Sec. 110. Report on quality and safety of food and water on passenger
aircraft.
Sec. 111. Report on sufficiency of available flight crews and aircraft.
TITLE II--CONSUMER PROTECTIONS
Sec. 201. Protections relating to the imposition of fees that are not
reasonable and proportional to the costs
incurred.
Sec. 202. Protections relating to disclosure of flight information.
Sec. 203. Transparency in pricing of tickets in air transportation.
Sec. 204. Disclosure of lowest fares for air transportation.
Sec. 205. Frequent flyer programs fairness and transparency.
Sec. 206. Refunds for lost, damaged, delayed, or pilfered baggage.
Sec. 207. Passenger rights transparency.
Sec. 208. Private right of action against unfair and deceptive
practices.
Sec. 209. Fairness and transparency in contracts of carriage.
Sec. 210. Private right of action for discrimination claims against air
carriers.
Sec. 211. No preemption of consumer protection claims.
Sec. 212. Invalidation of pre-dispute arbitration and class-action
waiver clauses in certain contracts
relating to passenger air transportation.
Sec. 213. Consumer complaint process improvement.
TITLE III--PENALTIES FOR AIR CARRIERS
Sec. 301. Increase in civil penalty for violations of passenger
protection laws.
Sec. 302. Report on imposition of civil penalties.
Sec. 303. Study of distribution of civil penalties to consumers.
Sec. 304. Prohibition on negotiation of reductions in civil penalties.
TITLE IV--COMPETITIVENESS OF AIR CARRIERS
Sec. 401. Analysis of air carrier mergers.
SEC. 2. DEFINITIONS.
Except as otherwise specifically provided, in this Act:
(1) Administrator.--The term ``Administrator'' means the
Administrator of the Federal Aviation Administration.
(2) Advisory committee for aviation consumer protection.--
The term ``Advisory Committee for Aviation Consumer
Protection'' means the advisory committee established under
section 411 of the FAA Modernization and Reform Act of 2012 (49
U.S.C. 42301 note prec.).
(3) Air carrier.--The term ``air carrier'' means an air
carrier or foreign air carrier, as those terms are defined in
section 40102 of title 49, United States Code.
(4) Air transportation.--The term ``air transportation''
has the meaning given that term in section 40102 of title 49,
United States Code.
(5) Ancillary fee.--The term ``ancillary fee'', with
respect to a fee imposed by an air carrier, means any fee for
an optional service, including any fee for a first or second
checked bag or a carry-on bag, cancellation of an itinerary,
changes in an itinerary, seat assignment, or advance boarding.
(6) Appropriate committees of congress.--The term
``appropriate committees of Congress'' means the Committee on
Commerce, Science, and Transportation of the Senate and the
Committee on Transportation and Infrastructure of the House of
Representatives.
(7) Passenger air transportation.--The term ``passenger air
transportation'' means, with respect to the transportation of
passengers by aircraft as a common carrier for compensation,
foreign air transportation, interstate air transportation, and
intrastate air transportation, as such terms are defined in
section 40102 of title 49, United States Code.
(8) Purchase.--The term ``purchase'', with respect to a
ticket for travel in air transportation, means the purchase of
a ticket using cash or credit or using miles awarded through
the frequent flyer program of an air carrier.
(9) Secretary.--The term ``Secretary'' means the Secretary
of Transportation.
(10) Ticket agent.--The term ``ticket agent'' has the
meaning given that term in section 40102 of title 49, United
States Code.
TITLE I--PASSENGER PROTECTIONS
SEC. 101. RULES REGARDING COMPENSATION PROVIDED TO PASSENGERS.
Not later than 180 days after the date of the enactment of this
Act, the Secretary shall prescribe regulations--
(1) allowing an air carrier to offer compensation to a
passenger to incentivize the passenger to relinquish the
passenger's seat on a flight operated by the air carrier;
(2) prohibiting an air carrier from imposing a cap on the
amount of compensation the air carrier can provide to a
passenger in exchange for the passenger relinquishing a seat;
and
(3) requiring an air carrier to provide any compensation
provided to a passenger in exchange for the passenger
relinquishing a seat in the form of cash.
SEC. 102. MINIMUM COMPENSATION PROVIDED TO PASSENGERS INVOLUNTARILY
DENIED BOARDING.
Not later than 60 days after the date of enactment of this Act, the
Secretary shall, notwithstanding section 425(e)(2) of the FAA
Reauthorization Act of 2018, issue a final rule to revise part 250 of
title 14, Code of Federal Regulations, to establish that $1,350 is the
minimum level of compensation an air carrier or foreign air carrier
must pay to a passenger who is involuntarily denied boarding as the
result of an oversold flight.
SEC. 103. DELAYS AND CANCELLATIONS.
(a) Regulations.--Not later than 180 days after the date of the
enactment of this Act, the Secretary shall prescribe regulations
requiring, if a passenger's flight is delayed or cancelled for any
reason within the control of the air carrier (including crew
scheduling, routine maintenance, functioning of information technology
systems, passenger service issues, issues related to baggage services,
issues related to ground handling of aircraft, or other reasons as
specified by the Secretary) and--
(1) the passenger's arrival at the passenger's destination
is delayed by more than 1 hour and less than 4 hours after the
originally scheduled arrival of the passenger, the air
carrier--
(A) to automatically refund to the passenger the
amount the passenger paid for the ticket; and
(B) to find a seat for the passenger on another
flight operated by the air carrier, on a flight
operated by another air carrier, or on an alternative
means of transportation, at no additional expense to
the passenger, that results in the passenger arriving
at the passenger's destination not later than 4 hours
after the original scheduled arrival time;
(2) the passenger's arrival at the passenger's destination
is delayed by more than 4 hours after the originally scheduled
arrival of the passenger, the air carrier--
(A) to automatically refund to the passenger the
amount the passenger paid for the ticket;
(B) to find a seat for the passenger on another
flight operated by the air carrier, on a flight
operated by another air carrier, or on an alternative
means of transportation, at no additional expense to
the passenger, at the earliest available opportunity,
if the passenger so chooses;
(C) to provide compensation to the passenger of
$1,350 cash; and
(D) to provide a passenger with an amount equal to
the cost of a meal; and
(3) the passenger's departure is delayed until the next
day, the air carrier to provide the passenger with an amount
equal to the cost of hotel lodging, in addition to the
requirements of paragraph (2).
(b) Savings Provision.--Nothing in this section shall be construed
as affecting the authority of an air carrier to maximize its system
capacity during weather-related events to accommodate the greatest
number of passengers.
SEC. 104. UNFAIR AND DECEPTIVE ATTRIBUTION OF DELAYS AND CANCELLATIONS
TO FORCE MAJEURE EVENTS.
Section 41712 of title 49, United States Code, is amended by adding
at the end the following:
``(d) Attribution of Delays and Cancellations to Force Majeure
Events.--It shall be an unfair or deceptive practice under subsection
(a) for an air carrier or foreign air carrier to attribute the delay or
cancellation of a flight operated by the carrier or by another air
carrier or foreign air carrier with which the carrier has a codesharing
or other joint marketing arrangement to a force majeure event unless
the delay or cancellation is caused by an event not within the control
of the air carrier operating the flight, such as weather, an act of
God, or a war or other hostilities.''.
SEC. 105. INTERLINE AGREEMENTS AND PROTECTIONS.
(a) Regulations.--Not later than 1 year after the date of the
enactment of this Act, the Secretary shall prescribe regulations--
(1) to facilitate interline agreements and related
practices between air carriers and providers of other modes of
transportation; and
(2) to establish a complaint and remediation process
through which parties may submit complaints and resolve
disputes regarding the establishment and implementation of
interline agreements.
(b) Interline Agreements.--The regulations prescribed pursuant to
subsection (a)(1) shall--
(1) include provisions to prevent air carriers and other
transportation providers from significantly hindering or
preventing willing air carriers or other transportation
providers from entering into interline agreements or conducting
related practices;
(2) require air carriers to explicitly notify passengers
when they are eligible to be provided transportation by another
air carrier or a provider of another mode of transportation;
(3) after an eligible passenger is notified under paragraph
(2), require air carriers to attempt to provide to the
passenger transportation through another air carrier or a
provider of another mode of transportation, upon the
passenger's request, if the air carrier has an interline
agreement with the other air carrier or transportation
provider;
(4) prohibit air carriers and other transportation
providers from unduly or improperly influencing the decision of
a partner, subsidiary, or vendor to enter into an interline
agreement, the terms or conditions of such an agreement, or
related practices;
(5) account for operational records, seat availability, and
capacity; and
(6) promote competition and the public interest.
(c) Complaint and Remediation Process.--The complaint and
remediation processes established pursuant to subsection (a)(2) may
provide for appropriate penalties and remedies for violations of an
interline agreement.
SEC. 106. PROTECTIONS RELATING TO SPACE FOR PASSENGERS ON AIRCRAFT.
(a) Moratorium on Reductions to Aircraft Seat Size.--
(1) In general.--Not later than 30 days after the date of
the enactment of this Act, the Administrator shall prohibit any
air carrier from reducing the size, width, or pitch of seats on
passenger aircraft operated by the air carrier, the amount of
leg room per seat on such aircraft, or the width of aisles on
such aircraft.
(2) Termination.--The prohibition under paragraph (1) shall
terminate on the date on which the regulations required by
subsection (b) take effect.
(b) Regulations Relating to Space for Passengers on Aircraft.--Not
later than 1 year after the date of enactment of this Act, and after
providing notice and an opportunity for comment, the Administrator
shall issue regulations--
(1) establishing minimum dimensions for passenger seats on
aircraft operated by air carriers in interstate air
transportation or intrastate air transportation, including the
size, width, and pitch of seats, the amount of leg room, and
the width of aisles on such aircraft for the safety and health
of passengers; and
(2) requiring each air carrier to prominently display on a
publicly available internet website of the air carrier the
amount of space available for each passenger on passenger
aircraft operated by the air carrier or by another air carrier
with which the air carrier has a codesharing or other joint
marketing arrangement, including the size, width, and pitch of
seats, the amount of leg room, and the width of aisles on such
aircraft.
(c) Consultations.--In prescribing the regulations required under
subsection (b), the Administrator shall consult with the Occupational
Safety and Health Administration, the Centers for Disease Control and
Prevention, passenger advocacy organizations, physicians, and ergonomic
engineers.
(d) Conforming Repeal.--Section 577 of the FAA Reauthorization Act
of 2018 is repealed.
SEC. 107. AVAILABILITY OF LAVATORIES ON PASSENGER AIRCRAFT.
(a) In General.--Subchapter I of chapter 417 of title 49, United
States Code, is amended by adding at the end the following:
``Sec. 41727. Availability of lavatories on passenger aircraft
``(a) In General.--Each air carrier and foreign air carrier shall
ensure that each passenger aircraft operated by the air carrier or
foreign air carrier maintains sufficient functional lavatories (as
determined by the Secretary of Transportation) that--
``(1) are available for use, free of charge, any time
passengers are on board the aircraft; and
``(2) can accommodate individuals with disabilities.
``(b) Disability Defined.--In this section, the term `disability'
has the meaning given that term in section 3 of the Americans with
Disabilities Act of 1990 (42 U.S.C. 12102).
``(c) Regulations.--Not later than 180 days after the date of the
enactment of the Airline Passengers' Bill of Rights, the Secretary of
Transportation shall prescribe such regulations as are necessary to
carry out this section.''.
(b) Clerical Amendment.--The analysis for chapter 417 of such title
is amended by inserting after the item relating to section 41726 the
following:
``41727. Availability of lavatories on passenger aircraft.''.
SEC. 108. AVAILABILITY OF POTABLE WATER ON PASSENGER AIRCRAFT.
(a) In General.--Subchapter I of chapter 417 of title 49, United
States Code, as amended by section 107(a), is amended by adding at the
end the following:
``Sec. 41728. Availability of potable water on passenger aircraft
``(a) In General.--Each air carrier and foreign air carrier shall
ensure that potable water is available, free of charge, to passengers
on board aircraft operated by the air carrier or foreign air carrier.
``(b) Regulations.--Not later than 180 days after the date of the
enactment of the Airline Passengers' Bill of Rights, the Secretary of
Transportation shall prescribe such regulations as are necessary to
carry out this section.''.
(b) Clerical Amendment.--The analysis for chapter 417 of such
title, as amended by section 107(b), is amended by inserting after the
item relating to section 41727 the following:
``41728. Availability of potable water on passenger aircraft.''.
SEC. 109. TRAINING ON RIGHTS OF PASSENGERS.
Not later than 180 days after the date of the enactment of this
Act, the Secretary shall prescribe regulations requiring an air carrier
to provide, not less frequently than every 180 days, training on the
rights of passengers to employees and representatives of the air
carrier that directly interact with passengers, including ticket
agents, gate agents, pilots, and flight attendants.
SEC. 110. REPORT ON QUALITY AND SAFETY OF FOOD AND WATER ON PASSENGER
AIRCRAFT.
Not later than 180 days after the date of the enactment of this
Act, the Administrator shall submit to the appropriate committees of
Congress a report assessing the quality and safety of food and potable
water on passenger aircraft.
SEC. 111. REPORT ON SUFFICIENCY OF AVAILABLE FLIGHT CREWS AND AIRCRAFT.
Not later than 180 days after the date of the enactment of this
Act, the Administrator shall submit to the appropriate committees of
Congress a report assessing--
(1) whether air carriers ensure that sufficient flight
crews and aircraft are available for scheduled flights; and
(2) the extent to which not having sufficient flight crews
and aircraft available affects arrival and departure times.
TITLE II--CONSUMER PROTECTIONS
SEC. 201. PROTECTIONS RELATING TO THE IMPOSITION OF FEES THAT ARE NOT
REASONABLE AND PROPORTIONAL TO THE COSTS INCURRED.
(a) In General.--Not later than 270 days after the date of the
enactment of this Act, the Secretary shall prescribe regulations--
(1) prohibiting an air carrier from imposing fees described
in subsection (b) that are unreasonable or disproportional to
the costs incurred by the air carrier; and
(2) establishing standards for assessing whether such fees
are reasonable and proportional to the costs incurred by the
air carrier.
(b) Fees Described.--The fees described in this subsection are--
(1) any fee for a change or cancellation of a reservation
for a flight in passenger air transportation;
(2) any fee relating to checked baggage or carry-on baggage
to be transported on a flight in passenger air transportation;
(3) any fee relating to the choice or assignment of seats
on a flight in passenger air transportation; and
(4) any other fee imposed by an air carrier relating to a
flight in passenger air transportation.
(c) Considerations.--In establishing the standards required under
subsection (a)(2), the Secretary shall consider--
(1) with respect to a fee described in subsection (b)(1)
imposed by an air carrier for a change or cancellation of a
flight reservation--
(A) any net benefit or cost to the air carrier from
the change or cancellation, taking into consideration--
(i) the ability of the air carrier to
anticipate the expected average number of
cancellations and changes and make reservations
accordingly;
(ii) the ability of the air carrier to fill
a seat made available by a change or
cancellation;
(iii) any difference in the fare likely to
be paid for a ticket sold to another passenger
for a seat made available by the change or
cancellation, as compared to the fare that was
paid by the passenger for the seat for which
the reservation was changed or canceled; and
(iv) the likelihood that the passenger
changing or cancelling the reservation will, as
a result, fill a seat on another flight by the
same air carrier;
(B) the costs of processing the change or
cancellation electronically; and
(C) any related labor costs;
(2) with respect to a fee described in subsection (b)(2)
imposed by an air carrier relating to checked baggage--
(A) the costs of processing checked baggage
electronically; and
(B) any related labor costs;
(3) with respect to a fee described in subsection (b)(3)
imposed by an air carrier relating to the choice or assignment
of seats on a flight in passenger air transportation, ensuring
that a passenger traveling with children who are 13 years of
age or younger are able to be seated with those children at no
additional charge to the passenger traveling with such children
or to any other passenger traveling on the flight involved; and
(4) any other considerations the Secretary considers
appropriate.
(d) Updated Regulations.--The Secretary shall update the standards
required under subsection (a)(2) not less frequently than every 3
years.
SEC. 202. PROTECTIONS RELATING TO DISCLOSURE OF FLIGHT INFORMATION.
(a) Prohibition on Limiting Access of Consumer to Information.--Not
later than 180 days after the date of the enactment of this Act, the
Secretary shall prescribe regulations prohibiting an air carrier from
limiting the access of consumers to information relating to schedules,
fares, fees, and taxes relating to flights in passenger air
transportation.
(b) Prohibition on Withholding Information.--Not later than 180
days after the date of the enactment of this Act, the Secretary shall
prescribe regulations prohibiting an air carrier, through a global
distribution system or otherwise, from withholding flight, fare,
scheduling, availability, and other information published by air
carriers from consumers and online travel agents and metasearch engines
that provide flight search tools.
SEC. 203. TRANSPARENCY IN PRICING OF TICKETS IN AIR TRANSPORTATION.
Not later than 180 days after the date of the enactment of this
Act, the Secretary shall prescribe regulations requiring--
(1) air carriers to provide useable, current, and accurate
information in a user-friendly, accessible form, with respect
to fares, applicable taxes, and ancillary fees to ticket
agents, online travel agents, and metasearch engines that
provide flight search tools;
(2) air carriers to allow consumers to purchase tickets and
pay for applicable taxes and ancillary fees through ticket
agents, online travel agents, and metasearch engines that
provide flight search tools;
(3) air carriers, ticket agents, online travel agents, and
metasearch engines that provide flight search tools to disclose
all applicable taxes and any ancillary fees charged by an air
carrier with respect to a fare that are applicable to the
services identified by the purchaser, at any point at which the
fare is shown in whole or in part; and
(4) air carriers, ticket agents, online travel agents, and
metasearch engines that provide flight search tools, in any
telephonic communication with a prospective consumer in the
United States regarding the cost of air transportation, to
inform the consumer of all applicable taxes and any ancillary
fees charged by an air carrier in relation to the air
transportation and associated services requested by the
consumer, at any point at which the cost of the air
transportation is disclosed in whole or in part.
SEC. 204. DISCLOSURE OF LOWEST FARES FOR AIR TRANSPORTATION.
(a) In General.--Section 41712(c)(1) of title 49, United States
Code, is amended--
(1) in subparagraph (A), by striking ``and'' at the end;
(2) in subparagraph (B), by striking the period at the end
and inserting ``; and''; and
(3) by adding at the end the following:
``(C) the lowest available fare options for the
flight and for each flight segment of the flight, if
applicable.''.
(b) Regulations.--The Secretary, in consultation with the
Administrator, shall prescribe such regulations as may be necessary to
carry out section 41712(c)(1)(C) of title 49, United States Code, as
added by subsection (a)(3).
SEC. 205. FREQUENT FLYER PROGRAMS FAIRNESS AND TRANSPARENCY.
(a) In General.--Section 41712(c) of title 49, United States Code,
is amended by adding at the end the following:
``(3) Frequent flyer programs.--It shall be an unfair or
deceptive practice under subsection (a) for any air carrier or
foreign air carrier that offers a frequent flyer program--
``(A) to materially change the terms or conditions
of the frequent flyer program without providing
reasonable notice to consumers; or
``(B) to unfairly reduce or eliminate benefits
earned by members of the frequent flyer program.''.
(b) Regulations.--
(1) In general.--Not later than 180 days after the date of
the enactment of this Act, the Secretary, in consultation with
the Administrator, shall prescribe such regulations as may be
necessary to carry out section 41712(c)(3) of title 49, United
States Code, as added by subsection (a).
(2) Considerations.--In prescribing the regulations
required under paragraph (1), the Secretary shall--
(A) take into consideration--
(i) the significance of the change to the
frequent flyer program's terms and conditions;
and
(ii) the amount of time between the
notification provided to a consumer and the
date on which the change takes effect; and
(B) require each air carrier that offers a frequent
flyer program to disclose, in a standardized format,
when offering or enrolling consumers into the program,
accurate information regarding the program's rules,
including--
(i) the rate at which credits are earned;
(ii) the minimum number of credits earned
per flight;
(iii) the number of credits needed for each
award;
(iv) any applicable deadlines for redeeming
credits;
(v) any restrictions on the transferability
of earned credit and awards;
(vi) other conditions and limitations of
the program;
(vii) the percentage of successful
redemptions; and
(viii) frequent flyer seats made available
in the top origin and destination markets.
SEC. 206. REFUNDS FOR LOST, DAMAGED, DELAYED, OR PILFERED BAGGAGE.
(a) In General.--Not later than 180 days after the date of the
enactment of this Act, the Secretary shall prescribe regulations
requiring an air carrier--
(1) to promptly provide an automatic refund to a passenger
in the amount of any ancillary fee charged by the air carrier
for checked baggage if the passenger's checked baggage arrives
damaged; and
(2) to provide notification to a passenger who is impacted
by lost, damaged, delayed, or pilfered baggage, through the
passenger's chosen method of communication, of the procedure by
which the passenger shall obtain a refund and the amount of the
refund.
(b) Inclusion in Contract of Carriage.--An air carrier shall
include the requirements under subsection (a) in the air carrier's
contract of carriage.
SEC. 207. PASSENGER RIGHTS TRANSPARENCY.
(a) In General.--Not later than 90 days after the date of the
enactment of this Act, the Secretary shall prescribe regulations
requiring air carriers to notify passengers of their rights and
eligibility for refunds, compensation, and protections required by law,
including by an air carrier's contract of carriage, or otherwise
available to passengers.
(b) Requirements.--In prescribing the regulations under subsection
(a), the Secretary shall require air carriers--
(1) to promptly and expressly notify eligible passengers
and the public of their eligibility for refunds, compensation,
and protections not later than 30 minutes after the air carrier
becomes aware that such passengers have become eligible for
such refunds, compensation, and protections;
(2) if such air carriers permit passengers and other
interested persons to subscribe to flight status notification
services--
(A) to deliver refunds, compensation, and
protection notifications to subscribers to such
services, by whatever means the air carrier offers that
the subscriber chooses; and
(B) to incorporate commitments with respect to such
services into their customer service plans;
(3) to continuously display information and eligibility
requirements for refunds, compensation, and protections,
including refunds, compensation, and protections relating to--
(A) denied boarding and delays and cancellations
(including on international flights); and
(B) lost, damaged, or delayed luggage; and
(4) to prominently display passengers' rights and contact
information for the Department of Transportation's consumer
complaint system on boarding passes, computer-generated
boarding passes, and ticketed itineraries, and at boarding
gates and ticket counters.
SEC. 208. PRIVATE RIGHT OF ACTION AGAINST UNFAIR AND DECEPTIVE
PRACTICES.
Section 41712 of title 49, United States Code, as amended by
section 104, is amended by adding at the end the following:
``(e) Private Right of Action.--
``(1) In general.--Any individual who purchases a ticket
for air transportation and is aggrieved by an action prohibited
under this section may file a civil action for damages and
injunctive relief in an appropriate district court of the
United States or a State court located in the State in which--
``(A) the unlawful action is alleged to have been
committed; or
``(B) the aggrieved individual resides.
``(2) Enforcement by a state.--The attorney general of any
State, as parens patriae, may bring a civil action to enforce
the provisions of this section in--
``(A) any district court of the United States in
that State; or
``(B) any State court that is located in that State
and has jurisdiction over the defendant.''.
SEC. 209. FAIRNESS AND TRANSPARENCY IN CONTRACTS OF CARRIAGE.
(a) In General.--Subsection (a) of section 429(a) of the FAA
Reauthorization Act of 2018 is amended by adding at the end the
following:
``(7) Family seating policies, including seating policies
for children under the age of 2.
``(8) Interline agreements and protections.
``(9) Such other terms and conditions as the Secretary
considers appropriate.''.
(b) Resubmission.--Not later than 90 days after the date of
enactment of this Act, the Secretary shall require each air carrier
to--
(1) resubmit the summarized 1-page document described in
such section 429 to take into account the amendment made by
subsection (a); and
(2) make available such revised document in a prominent
location on its website pursuant to subsection (b) of such
section 429.
SEC. 210. PRIVATE RIGHT OF ACTION FOR DISCRIMINATION CLAIMS AGAINST AIR
CARRIERS.
Section 41705 of title 49, United States Code, is amended by adding
at the end the following:
``(d) Civil Action.--
``(1) In general.--Any individual who purchases a ticket
for air transportation and is aggrieved by a violation by an
air carrier of this section or a regulation prescribed under
this section may, not later than 2 years after the date of the
violation, bring a civil action in an appropriate district
court of the United States.
``(2) Relief.--In a civil action brought under paragraph
(1) in which the plaintiff prevails--
``(A) the plaintiff may obtain equitable and legal
relief, including compensatory and punitive damages;
and
``(B) the court shall award reasonable attorney's
fees, reasonable expert fees, and the costs of the
action to the plaintiff.
``(3) No requirement for exhaustion of remedies.--An
individual described in paragraph (1) is not required to
exhaust administrative complaint procedures before filing a
civil action under paragraph (1).
``(4) Rule of construction.--Nothing in this subsection
shall be construed to invalidate or limit other Federal or
State laws affording to people with disabilities greater legal
rights or protections than those granted in this section.''.
SEC. 211. NO PREEMPTION OF CONSUMER PROTECTION CLAIMS.
Section 41713(b)(4) of title 49, United States Code, is amended by
adding at the end the following:
``(D) No preemption of consumer protection
claims.--Nothing in subparagraphs (A) through (C) may
be construed--
``(i) to preempt, displace, or supplant any
action for civil damages or injunctive relief
based on a State consumer protection statute;
or
``(ii) to restrict the authority of any
government entity, including an attorney
general of a State, from bringing a legal claim
on behalf of the citizens of the State.''.
SEC. 212. INVALIDATION OF PRE-DISPUTE ARBITRATION AND CLASS-ACTION
WAIVER CLAUSES IN CERTAIN CONTRACTS RELATING TO PASSENGER
AIR TRANSPORTATION.
(a) Arbitration.--Notwithstanding any other provision of law,
arbitration may be used to settle a controversy arising from or
relating to a provision of a contract described in subsection (c) only
if, after the controversy arises, all parties to the controversy
consent in writing to use arbitration to settle the controversy.
(b) Class Actions.--Notwithstanding any other provision of law, an
agreement waiving the right of a person to bring, or otherwise
prohibiting a person from bringing, a claim regarding a dispute
relating to a provision of a contract described in subsection (c) as a
class action that had not arisen before the date on which the agreement
is executed shall not be enforceable and shall have no force or effect.
(c) Contracts Described.--A contract described in this subsection
is a contract--
(1) for the purchase of a ticket for passenger air
transportation;
(2) setting forth the terms of a reward program of an air
carrier; or
(3) setting forth the terms under which an air carrier will
provide a credit product.
(d) Applicability.--Subsections (a) and (b) shall apply with
respect to contracts entered into or renewed on or after the date of
the enactment of this Act.
(e) Definitions.--In this section:
(1) Credit product.--
(A) In general.--The term ``credit product'' means
a plan offered by, or in partnership with, an air
carrier--
(i) under which the creditor reasonably
contemplates repeated transactions;
(ii) that prescribes the terms of such
transactions; and
(iii) that provides for a finance charge
that may be computed from time to time on the
outstanding unpaid balance.
(B) Inclusion.--A credit plan or open-end consumer
credit plan that is a credit product within the meaning
of subparagraph (A) is a credit product even if credit
information is verified from time to time.
(2) Passenger air transportation.--The term ``passenger air
transportation'' means the transportation of passengers and
their property by aircraft.
(3) Reward program.--The term ``reward program'' means any
reward program offered by an air carrier, including a frequent
flyer program, under which a consumer earns mileage or other
credits from the air carrier that can be exchanged for goods,
services, or other benefits.
SEC. 213. CONSUMER COMPLAINT PROCESS IMPROVEMENT.
(a) In General.--Section 42302 of title 49, United States Code, as
amended by section 423 of the FAA Reauthorization Act of 2018, is
amended--
(1) by amending subsection (b) to read as follows:
``(b) Internet Website or Other Online Service Notice.--Each air
carrier and foreign air carrier shall include on a publicly available
internet website, any related mobile device application, and online
service--
``(1) the hotline telephone number established under
subsection (a) or the telephone number for the Aviation
Consumer Protection Division of the Department of
Transportation;
``(2) an active link and the email address, telephone
number, and mailing address of the air carrier or foreign air
carrier, as applicable, for a consumer to submit a complaint to
the carrier about the quality of service;
``(3) notice that the consumer can file a complaint with
the Aviation Consumer Protection Division of the Department of
Transportation;
``(4) an active link to the internet website of the
Aviation Consumer Protection Division of the Department of
Transportation for a consumer to file a complaint; and
``(5) the active link described in paragraph (2) on the
same internet website page as the active link described in
paragraph (4).''; and
(2) by adding at the end the following new subsections:
``(f) Point of Sale.--Each air carrier, foreign air carrier, and
ticket agent shall inform each consumer of a carrier service, at the
point of sale, that the consumer can file a complaint about that
service with the carrier and with the Aviation Consumer Protection
Division of the Department of Transportation.
``(g) Reporting Requirement.--Upon receipt of any complaint, an air
carrier shall send the content of the complaint to the Aviation
Consumer Protection Division of the Department of Transportation.''.
(b) Regulations.--Not later than 180 days after the date of the
enactment of this Act, the Secretary shall prescribe regulations to
implement the requirements of section 42302 of title 49, United States
Code, as amended by subsection (a).
TITLE III--PENALTIES FOR AIR CARRIERS
SEC. 301. INCREASE IN CIVIL PENALTY FOR VIOLATIONS OF PASSENGER
PROTECTION LAWS.
(a) In General.--Section 46301(a) of title 49, United States Code,
is amended by adding at the end the following:
``(8) Violations of Passenger Protection Laws.--The maximum civil
penalty specified under paragraph (1) shall not apply with respect to a
violation of a law relating to the treatment of passengers in air
transportation.''.
(b) Regulations.--Not later than 180 days after the date of the
enactment of this Act, the Secretary shall specify in regulations the
provisions of law to which paragraph (8) of section 46301(a) of title
49, United States Code, as added by subsection (a), applies.
SEC. 302. REPORT ON IMPOSITION OF CIVIL PENALTIES.
Not later than 180 days after the date of the enactment of this
Act, and annually thereafter, the Secretary shall submit to the
appropriate committees of Congress a report--
(1) listing all complaints received from passengers
alleging violations of passenger protection laws;
(2) identifying which of such complaints the Secretary
investigated; and
(3) if the Secretary chose not to pursue the imposition of
civil penalties with respect to such complaints, a description
of the reasoning of the Secretary for doing so.
SEC. 303. STUDY OF DISTRIBUTION OF CIVIL PENALTIES TO CONSUMERS.
(a) In General.--Not later than 180 days after the date of the
enactment of this Act, the Secretary shall submit to the appropriate
committees of Congress a report--
(1) assessing the feasibility and advisability of
distributing a civil penalty imposed on an air carrier for a
violation of a law relating to the treatment of passengers in
air transportation to the passengers affected by the violation;
and
(2) identifying any provisions of law that would need to be
amended to permit such distributions.
(b) Consultations.--The Secretary shall consult with consumer
advocacy organizations and the Advisory Committee for Aviation Consumer
Protection in developing the report required by subsection (a).
SEC. 304. PROHIBITION ON NEGOTIATION OF REDUCTIONS IN CIVIL PENALTIES.
Not later than 180 days after the date of the enactment of this
Act, the Secretary shall prescribe regulations prohibiting an air
carrier from negotiating with the Federal Aviation Administration for a
reduction in a civil penalty imposed for a violation of a law relating
to the treatment of passengers in air transportation.
TITLE IV--COMPETITIVENESS OF AIR CARRIERS
SEC. 401. ANALYSIS OF AIR CARRIER MERGERS.
(a) In General.--The Comptroller General of the United States shall
conduct a post hoc analysis of the effect on the public interest and
the state of competition and choice in the air transportation industry
as a result of consolidation of air carriers that occurred on or after
January 1, 2000, and before the date of the enactment of this Act.
(b) Considerations.--In conducting the analysis required under
subsection (a), the Comptroller General shall consider the extent to
which--
(1) fares are reasonable and proportional to the costs of
the services provided; and
(2) between January 1, 2000, and the date of the enactment
of this Act--
(A) fares have changed;
(B) competition and consumer choice have changed;
(C) fees imposed by air carriers, including
ancillary fees, have changed;
(D) configuration of routes has changed and the
extent to which the availability of choices on those
routes has changed;
(E) operational performance has improved; and
(F) investment in aircraft, amenities, and
workforce has changed.
<all>
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118S179 | COMPOST Act | [
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] | <p><strong>Cultivating Organic Matter through the Promotion Of Sustainable Techniques Act or the COMPOST Act</strong></p> <p>This bill makes composting a conservation practice and activity for purposes of Department of Agriculture (USDA) conservation programs. The bill also requires USDA to establish a competitive program to award grants and loan guarantees for projects that expand access to food waste composting.</p> <p>In awarding grants and loans guarantees, USDA must prioritize projects that include the greatest number of the following factors:</p> <ul> <li>are located in or serving a location with significant access to food waste and no or limited prior access to food waste composting;</li> <li>demonstrate the potential to create new capacity for the volume or weight of food waste collected and processed, or make significant gains in the number of people with access to food waste composting facilities or systems;</li> <li> demonstrate a plan for following best management practices and producing a high-quality compost product;</li> <li>incorporate the participation of small and diverse businesses (e.g., minority-, woman-, and veteran-owned businesses certified by the Small Business Administration);</li> <li>create opportunities for hiring and leadership development practices that are inclusive and provide living wages;</li> <li>serve disadvantaged and low-income communities, engage Black farmers, Indigenous farmers, and other farmers of color, or incorporate an environmental justice plan or principle; and</li> <li>are for a facility or system that accepts or plans to accept and process only source separated organics. </li> </ul> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 179 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 179
To require the designation of composting as a conservation practice and
activity, to provide grants and loan guarantees for composting
facilities and programs, and for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
January 31, 2023
Mr. Booker (for himself and Ms. Smith) introduced the following bill;
which was read twice and referred to the Committee on Agriculture,
Nutrition, and Forestry
_______________________________________________________________________
A BILL
To require the designation of composting as a conservation practice and
activity, to provide grants and loan guarantees for composting
facilities and programs, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Cultivating Organic Matter through
the Promotion Of Sustainable Techniques Act'' or the ``COMPOST Act''.
SEC. 2. COMPOSTING AS CONSERVATION PRACTICE.
(a) Conservation Standards and Requirements.--Section 1241(j) of
the Food Security Act of 1985 (16 U.S.C. 3841(j)) is amended--
(1) by redesignating paragraph (2) as paragraph (3); and
(2) by inserting after paragraph (1) the following:
``(2) Composting as conservation practice and activity.--
``(A) In general.--The Secretary shall by
regulation provide that composting is a conservation
practice and a conservation activity for the purposes
of this title.
``(B) Definition of composting.--
``(i) In general.--In this paragraph, the
term `composting' means--
``(I) an activity (including an
activity that does not require the use
of a composting facility) to produce
compost from organic waste that is--
``(aa) generated on a farm;
or
``(bb) brought to a farm
from a nearby community and
used to produce compost on that
farm; and
``(II) the use and active
management of compost on a farm, in
accordance with any applicable Federal,
State, or local law, to improve water
retention and soil health.
``(ii) Determination of nearby
communities.--The Secretary, in consultation
with the Administrator of the Environmental
Protection Agency, shall issue regulations for
determining whether a community is nearby for
purposes of clause (i)(I)(bb), which shall
ensure that bringing organic waste from the
community to the farm to produce compost
results in a net reduction of greenhouse gas
emissions.''.
(b) Conservation Stewardship Program.--Section 1240I(2)(B)(i) of
the Food Security Act of 1985 (16 U.S.C. 3839aa-21(2)(B)(i)) is amended
by inserting ``and composting practices'' after ``agriculture drainage
management systems''.
(c) Environmental Quality Incentives Program.--Section
1240A(6)(A)(ii) of the Food Security Act of 1985 (16 U.S.C. 3839aa-
1(6)(A)(ii)) is amended by inserting ``, including composting
practices'' before the semicolon at the end.
(d) Delivery of Technical Assistance.--Section 1242(h) of the Food
Security Act of 1985 (16 U.S.C. 3842(h)) is amended by adding at the
end the following:
``(5) Development of composting practice standard.--In
addition to conducting a review under this subsection of any
composting facility practice standard established before the
date of enactment of this paragraph, the Secretary shall
establish a composting practice standard under the process
developed under paragraph (3).''.
SEC. 3. COMPOSTING GRANT AND LOAN GUARANTEE PROGRAM.
The Consolidated Farm and Rural Development Act is amended by
inserting after section 310I (7 U.S.C. 1936c) the following:
``SEC. 310J. GRANTS AND LOAN GUARANTEES FOR COMPOSTING PROGRAMS.
``(a) Definitions.--In this section:
``(1) Centralized commercial composting facility.--The term
`centralized commercial composting facility' means a regional
composting facility that produces at least 10,000 tons of
compost annually.
``(2) Source separated organics.--
``(A) In general.--The term `source separated
organics' means organic waste that is separated from
other waste by the waste generator.
``(B) Inclusion.--The term `source separated
organics' includes materials that are certified to meet
ASTM standard D6400 or D6868.
``(C) Exclusion.--The term `source separated
organics' does not include mixed solid waste.
``(b) Program.--The Secretary, in consultation with the
Administrator of the Environmental Protection Agency, shall establish
and carry out a program to award grants and loan guarantees, on a
competitive basis, for projects that expand access to food waste
composting.
``(c) Grants.--
``(1) Amount.--
``(A) Cost share.--The total amount of grant funds
awarded for a project under this section shall not
exceed 75 percent of the cost of the project for which
the grant is awarded, as determined by the Secretary.
``(B) Maximum.--The total amount of grant funds
awarded for a project under this subsection shall not
exceed $5,000,000.
``(2) Allocation.--Of funds made available to carry out
this subsection in each fiscal year, the Secretary shall
allocate not less than 25 percent to projects that do not
include the use of centralized commercial composting
facilities, to the extent there are sufficient applications for
those projects.
``(3) Timeline.--An entity receiving a grant under this
subsection shall fully expend the awarded grant funds within 3
years of receiving the funds.
``(4) Eligible entities.--The Secretary may award a grant
under this subsection to any of the following entities:
``(A) A State, local, territorial, or Tribal
government.
``(B) A local educational agency (as defined in
section 8101 of the Elementary and Secondary Education
Act of 1965 (20 U.S.C. 7801)).
``(C) An institution of higher education.
``(D) A nonprofit organization.
``(E) A farmer or rancher.
``(F) A consortium of any of the entities described
in subparagraphs (A) through (E).
``(G) 1 or more of any of the entities described in
subparagraphs (A) through (F), in coordination with a
for-profit organization.
``(d) Loan Guarantees.--
``(1) Amount.--
``(A) Cost share.--The Secretary may award a loan
guarantee under this section in an amount that does not
exceed 80 percent of the cost of a project that is
eligible for assistance under this section, as
determined by the Secretary.
``(B) Maximum.--The Secretary may not provide a
loan guarantee under this section in an amount that
exceeds $5,000,000.
``(2) Eligible entities.--The Secretary may award a loan
guarantee under this section to a for-profit organization,
farmer, or rancher that demonstrates successful prior
experience in developing, managing, and marketing composting
facilities.
``(e) Eligible Projects.--The Secretary may award grants and loan
guarantees under this section for projects to carry out the following:
``(1) Composting facility or site permitting, planning, and
construction.
``(2) Acquisition of machinery, equipment, and other
physical necessities required to operate a composting facility,
system, or program, except depackaging equipment.
``(3) Activities to increase the production capacity
throughput of a composting facility.
``(4) Implementation of onsite composting systems and
programs (such as home composting programs, community garden
and urban farm composting, and other onsite composting systems
at institutions, nonprofit organizations, and businesses).
``(5) Projects that are based on a distributed
infrastructure strategy (such as a strategy that incorporates a
mix or choice of home composting, farm and ranch composting,
onsite composting, community-scale composting, or centralized
commercial composting).
``(6) Collection of organic waste intended for processing
at a composting facility or system, or through a composting
program, including curbside pick-up programs, community drop-
off programs, and facility- or event-specific programs (such as
programs at schools, restaurants, stadiums, or festivals).
``(7) Activities for land-based compost application,
including compost application on a farm or ranch.
``(8) Market development projects that create a demand for
compost product or increase commercial and residential
participation in composting.
``(f) Requirements.--An eligible entity applying for a grant or
loan guarantee under this section shall demonstrate that the project
for which that assistance is sought--
``(1) will--
``(A) result in composting of food waste (which may
include such composting in combination with non-food
organic waste);
``(B) result in increased total capacity to accept
and process food waste into finished compost product;
and
``(C) include at least 1 operator of a facility or
system, if applicable, who is trained on best
management practices for composting (such as odor,
vector, pathogen, and contaminant control practices);
``(2) in the case of a market development project, is
likely to create sufficient demand to increase total capacity,
in the targeted market, to accept and process food waste into
high-quality finished compost; or
``(3) in the case of land-based compost application
activities, is consistent with any applicable requirements
under paragraph (2) of section 1241(j) of the Food Security Act
of 1985 (16 U.S.C. 3841(j)).
``(g) Priority Factors.--In awarding grants and loan guarantees
under this section, the Secretary shall prioritize projects that
include the greatest number of the following factors:
``(1) The project is located in or serving a location with
significant access to food waste and no or limited prior access
to food waste composting.
``(2) The project demonstrates the potential to create new
capacity for the volume or weight of food waste collected and
processed, or make significant gains in the number of people
with access to food waste composting facilities or systems.
``(3) The project includes a demonstrated plan for
following best management practices and producing a high-
quality compost product.
``(4) The project incorporates the participation of small
and diverse businesses (such as minority-, woman-, and veteran-
owned businesses certified by the Small Business Administration
or under a State program or another recognized certification
program and other businesses led by Black people, Indigenous
people, or other people of color).
``(5) The project creates opportunities for hiring and
leadership development practices that are inclusive and provide
living wages.
``(6) The project serves disadvantaged and low-income
communities, engages Black farmers, Indigenous farmers, and
other farmers of color, or incorporates an environmental
justice plan or principles.
``(7) The project is for a facility or system that accepts
or plans to accept and process only source separated organics.
``(h) Limitation.--The Secretary may award only 1 grant or loan
guarantee under this section for any project.
``(i) Funding.--There is authorized to be appropriated to carry out
this section $200,000,000 for each of fiscal years 2023 through
2032.''.
<all>
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118S1798 | Offices of Countering Weapons of Mass Destruction and Health Security Act of 2023 | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 1798 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 1798
To establish a Countering Weapons of Mass Destruction Office and an
Office of Health Security in the Department of Homeland Security, and
for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
June 1, 2023
Mr. Peters (for himself and Mr. Cornyn) introduced the following bill;
which was read twice and referred to the Committee on Homeland Security
and Governmental Affairs
_______________________________________________________________________
A BILL
To establish a Countering Weapons of Mass Destruction Office and an
Office of Health Security in the Department of Homeland Security, and
for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE; TABLE OF CONTENTS.
(a) Short Title.--This Act may be cited as the ``Offices of
Countering Weapons of Mass Destruction and Health Security Act of
2023''.
(b) Table of Contents.--The table of contents for this Act is as
follows:
Sec. 1. Short title; table of contents.
TITLE I--COUNTERING WEAPONS OF MASS DESTRUCTION OFFICE
Sec. 101. Countering Weapons of Mass Destruction Office.
Sec. 102. Rule of construction.
TITLE II--OFFICE OF HEALTH SECURITY
Sec. 201. Office of Health Security.
Sec. 202. Confidentiality of medical quality assurance records.
Sec. 203. Technical and conforming amendments.
TITLE I--COUNTERING WEAPONS OF MASS DESTRUCTION OFFICE
SEC. 101. COUNTERING WEAPONS OF MASS DESTRUCTION OFFICE.
(a) Homeland Security Act of 2002.--Title XIX of the Homeland
Security Act of 2002 (6 U.S.C. 590 et seq.) is amended--
(1) in section 1901 (6 U.S.C. 591)--
(A) in subsection (c), by striking paragraphs (1)
and (2) and inserting the following:
``(1) matters and strategies pertaining to--
``(A) weapons of mass destruction; and
``(B) non-medical aspects of chemical, biological,
radiological, nuclear, and other related emerging
threats;
``(2) coordinating the efforts of the Department to
counter--
``(A) weapons of mass destruction; and
``(B) non-medical aspects of chemical, biological,
radiological, nuclear, and other related emerging
threats; and
``(3) enhancing the ability of Federal, State, local, and
Tribal partners to prevent, detect, protect against, and
mitigate the impacts of terrorist attacks in the United States
to counter--
``(A) weapons of mass destruction; and
``(B) non-medical aspects of use of unauthorized
chemical, biological, radiological, and nuclear
materials, devices, or agents and other related
emerging threats.''; and
(B) by striking subsection (e);
(2) by amending section 1921 (6 U.S.C. 591g) to read as
follows:
``SEC. 1921. MISSION OF THE OFFICE.
``The Office shall be responsible for--
``(1) coordinating the efforts of the Department and with
other Federal departments and agencies to counter--
``(A) weapons of mass destruction; and
``(B) chemical, biological, radiological, nuclear,
and other related emerging threats; and
``(2) enhancing the ability of Federal, State, local, and
Tribal partners to prevent, detect, protect against, and
mitigate the impacts of attacks using--
``(A) weapons of mass destruction against the
United States; and
``(B) unauthorized chemical, biological,
radiological, nuclear materials, devices, or agents and
other related emerging threats against the United
States.'';
(3) in section 1922 (6 U.S.C. 591h)--
(A) by striking subsection (b); and
(B) by redesignating subsection (c) as subsection
(b);
(4) in section 1923 (6 U.S.C. 592)--
(A) by redesignating subsections (a) and (b) as
subsections (b) and (d), respectively;
(B) by inserting before subsection (b), as so
redesignated, the following:
``(a) Office Responsibilities.--
``(1) In general.--For the purposes of coordinating the
efforts of the Department to counter weapons of mass
destruction and chemical, biological, radiological, nuclear,
and other related emerging threats, the Office shall--
``(A) provide expertise and guidance to Department
leadership and components on non-medical aspects of
chemical, biological, radiological, nuclear, and other
related emerging threats, subject to the research,
development, testing, and evaluation coordination
requirement described in subparagraph (G);
``(B) in coordination with the Office for Strategy,
Policy, and Plans, lead development of policies and
strategies to counter weapons of mass destruction and
chemical, biological, radiological, nuclear, and other
related emerging threats on behalf of the Department;
``(C) identify, assess, and prioritize capability
gaps relating to the strategic and mission objectives
of the Department for weapons of mass destruction and
chemical, biological, radiological, nuclear, and other
related emerging threats;
``(D) in coordination with the Office of
Intelligence and Analysis, support components of the
Department, and Federal, State, local, and Tribal
partners by providing intelligence and information
analysis and reports on weapons of mass destruction and
chemical, biological, radiological, nuclear, and other
related emerging threats;
``(E) in consultation with the Science and
Technology Directorate, assess risk to the United
States from weapons of mass destruction and chemical,
biological, radiological, nuclear, and other related
emerging threats;
``(F) lead development and prioritization of
Department requirements to counter weapons of mass
destruction and chemical, biological, radiological,
nuclear, and other related emerging threats, subject to
the research, development, testing, and evaluation
coordination requirement described in subparagraph (G),
which requirements shall be--
``(i) developed in coordination with end
users; and
``(ii) reviewed by the Joint Requirements
Council, as directed by the Secretary;
``(G) in coordination with the Science and
Technology Directorate, direct, fund, and coordinate
capability development activities to counter weapons of
mass destruction and chemical, biological,
radiological, nuclear, and other related emerging
threats research, development, test, and evaluation
matters, including research, development, testing, and
evaluation expertise, threat characterization,
technology maturation, prototyping, and technology
transition;
``(H) acquire, procure, and deploy capabilities to
counter weapons of mass destruction and chemical,
biological, radiological, nuclear, and other related
emerging threats, and serve as the lead advisor of the
Department on component acquisition, procurement, and
deployment of counter-weapons of mass destruction
capabilities;
``(I) in coordination with the Office of Health
Security, support components of the Department, and
Federal, State, local, and Tribal partners on chemical,
biological, radiological, nuclear, and other related
emerging threats health matters;
``(J) provide expertise on weapons of mass
destruction and non-medical aspects of chemical,
biological, radiological, nuclear, and other related
emerging threats to Departmental and Federal partners
to support engagements and efforts with international
partners subject to the research, development, testing,
and evaluation coordination requirement under
subparagraph (G); and
``(K) carry out any other duties assigned to the
Office by the Secretary.
``(2) Detection and reporting.--For purposes of the
detection and reporting responsibilities of the Office for
weapons of mass destruction and chemical, biological,
radiological, nuclear, and other related emerging threats, the
Office shall--
``(A) in coordination with end users, including
State, local, and Tribal partners, as appropriate--
``(i) carry out a program to test and
evaluate technology, in consultation with the
Science and Technology Directorate, to detect
and report on weapons of mass destruction and
chemical, biological, radiological, nuclear,
and other related emerging threats, in
coordination with other Federal agencies, as
appropriate, and establish performance metrics
to evaluate the effectiveness of individual
detectors and detection systems in detecting
those weapons of mass destruction or chemical,
biological, radiological, nuclear, or other
related emerging threats--
``(I) under realistic operational
and environmental conditions; and
``(II) against realistic adversary
tactics and countermeasures;
``(B) in coordination with end users, conduct,
support, coordinate, and encourage a transformational
program of research and development to generate and
improve technologies to detect, protect against, and
report on the illicit entry, transport, assembly, or
potential use within the United States of weapons of
mass destruction and chemical, biological,
radiological, nuclear, and other related emerging
threats, and coordinate with the Under Secretary for
Science and Technology on research and development
efforts relevant to the mission of the Office and the
Under Secretary for Science and Technology;
``(C) before carrying out operational testing under
subparagraph (A), develop a testing and evaluation plan
that articulates the requirements for the user and
describes how these capability needs will be tested in
developmental test and evaluation and operational test
and evaluation;
``(D) as appropriate, develop, acquire, and deploy
equipment to detect and report on weapons of mass
destruction and chemical, biological, radiological,
nuclear, and other related emerging threats in support
of Federal, State, local, and Tribal governments;
``(E) support and enhance the effective sharing and
use of appropriate information on weapons of mass
destruction and chemical, biological, radiological,
nuclear, and other related emerging threats generated
by elements of the intelligence community (as defined
in section 3 of the National Security Act of 1947 (50
U.S.C. 3003)), law enforcement agencies, other Federal
agencies, State, local, and Tribal governments, and
foreign governments, as well as provide appropriate
information to those entities;
``(F) consult, as appropriate, with relevant
Departmental components and offices, the Department of
Health and Human Services, and other Federal partners,
on weapons of mass destruction and non-medical aspects
of chemical, biological, radiological, nuclear, and
other related emerging threats and efforts to mitigate,
prepare, and respond to all threats in support of the
State, local, and Tribal communities; and
``(G) perform other duties as assigned by the
Secretary.'';
(C) in subsection (b), as so redesignated--
(i) in the subsection heading, by striking
``Mission'' and inserting ``Radiological and
Nuclear Responsibilities'';
(ii) in paragraph (1)--
(I) by inserting ``deploy,'' after
``acquire,''; and
(II) by striking ``deployment'' and
inserting ``operations'';
(iii) by striking paragraphs (6) through
(10);
(iv) redesignating paragraphs (11) and (12)
as paragraphs (6) and (7), respectively;
(v) in paragraph (6), as so redesignated--
(I) by striking subparagraph (B);
(II) by striking ``activities--''
and all that follows through ``to
ensure'' and inserting ``activities to
ensure''; and
(III) by striking ``attacks; and''
and inserting ``attacks;''
(vi) in paragraph (7)(C)(v), as so
redesignated--
(I) in the matter preceding
subclause (I), by inserting ``except as
otherwise provided,'' before
``require''; and
(II) in subclause (II)--
(aa) in the matter
preceding item (aa), by
striking ``death or
disability'' and inserting
``death, disability, or a
finding of good cause as
determined by the Assistant
Secretary (including extreme
hardship, extreme need, or the
needs of the Office) and for
which the Assistant Secretary
may grant a waiver of the
repayment obligation''; and
(bb) in item (bb), by
adding ``and'' at the end;
(vii) by striking paragraph (13); and
(viii) by redesignating paragraph (14) as
paragraph (8); and
(D) by inserting after subsection (b), as so
redesignated, the following:
``(c) Chemical and Biological Responsibilities.--The Office--
``(1) shall be responsible for coordinating with other
Federal efforts to enhance the ability of Federal, State,
local, and Tribal governments to prevent, detect, mitigate, and
protect against the importation, possession, storage,
transportation, development, or use of unauthorized chemical
and biological materials, devices, or agents against the United
States; and
``(2) shall--
``(A) serve as a primary entity responsible for the
efforts of the Department to develop, acquire, deploy,
and support the operations of a national biological
detection system and improve that system over time;
``(B) enhance the chemical and biological detection
efforts of Federal, State, local, and Tribal
governments and provide guidance, tools, and training
to help ensure a managed, coordinated response; and
``(C) collaborate with the Department of Health and
Human Services, the Office of Health Security of the
Department, the Defense Advanced Research Projects
Agency, and the National Aeronautics and Space
Administration, and other relevant Federal
stakeholders, and receive input from industry,
academia, and the national laboratories on chemical and
biological surveillance efforts.'';
(5) in section 1924 (6 U.S.C. 593), by striking ``section
11011 of the Strom Thurmond National Defense Authorization Act
for Fiscal Year 1999 (5 U.S.C. 3104 note).'' and inserting
``section 4092 of title 10, United States Code, except that the
authority shall be limited to facilitate the recruitment of
experts in the chemical, biological, radiological, or nuclear
specialties.'';
(6) in section 1927(a)(1)(C) (6 U.S.C. 596a(a)(1)(C))--
(A) in clause (i), by striking ``required under
section 1036 of the National Defense Authorization Act
for Fiscal Year 2010'';
(B) in clause (ii), by striking ``and'' at the end;
(C) in clause (iii), by striking the period at the
end and inserting ``; and''; and
(D) by adding at the end the following:
``(iv) includes any other information
regarding national technical nuclear forensics
activities carried out under section 1923.'';
(7) in section 1928 (6 U.S.C. 596b)--
(A) in subsection (a), by striking ``high-risk
urban areas'' and inserting ``jurisdictions designated
under subsection (c)'';
(B) in subsection (c)(1), by striking ``from among
high-risk urban areas under section 2003'' and
inserting ``based on the capability and capacity of the
jurisdiction, as well as the relative threat,
vulnerability, and consequences from terrorist attacks
and other high-consequence events utilizing nuclear or
other radiological materials''; and
(C) by striking subsection (d) and inserting the
following:
``(d) Report.--Not later than 2 years after the date of enactment
of the Offices of Countering Weapons of Mass Destruction and Health
Security Act of 2023, the Secretary shall submit to the appropriate
congressional committees an update on the STC program.''; and
(8) by adding at the end the following:
``SEC. 1929. ACCOUNTABILITY.
``(a) Departmentwide Strategy.--
``(1) In general.--Not later than 180 days after the date
of enactment of Offices of Countering Weapons of Mass
Destruction and Health Security Act of 2023, and every 4 years
thereafter, the Secretary shall create a Departmentwide
strategy and implementation plan to counter weapons of mass
destruction and chemical, biological, radiological, nuclear,
and other related emerging threats, which should--
``(A) have clearly identified authorities,
specified roles, objectives, benchmarks,
accountability, and timelines;
``(B) incorporate the perspectives of non-Federal
and private sector partners; and
``(C) articulate how the Department will contribute
to relevant national-level strategies and work with
other Federal agencies.
``(2) Consideration.--The Secretary shall appropriately
consider weapons of mass destruction and chemical, biological,
radiological, nuclear, and other related emerging threats when
creating the strategy and implementation plan required under
paragraph (1).
``(3) Report.--The Office shall submit to the appropriate
congressional committees a report on the updated Departmentwide
strategy and implementation plan required under paragraph (1).
``(b) Departmentwide Biodefense Review and Strategy.--
``(1) In general.--Not later than 180 days after the date
of enactment of the Offices of Countering Weapons of Mass
Destruction and Health Security Act of 2023, the Secretary, in
consultation with appropriate stakeholders representing
Federal, State, local, Tribal, academic, private sector, and
nongovernmental entities, shall conduct a Departmentwide review
of biodefense activities and strategies.
``(2) Review.--The review required under paragraph (1)
shall--
``(A) identify with specificity the biodefense
lines of effort of the Department, including relating
to biodefense roles, responsibilities, and capabilities
of components and offices of the Department;
``(B) assess how such components and offices
coordinate internally and with public and private
partners in the biodefense enterprise;
``(C) identify any policy, resource, capability, or
other gaps in the Department's ability to assess,
prevent, protect against, and respond to biological
threats; and
``(D) identify any organizational changes or
reforms necessary for the Department to effectively
execute its biodefense mission and role, including with
respect to public and private partners in the
biodefense enterprise.
``(3) Strategy.--Not later than 1 year after completion of
the review required under paragraph (1), the Secretary shall
issue a biodefense strategy for the Department that--
``(A) is informed by such review and is aligned
with section 1086 of the National Defense Authorization
Act for Fiscal Year 2017 (6 U.S.C. 104; relating to the
development of a national biodefense strategy and
associated implementation plan, including a review and
assessment of biodefense policies, practices, programs,
and initiatives) or any successor strategy; and
``(B) shall--
``(i) describe the biodefense mission and
role of the Department, as well as how such
mission and role relates to the biodefense
lines of effort of the Department;
``(ii) clarify, as necessary, biodefense
roles, responsibilities, and capabilities of
the components and offices of the Department
involved in the biodefense lines of effort of
the Department;
``(iii) establish how biodefense lines of
effort of the Department are to be coordinated
within the Department;
``(iv) establish how the Department engages
with public and private partners in the
biodefense enterprise, including other Federal
agencies, national laboratories and sites, and
State, local, and Tribal entities, with
specificity regarding the frequency and nature
of such engagement by Department components and
offices with State, local, and Tribal entities;
and
``(v) include information relating to--
``(I) milestones and performance
metrics that are specific to the
biodefense mission and role of the
Department described in clause (i); and
``(II) implementation of any
operational changes necessary to carry
out clauses (iii) and (iv).
``(4) Periodic update.--Beginning not later than 5 years
after the issuance of the biodefense strategy and
implementation plans required under paragraph (3), and not less
often than once every 5 years thereafter, the Secretary shall
review and update, as necessary, such strategy and plans.
``(5) Congressional oversight.--Not later than 30 days
after the issuance of the biodefense strategy and
implementation plans required under paragraph (3), the
Secretary shall brief the Committee on Homeland Security and
Governmental Affairs of the Senate and the Committee on
Homeland Security of the House of Representatives regarding
such strategy and plans.
``(c) Employee Morale.--Not later than 180 days after the date of
enactment of the Offices of Countering Weapons of Mass Destruction and
Health Security Act of 2023, the Office shall submit to and brief the
appropriate congressional committees on a strategy and plan to
continuously improve morale within the Office.
``(d) Comptroller General.--Not later than 1 year after the date of
enactment of the Offices of Countering Weapons of Mass Destruction and
Health Security Act of 2023, the Comptroller General of the United
States shall conduct a review of and brief the appropriate
congressional committees on--
``(1) the efforts of the Office to prioritize the programs
and activities that carry out the mission of the Office,
including research and development;
``(2) the consistency and effectiveness of stakeholder
coordination across the mission of the Department, including
operational and support components of the Department and State
and local entities; and
``(3) the efforts of the Office to manage and coordinate
the lifecycle of research and development within the Office and
with other components of the Department, including the Science
and Technology Directorate.
``(e) National Academies of Sciences, Engineering, and Medicine.--
``(1) Study.--The Secretary shall enter into an agreement
with the National Academies of Sciences, Engineering, and
Medicine to conduct a consensus study and report to the
Secretary and the appropriate congressional committees on--
``(A) the role of the Department in preparing,
detecting, and responding to biological and health
security threats to the homeland;
``(B) recommendations to improve departmental
biosurveillance efforts against biological threats,
including any relevant biological detection methods and
technologies; and
``(C) the feasibility of different technological
advances for biodetection compared to the cost, risk
reduction, and timeliness of those advances.
``(2) Briefing.--Not later than 1 year after the date on
which the Secretary receives the report required under
paragraph (1), the Secretary shall brief the appropriate
congressional committees on--
``(A) the implementation of the recommendations
included in the report; and
``(B) the status of biological detection at the
Department, and, if applicable, timelines for the
transition to updated technology.
``(f) Advisory Council.--
``(1) Establishment.--Not later than 180 days after the
date of enactment of the Offices of Countering Weapons of Mass
Destruction and Health Security Act of 2023, the Secretary
shall establish an advisory body to advise on the ongoing
coordination of the efforts of the Department to counter
weapons of mass destruction and chemical, biological,
radiological, nuclear, and other related emerging threats, to
be known as the Advisory Council for Countering Weapons of Mass
Destruction (in this subsection referred to as the `Advisory
Council').
``(2) Membership.--The members of the Advisory Council
shall--
``(A) be appointed by the Assistant Secretary; and
``(B) to the extent practicable, represent a
geographic (including urban and rural) and substantive
cross section of officials, from State, local, and
Tribal governments, academia, the private sector,
national laboratories, and nongovernmental
organizations, including, as appropriate--
``(i) members selected from the emergency
management field and emergency response
providers;
``(ii) State, local, and Tribal government
officials;
``(iii) experts in the public and private
sectors with expertise in chemical, biological,
radiological, and nuclear materials, devices,
or agents;
``(iv) representatives from the national
laboratories; and
``(v) such other individuals as the
Assistant Secretary determines to be
appropriate.
``(3) Responsibilities.-- The Advisory Council shall--
``(A) advise the Assistant Secretary on all aspects
of countering weapons of mass destruction and chemical,
biological, radiological, nuclear, and other related
emerging threats;
``(B) incorporate State, local, and Tribal
government, national laboratories, and private sector
input in the development of the strategy and
implementation plan of the Department for countering
weapons of mass destruction and chemical, biological,
radiological, nuclear, and other related emerging
threats; and
``(C) provide advice on performance criteria for a
national biological detection system and review the
testing protocol for biological detection prototypes.
``(4) Consultation.--To ensure input from and coordination
with State, local, and Tribal governments, the Assistant
Secretary shall regularly consult and work with the Advisory
Council on the administration of Federal assistance provided by
the Department, including with respect to the development of
requirements of Office programs, as appropriate.
``(5) Voluntary service.--The members of the Advisory
Council shall serve on the Advisory Council on a voluntary
basis.
``(6) FACA.--The Federal Advisory Committee Act (5 U.S.C.
App.) shall not apply to the Advisory Council.''.
(b) Countering Weapons of Mass Destruction Act of 2018.--Section 2
of the Countering Weapons of Mass Destruction Act of 2018 (Public Law
115-387; 132 Stat. 5162) is amended--
(1) in subsection (b)(2) (6 U.S.C. 591 note), by striking
``1927'' and inserting ``1926''; and
(2) in subsection (g) (6 U.S.C. 591 note)--
(A) in the matter preceding paragraph (1), by
striking ``one year after the date of the enactment of
this Act, and annually thereafter,'' and inserting
``June 30 of each year,''; and
(B) in paragraph (2), by striking ``Security,
including research and development activities'' and
inserting ``Security''.
(c) Security and Accountability for Every Port Act of 2006.--The
Security and Accountability for Every Port Act of 2006 (6 U.S.C. 901 et
seq.) is amended--
(1) in section 1(b) (Public Law 109-347; 120 Stat 1884), by
striking the item relating to section 502; and
(2) by striking section 502 (6 U.S.C. 592a).
SEC. 102. RULE OF CONSTRUCTION.
Nothing in this Act or the amendments made by this Act may be
construed as modifying any existing authority under any provision of
law not expressly amended by this Act.
TITLE II--OFFICE OF HEALTH SECURITY
SEC. 201. OFFICE OF HEALTH SECURITY.
(a) Establishment.--The Homeland Security Act of 2002 (6 U.S.C. 101
et seq.) is amended--
(1) in section 103 (6 U.S.C. 113)--
(A) in subsection (a)(2)--
(i) by striking ``the Assistant Secretary
for Health Affairs,''; and
(ii) by striking ``Affairs, or'' and
inserting ``Affairs or''; and
(B) in subsection (d), by adding at the end the
following:
``(6) A Chief Medical Officer.'';
(2) by adding at the end the following:
``TITLE XXIII--OFFICE OF HEALTH SECURITY'';
(3) by redesignating section 1931 (6 U.S.C. 597) as section
2301 and transferring such section to appear after the heading
for title XXIII, as added by paragraph (2);
(4) in section 2301, as so redesignated--
(A) in the section heading, by striking ``chief
medical officer'' and inserting ``office of health
security'';
(B) by striking subsections (a) and (b) and
inserting the following:
``(a) In General.--There is established in the Department an Office
of Health Security.
``(b) Head of Office of Health Security.--The Office of Health
Security shall be headed by a chief medical officer, who shall--
``(1) be the Assistant Secretary for Health Security and
the Chief Medical Officer of the Department;
``(2) be a licensed physician possessing a demonstrated
ability in and knowledge of medicine and public health;
``(3) be appointed by the President; and
``(4) report directly to the Secretary.'';
(C) in subsection (c)--
(i) in the matter preceding paragraph (1),
by striking ``medical issues related to natural
disasters, acts of terrorism, and other man-
made disasters'' and inserting ``medical
activities of the Department and all workforce-
focused health and safety activities of the
Department'';
(ii) in paragraph (1), by striking ``, the
Administrator of the Federal Emergency
Management Agency, the Assistant Secretary, and
other Department officials'' and inserting
``and all other Department officials'';
(iii) in paragraph (4), by striking ``and''
at the end;
(iv) by redesignating paragraph (5) as
paragraph (13); and
(v) by inserting after paragraph (4) the
following:
``(5) overseeing all medical activities of the Department,
including the delivery, advisement, and support of direct
patient care and the organization, management, and staffing of
component operations that deliver direct patient care;
``(6) advising the head of each component of the Department
that delivers direct patient care regarding the recruitment and
appointment of a component chief medical officer and deputy
chief medical officer or the employee who functions in the
capacity of chief medical officer and deputy chief medical
officer;
``(7) advising the Secretary and the head of each component
of the Department that delivers direct patient care regarding
knowledge and skill standards for medical personnel and the
assessment of that knowledge and skill;
``(8) in coordination with the Chief Privacy Officer of the
Department and the Chief Information Officer of the Department,
advising the Secretary and the head of each component of the
Department that delivers patient care regarding the collection,
storage, and oversight of medical records;
``(9) with respect to any psychological health counseling
or assistance program of the Department, including such a
program of a law enforcement, operational, or support component
of the Department, advising the head of each such component
with such a program regarding--
``(A) ensuring such program includes safeguards
against adverse action, including automatic referrals
for a fitness for duty examination, by such component
with respect to any employee solely because such
employee self-identifies a need for psychological
health counseling or assistance or receives such
counseling or assistance;
``(B) increasing the availability and number of
local psychological health professionals with
experience providing psychological support services to
personnel;
``(C) establishing a behavioral health curriculum
for employees at the beginning of their careers to
provide resources early regarding the importance of
psychological health;
``(D) establishing periodic management training on
crisis intervention and such component's psychological
health counseling or assistance program;
``(E) improving any associated existing employee
peer support programs, including by making additional
training and resources available for peer support
personnel in the workplace across such component;
``(F) developing and implementing a voluntary
alcohol treatment program that includes a safe harbor
for employees who seek treatment;
``(G) prioritizing, as appropriate, expertise in
the provision of psychological health counseling and
assistance for certain populations of the workforce,
such as employees serving in positions within law
enforcement, to help improve outcomes for those
employees receiving that counseling or assistance; and
``(H) including, when appropriate, collaborating
and partnering with key employee stakeholders and, for
those components with employees with an exclusive
representative, the exclusive representative with
respect to such a program;
``(10) in consultation with the Chief Information Officer
of the Department--
``(A) identifying methods and technologies for
managing, updating, and overseeing patient records; and
``(B) setting standards for technology used by the
components of the Department regarding the collection,
storage, and oversight of medical records;
``(11) advising the Secretary and the head of each
component of the Department that delivers direct patient care
regarding contracts for the delivery of direct patient care,
other medical services, and medical supplies;
``(12) coordinating with the Countering Weapons of Mass
Destruction Office and other components of the Department as
directed by the Secretary, Federal agencies including the
Department of Agriculture, the Department of Health and Human
Services, the Department of State, and the Department of
Transportation, State, local, and Tribal governments, and the
medical community; and''; and
(D) by adding at the end the following:
``(d) Assistance and Agreements.--The Secretary, acting through the
Chief Medical Officer, in support of the medical activities of the
Department, may--
``(1) provide technical assistance, training, and
information to State, local, and Tribal governments and
nongovernmental organizations;
``(2) enter into agreements with other Federal agencies;
and
``(3) accept services from personnel of components of the
Department and other Federal agencies on a reimbursable or
nonreimbursable basis.
``(e) Office of Health Security Privacy Officer.--There shall be a
Privacy Officer in the Office of Health Security with primary
responsibility for privacy policy and compliance within the Office, who
shall--
``(1) report directly to the Chief Medical Officer; and
``(2) ensure privacy protections are integrated into all
Office of Health Security activities, subject to the review and
approval of the Chief Privacy Officer of the Department to the
extent consistent with the authority of the Chief Privacy
Officer of the Department under section 222.
``(f) Accountability.--
``(1) Strategy and implementation plan.--Not later than 180
days after the date of enactment of this section, and every 4
years thereafter, the Secretary shall create a Departmentwide
strategy and implementation plan to address medical activities
of, and the workforce health and safety matters under the
purview of, the Department.
``(2) Briefing.--Not later than 90 days after the date of
enactment of this section, the Secretary shall brief the
appropriate congressional committees on the organizational
transformations of the Office of Health Security, including how
best practices were used in the creation of the Office of
Health Security.'';
(5) by redesignating section 710 (6 U.S.C. 350) as section
2302 and transferring such section to appear after section
2301, as so redesignated;
(6) in section 2302, as so redesignated--
(A) in the section heading, by striking ``medical
support'' and inserting ``safety'';
(B) in subsection (a), by striking ``Under
Secretary for Management'' each place that term appears
and inserting ``Chief Medical Officer''; and
(C) in subsection (b)--
(i) in the matter preceding paragraph (1),
by striking ``Under Secretary for Management,
in coordination with the Chief Medical
Officer,'' and inserting ``Chief Medical
Officer''; and
(ii) in paragraph (3), by striking ``as
deemed appropriate by the Under Secretary,'';
(7) by redesignating section 528 (6 U.S.C. 321q) as section
2303 and transferring such section to appear after section
2302, as so redesignated;
(8) in section 2303, as so redesignated--
(A) in subsection (a), by striking ``Assistant
Secretary for the Countering Weapons of Mass
Destruction Office'' and inserting ``Chief Medical
Officer''; and
(B) in subsection (b)--
(i) in paragraph (1), by striking
``Homeland Security Presidential Directive 9-
Defense of the United States Agriculture and
Food'' and inserting ``National Security
Memorandum 16--Strengthening the Security and
Resilience of the United States Food and
Agriculture''; and
(ii) in paragraph (6), by inserting ``the
Department of Agriculture and other'' before
``appropriate'';
(9) by redesignating section 1932 (6 U.S.C. 597a) as
section 2304 and transferring such section to appear after
section 2303, as so redesignated;
(10) in section 2304(f)(2)(B), as so redesignated, by
striking ``Office of the Assistant Secretary for Preparedness
and Response'' and inserting ``Administration for Strategic
Preparedness and Response''; and
(11) by inserting after section 2304, as so redesignated,
the following:
``SEC. 2305. RULES OF CONSTRUCTION.
``Nothing in this title shall be construed to--
``(1) override or otherwise affect the requirements
described in section 888;
``(2) require the advice of the Chief Medical Officer on
the appointment of Coast Guard officers or the officer from the
Public Health Service of the Department of Health and Human
Services assigned to the Coast Guard;
``(3) provide the Chief Medical Officer with authority to
take any action that would diminish the interoperability of the
Coast Guard medical system with the medical systems of the
other branches of the Armed Forces of the United States; or
``(4) affect or diminish the authority of the Secretary of
Health and Human Services or to grant to the Chief Medical
Officer any authority that is vested in, or delegated to, the
Secretary of Health and Human Services.''.
(b) Transition and Transfers.--
(1) Transition.--The individual appointed pursuant to
section 1931 of the Homeland Security Act of 2002 (6 U.S.C.
597) of the Department of Homeland Security, as in effect on
the day before the date of enactment of this Act, and serving
as the Chief Medical Officer of the Department of Homeland
Security on the day before the date of enactment of this Act,
shall continue to serve as the Chief Medical Officer of the
Department on and after the date of enactment of this Act
without the need for reappointment.
(2) Transfer.--The Secretary of Homeland Security shall
transfer to the Chief Medical Officer of the Department of
Homeland Security--
(A) all functions, personnel, budget authority, and
assets of the Under Secretary for Management relating
to workforce health and safety, as in existence on the
day before the date of enactment of this Act;
(B) all functions, personnel, budget authority, and
assets of the Assistant Secretary for the Countering
Weapons of Mass Destruction Office relating to the
Chief Medical Officer, including the Medical Operations
Directorate of the Countering Weapons of Mass
Destruction Office, as in existence on the day before
the date of enactment of this Act; and
(C) all functions, personnel, budget authority, and
assets of the Assistant Secretary for the Countering
Weapons of Mass Destruction Office associated with the
efforts pertaining to the program coordination
activities relating to defending the food, agriculture,
and veterinary defenses of the Office, as in existence
on the day before the date of enactment of this Act.
SEC. 202. CONFIDENTIALITY OF MEDICAL QUALITY ASSURANCE RECORDS.
Title XXIII of the Homeland Security Act of 2002, as added by this
Act, is amended by adding at the end the following:
``SEC. 2306. CONFIDENTIALITY OF MEDICAL QUALITY ASSURANCE RECORDS.
``(a) Definitions.--In this section:
``(1) Health care provider.--The term `health care
provider' means an individual who--
``(A) is--
``(i) an employee of the Department;
``(ii) a detailee to the Department from
another Federal agency;
``(iii) a personal services contractor of
the Department; or
``(iv) hired under a contract for services;
``(B) performs health care services as part of
duties of the individual in that capacity; and
``(C) has a current, valid, and unrestricted
license or certification--
``(i) that is issued by a State, the
District of Columbia, or a commonwealth,
territory, or possession of the United States;
and
``(ii) that is for the practice of
medicine, osteopathic medicine, dentistry,
nursing, emergency medical services, or another
health profession.
``(2) Medical quality assurance program.--The term `medical
quality assurance program' means any activity carried out on or
after the date of enactment of this section by the Department
to assess the quality of medical care, including activities
conducted by individuals, committees, or other review bodies
responsible for quality assurance, credentials, infection
control, incident reporting, the delivery, advisement, and
support of direct patient care and assessment (including
treatment procedures, blood, drugs, and therapeutics), medical
records, health resources management review, and identification
and prevention of medical, mental health, or dental incidents
and risks.
``(3) Medical quality assurance record of the department.--
The term `medical quality assurance record of the Department'
means the proceedings, records (including patient records that
the Department creates and maintains as part of a system of
records), minutes, and reports that--
``(A) emanate from quality assurance program
activities described in paragraph (2); and
``(B) are produced or compiled by the Department as
part of a medical quality assurance program.
``(b) Confidentiality of Records.--A medical quality assurance
record of the Department that is created as part of a medical quality
assurance program--
``(1) is confidential and privileged; and
``(2) except as provided in subsection (d), may not be
disclosed to any person or entity.
``(c) Prohibition on Disclosure and Testimony.--Except as otherwise
provided in this section--
``(1) no part of any medical quality assurance record of
the Department may be subject to discovery or admitted into
evidence in any judicial or administrative proceeding; and
``(2) an individual who reviews or creates a medical
quality assurance record of the Department or who participates
in any proceeding that reviews or creates a medical quality
assurance record of the Department may not be permitted or
required to testify in any judicial or administrative
proceeding with respect to such record or with respect to any
finding, recommendation, evaluation, opinion, or action taken
by such individual in connection with such record.
``(d) Authorized Disclosure and Testimony.--
``(1) In general.--Subject to paragraph (2), a medical
quality assurance record of the Department may be disclosed,
and a person described in subsection (c)(2) may give testimony
in connection with the record, only as follows:
``(A) To a Federal agency or private organization,
if such medical quality assurance record of the
Department or testimony is needed by the Federal agency
or private organization to--
``(i) perform licensing or accreditation
functions related to Department health care
facilities, a facility affiliated with the
Department, or any other location authorized by
the Secretary for the performance of health
care services; or
``(ii) perform monitoring, required by law,
of Department health care facilities, a
facility affiliated with the Department, or any
other location authorized by the Secretary for
the performance of health care services.
``(B) To an administrative or judicial proceeding
concerning an adverse action related to the
credentialing of or health care provided by a present
or former health care provider by the Department.
``(C) To a governmental board or agency or to a
professional health care society or organization, if
such medical quality assurance record of the Department
or testimony is needed by the board, agency, society,
or organization to perform licensing, credentialing, or
the monitoring of professional standards with respect
to any health care provider who is or was a health care
provider for the Department.
``(D) To a hospital, medical center, or other
institution that provides health care services, if such
medical quality assurance record of the Department or
testimony is needed by such institution to assess the
professional qualifications of any health care provider
who is or was a health care provider for the Department
and who has applied for or been granted authority or
employment to provide health care services in or on
behalf of the institution.
``(E) To an employee, a detailee, or a contractor
of the Department who has a need for such medical
quality assurance record of the Department or testimony
to perform official duties or duties within the scope
of their contract.
``(F) To a criminal or civil law enforcement agency
or instrumentality charged under applicable law with
the protection of the public health or safety, if a
qualified representative of the agency or
instrumentality makes a written request that such
medical quality assurance record of the Department or
testimony be provided for a purpose authorized by law.
``(G) In an administrative or judicial proceeding
commenced by a criminal or civil law enforcement agency
or instrumentality described in subparagraph (F), but
only with respect to the subject of the proceeding.
``(2) Personally identifiable information.--
``(A) In general.--With the exception of the
subject of a quality assurance action, personally
identifiable information of any person receiving health
care services from the Department or of any other
person associated with the Department for purposes of a
medical quality assurance program that is disclosed in
a medical quality assurance record of the Department
shall be deleted from that record before any disclosure
of the record is made outside the Department.
``(B) Application.--The requirement under
subparagraph (A) shall not apply to the release of
information that is permissible under section 552a of
title 5, United States Code (commonly known as the
`Privacy Act of 1974').
``(e) Disclosure for Certain Purposes.--Nothing in this section
shall be construed--
``(1) to authorize or require the withholding from any
person or entity de-identified aggregate statistical
information regarding the results of medical quality assurance
programs, under de-identification standards developed by the
Secretary in consultation with the Secretary of Health and
Human Services, as appropriate, that is released in a manner in
accordance with all other applicable legal requirements; or
``(2) to authorize the withholding of any medical quality
assurance record of the Department from a committee of either
House of Congress, any joint committee of Congress, or the
Comptroller General of the United States if the record pertains
to any matter within their respective jurisdictions.
``(f) Prohibition on Disclosure of Information, Record, or
Testimony.--A person or entity having possession of or access to a
medical quality assurance record of the Department or testimony
described in this section may not disclose the contents of the record
or testimony in any manner or for any purpose except as provided in
this section.
``(g) Exemption From Freedom of Information Act.--A medical quality
assurance record of the Department shall be exempt from disclosure
under section 552(b)(3) of title 5, United States Code.
``(h) Limitation on Civil Liability.--A person who participates in
the review or creation of, or provides information to a person or body
that reviews or creates, a medical quality assurance record of the
Department shall not be civilly liable under this section for that
participation or for providing that information if the participation or
provision of information was--
``(1) provided in good faith based on prevailing
professional standards at the time the medical quality
assurance program activity took place; and
``(2) made in accordance with any other applicable legal
requirement, including Federal privacy laws and regulations.
``(i) Application to Information in Certain Other Records.--Nothing
in this section shall be construed as limiting access to the
information in a record created and maintained outside a medical
quality assurance program, including the medical record of a patient,
on the grounds that the information was presented during meetings of a
review body that are part of a medical quality assurance program.
``(j) Penalty.--Any person who willfully discloses a medical
quality assurance record of the Department other than as provided in
this section, knowing that the record is a medical quality assurance
record of the Department shall be fined not more than $3,000 in the
case of a first offense and not more than $20,000 in the case of a
subsequent offense.
``(k) Relationship to Coast Guard.--The requirements of this
section shall not apply to any medical quality assurance record of the
Department that is created by or for the Coast Guard as part of a
medical quality assurance program.
``(l) Continued Protection.--Disclosure under subsection (d) does
not permit redisclosure except to the extent the further disclosure is
authorized under subsection (d) or is otherwise authorized to be
disclosed under this section.
``(m) Relationship to Other Law.--This section shall continue in
force and effect, except as otherwise specifically provided in any
Federal law enacted after the date of enactment of this Act.
``(n) Rule of Construction.--Nothing in this section shall be
construed to supersede the requirements of--
``(1) the Health Insurance Portability and Accountability
Act of 1996 (Public Law 104-191; 110 Stat. 1936) and its
implementing regulations;
``(2) the Health Information Technology for Economic and
Clinical Health Act(42 U.S.C. 17931 et seq.) and its
implementing regulations; or
``(3) sections 921 through 926 of the Public Health Service
Act (42 U.S.C. 299b-21 through 299b-26) and their implementing
regulations.''.
SEC. 203. TECHNICAL AND CONFORMING AMENDMENTS.
The Homeland Security Act of 2002 (6 U.S.C. 101 et seq.) is
amended--
(1) in the table of contents in section 1(b) (Public Law
107-296; 116 Stat. 2135)--
(A) by striking the items relating to sections 528
and 529 and inserting the following:
``Sec. 528. Transfer of equipment during a public health emergency.'';
(B) by striking the items relating to sections 710,
711, 712, and 713 and inserting the following:
``Sec. 710. Employee engagement.
``Sec. 711. Annual employee award program.
``Sec. 712. Acquisition professional career program.'';
(C) by inserting after the item relating to section
1928 the following:
``Sec. 1929. Accountability.'';
(D) by striking the items relating to subtitle C of
title XIX and sections 1931 and 1932; and
(E) by adding at the end the following:
``TITLE XXIII--OFFICE OF HEALTH SECURITY
``Sec. 2301. Office of Health Security.
``Sec. 2302. Workforce health and safety.
``Sec. 2303. Coordination of Department of Homeland Security efforts
related to food, agriculture, and
veterinary defense against terrorism.
``Sec. 2304. Medical countermeasures.
``Sec. 2305. Rules of construction.
``Sec. 2306. Confidentiality of medical quality assurance records.'';
(2) by redesignating section 529 (6 U.S.C. 321r) as section
528;
(3) in section 704(e)(4) (6 U.S.C. 344(e)(4)), by striking
``section 711(a)'' and inserting ``section 710(a))'';
(4) by redesignating sections 711, 712, and 713 as sections
710, 711, and 712, respectively;
(5) in section 1923(d)(3) (6 U.S.C. 592(d)(3))--
(A) in the paragraph heading, by striking
``Hawaiian native-serving'' and inserting ``Native
hawaiian-serving''; and
(B) by striking ``Hawaiian native-serving'' and
inserting ```Native Hawaiian-serving''; and
(6) by striking the subtitle heading for subtitle C of
title XIX.
<all>
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] | <p><b>Protecting Individuals with Down Syndrome Act</b></p> <p> This bill creates new federal crimes related to the performance of an abortion on an unborn child who has Down syndrome.</p> <p>It subjects a violator to criminal penalties—a fine, a prison term of up to five years, or both.</p> <p>It also authorizes civil remedies, including damages and injunctive relief.</p> <p>A woman who undergoes such an abortion may not be prosecuted or held civilly liable.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 18 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 18
To amend title 18, United States Code, to prohibit discrimination by
abortion against an unborn child on the basis of Down syndrome.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
January 23 (legislative day, January 3), 2023
Mr. Daines (for himself, Mrs. Hyde-Smith, Mr. Cramer, Mr. Rubio, Mr.
Hoeven, Mr. Wicker, Mr. Scott of Florida, Mr. Lankford, Mr. Risch, Mr.
Braun, Mr. Barrasso, Mr. Cruz, Ms. Lummis, Mr. Hagerty, Mr. Mullin, Mr.
Vance, Mr. Marshall, Mr. Cotton, Mrs. Blackburn, Mr. Thune, Mrs. Britt,
Mr. Boozman, and Mr. Hawley) introduced the following bill; which was
read twice and referred to the Committee on the Judiciary
_______________________________________________________________________
A BILL
To amend title 18, United States Code, to prohibit discrimination by
abortion against an unborn child on the basis of Down syndrome.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Protecting Individuals with Down
Syndrome Act''.
SEC. 2. FINDINGS.
Congress finds the following:
(1) On June 24, 2022, the United States Supreme Court
issued a decision in Dobbs v. Jackson Women's Health
Organization (No. 19-1392, 2022 WL 2276808 (2022)), which
overturned its prior, egregiously wrong holding in Roe v. Wade
(410 U.S. 113 (1973)).
(2) Dobbs correctly affirmed that there is no
constitutional right to abort an unborn child and that the
Court's prior decision in Roe was not based in the
Constitution's text nor was it deeply rooted in the history and
tradition of the United States.
(3) Federal law protects individuals with disabilities
against discrimination, including in the provision of medical
care.
(4) As Congress has previously affirmed, ``[d]isability is
a natural part of the human experience and in no way diminishes
the right of individuals to live independently, enjoy self-
determination, make choices, contribute to society, pursue
meaningful careers, and enjoy full inclusion and integration in
the economic, political, social, and educational mainstream of
American society.''.
(5) It is the policy of the United States to respect the
lives and the dignity of individuals with disabilities,
including individuals with Down syndrome.
(6) Federal, State, and local government all have a role to
play in preventing discrimination based on disability,
including discrimination against individuals with Down
syndrome.
(7) Consistent with the overarching Federal policy of
nondiscrimination, and in light of the shameful history of
targeting unborn children for abortion based on race, gender,
or disabilities, Congress must combat invidious discrimination
by prohibiting doctors from aborting unborn children because
the unborn child has been diagnosed with Down syndrome.
(8) Tragically, in some countries that have failed to
protect unborn children diagnosed with Down syndrome, virtually
every unborn child diagnosed with Down syndrome is aborted.
(9) Individuals with Down syndrome are inherently valuable
and worthy of dignity and respect. They enrich and strengthen
our society in countless ways, including but not limited to
building meaningful relationships, participating in and
creating families, learning, and working alongside other
Americans.
SEC. 3. DISCRIMINATION BY ABORTION AGAINST AN UNBORN CHILD ON THE BASIS
OF DOWN SYNDROME PROHIBITED.
(a) In General.--Chapter 13 of title 18, United States Code, is
amended by adding at the end the following:
``Sec. 250. Discrimination by abortion against an unborn child on the
basis of Down syndrome prohibited
``(a) Definitions.--In this section:
``(1) Abortion.--The term `abortion' means the act of using
or prescribing any instrument, medicine, drug, or any other
substance, device, or means with the intent to--
``(A) kill the unborn child of a woman known to be
pregnant; or
``(B) terminate the pregnancy of a woman known to
be pregnant, with an intention other than--
``(i) to produce a live birth and preserve
the life and health of the child born alive;
``(ii) to save the life of the pregnant
woman; or
``(iii) to remove a dead unborn child.
``(2) Down syndrome.--The term `Down syndrome' means a
chromosomal disorder associated with--
``(A) an extra copy of the chromosome 21, in whole
or in part; or
``(B) an effective trisomy for chromosome 21.
``(3) Qualified plaintiff.--The term `qualified plaintiff'
means--
``(A) a woman upon whom an abortion is performed or
attempted in violation of this section;
``(B) a maternal grandparent of the unborn child if
the woman upon whom an abortion is performed or
attempted in violation of this section is an
unemancipated minor;
``(C) the father of an unborn child who is the
subject of an abortion performed or attempted in
violation of this section unless the pregnancy or
abortion resulted from the criminal conduct of the
father; or
``(D) the Attorney General.
``(4) Unborn child.--The term `unborn child' means an
individual of the species homo sapiens from the beginning of
the biological development of that individual, including
fertilization, until the point of being born alive, as defined
in section 8(b) of title 1.
``(b) Offense.--It shall be unlawful to--
``(1) perform an abortion--
``(A) with the knowledge that a pregnant woman is
seeking an abortion, in whole or in part, on the basis
of--
``(i) a test result indicating that the
unborn child has Down syndrome;
``(ii) a prenatal diagnosis that the unborn
child has Down syndrome; or
``(iii) any other reason to believe that
the unborn child has or may have Down syndrome;
or
``(B) without first--
``(i) asking the pregnant woman if she is
aware of any test results, prenatal diagnosis,
or any other evidence that the unborn child has
or may have Down syndrome; and
``(ii) if the woman is aware that the
unborn child has or may have Down syndrome,
informing the pregnant woman of the
prohibitions on abortion under this section;
``(2) use force or the threat of force to intentionally
injure or intimidate any person for the purpose of coercing an
abortion described in paragraph (1)(A);
``(3) solicit or accept funds for the performance of an
abortion described in paragraph (1)(A); or
``(4) knowingly transport a woman into the United States or
across a State line for the purpose of obtaining an abortion
described in paragraph (1)(A).
``(c) Criminal Penalty.--Any person that violates, or attempts to
violate, subsection (b) shall be fined under this title, imprisoned not
more than 5 years, or both.
``(d) Civil Remedies.--
``(1) Civil action by woman on whom abortion is
performed.--A woman upon whom an abortion has been performed or
attempted in violation of subsection (b)(2) may bring a civil
action in an appropriate court against any person who engaged
in a violation of subsection (b)(2) to obtain appropriate
relief.
``(2) Civil action by relatives.--
``(A) In general.--Except as provided in
subparagraph (B), the father of an unborn child who is
the subject of an abortion performed or attempted in
violation of subsection (b), or a maternal grandparent
of the unborn child if the pregnant woman is an
unemancipated minor, may bring a civil action in an
appropriate court against any person who engaged in the
violation to obtain appropriate relief.
``(B) Exceptions.--Subparagraph (A) shall not apply
if--
``(i) the pregnancy or abortion resulted
from the criminal conduct of the plaintiff
described in subparagraph (A); or
``(ii) the plaintiff described in
subparagraph (A) consented to the abortion.
``(3) Appropriate relief.--Appropriate relief in a civil
action under this subsection includes--
``(A) objectively verifiable money damages for all
injuries, psychological and physical, including loss of
companionship and support, occasioned by the violation
of this section; and
``(B) punitive damages.
``(4) Injunctive relief.--A qualified plaintiff may bring a
civil action in an appropriate court to obtain injunctive
relief to prevent an abortion provider from performing or
attempting further abortions in violation of this section.
``(5) Attorney's fees for plaintiff.--The court shall award
a reasonable attorney's fee as part of the costs to a
prevailing plaintiff in a civil action under this subsection.
``(e) Bar to Prosecution.--A woman upon whom an abortion is
performed may not be prosecuted or held civilly liable for any
violation of this section or for a conspiracy to violate this section.
``(f) Loss of Federal Funding.--A violation of subsection (b) shall
be deemed discrimination for the purposes of section 504 of the
Rehabilitation Act of 1973 (29 U.S.C. 794).
``(g) Reporting Requirement.--
``(1) In general.--A physician, physician's assistant,
nurse, counselor, or other medical or mental health
professional shall report known or suspected violations of any
of this section to appropriate law enforcement authorities.
``(2) Criminal penalty.--Any person who violates paragraph
(1) shall be fined under this title, imprisoned not more than 1
year, or both.
``(h) Expedited Consideration.--It shall be the duty of the
district courts of the United States, the courts of appeals of the
United States, and the Supreme Court of the United States to advance on
the docket and to expedite to the greatest possible extent the
disposition of any matter brought under this section.
``(i) Protection of Privacy in Court Proceedings.--
``(1) In general.--Except to the extent the Constitution of
the United States or other similarly compelling reason
requires, in every civil or criminal action under this section,
the court shall make such orders as are necessary to protect
the anonymity of any woman upon whom an abortion has been
performed or attempted if she does not give her written consent
to such disclosure. Such orders may be made upon motion, but
shall be made sua sponte if not otherwise sought by a party.
``(2) Orders to parties, witnesses, and counsel.--The court
shall issue appropriate orders to the parties, witnesses, and
counsel and shall direct the sealing of the record and
exclusion of individuals from courtrooms or hearing rooms to
the extent necessary to safeguard the identity of a woman
described in paragraph (1) from public disclosure.
``(3) Pseudonym required.--In the absence of written
consent of the woman upon whom an abortion has been performed
or attempted, any party, other than a public official, who
brings an action under this section shall do so under a
pseudonym.
``(4) Limitation.--This subsection may not be construed to
conceal the identity of the plaintiff or of witnesses from the
defendant or from attorneys for the defendant.
``(j) Rule of Construction.--
``(1) Greater protection.--Nothing in this section may be
construed to pre-empt or limit any Federal, State or local law
that provides greater protections for an unborn child than
those provided in this section.
``(2) Creating or recognizing right.--Nothing in this
section shall be construed as creating or recognizing a right
to abortion nor shall it make lawful an abortion that is
otherwise unlawful under Federal, State, or local law.''.
(b) Clerical Amendment.--The table of sections of chapter 13 of
title 18, United States Code, is amended by adding at the end the
following:
``250. Discrimination by abortion against an unborn child on the basis
of Down syndrome prohibited.''.
SEC. 4. SEVERABILITY.
If any portion of this Act, or the amendments made by this Act, or
the application thereof to any person or circumstance is held invalid,
such invalidity shall not affect the portions or applications of this
Act which can be given effect without the invalid portion or
application.
<all>
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118S180 | Block Grant Assistance Act of 2023 | [
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] | <p><b>Block Grant Assistance Act of 2023 </b></p> <p>This bill authorizes the Department of Agriculture to provide as block grants to states and territories certain funding available to assist agricultural producers with losses due to droughts, wildfires, hurricanes, floods, derechos, excessive heat, tornadoes, winter storms, freeze, smoke exposure, and excessive moisture occurring in calendar year 2022.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 180 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 180
To amend the Disaster Relief Supplemental Appropriations Act, 2023, to
improve disaster relief funding for agricultural producers, and for
other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
January 31, 2023
Mr. Scott of Florida (for himself and Mr. Rubio) introduced the
following bill; which was read twice and referred to the Committee on
Agriculture, Nutrition, and Forestry
_______________________________________________________________________
A BILL
To amend the Disaster Relief Supplemental Appropriations Act, 2023, to
improve disaster relief funding for agricultural producers, and for
other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Block Grant Assistance Act of
2023''.
SEC. 2. DISASTER RELIEF SUPPLEMENTAL APPROPRIATIONS ACT, 2023,
AMENDMENT.
Title I of the Disaster Relief Supplemental Appropriations Act,
2023 (division N of Public Law 117-328), is amended, in the matter
under the heading ``Office of the Secretary'' under the heading
``Processing, Research and Marketing'' under the heading ``AGRICULTURAL
PROGRAMS'' under the heading ``DEPARTMENT OF AGRICULTURE'', by
inserting ``: Provided further, That the Secretary of Agriculture may
provide assistance for losses described under this heading in this Act
in the form of block grants to eligible States and territories'' before
the period at the end.
<all>
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118S1800 | A bill to amend the Public Health Service Act to reauthorize and extend the Fetal Alcohol Spectrum Disorders Prevention and Services program, and for other purposes. | [
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118S181 | No Vaccine Passports Act | [
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] | <p><strong>No Vaccine Passports Act</strong></p> <p>This bill restricts collection and disclosure of an individual's vaccination status, including for COVID-19 vaccinations. It also makes it unlawful to discriminate based on COVID-19 vaccination status and to mandate vaccination in certain circumstances.</p> <p>Specifically, the bill prohibits the use of federal funds to establish or collaborate with federal, state, private, or international systems that track or monitor an individual's COVID-19 vaccination status. Additionally, federal agencies must destroy existing records that contain information about an individual's COVID-19 vaccination status within 30 days. Furthermore, agencies may not issue vaccine passports or similar standardized documentation of COVID-19 vaccination status.</p> <p>The bill also prohibits discrimination based on COVID-19 vaccination status or willingness to provide documentation of vaccination status in employment, public accommodations, and certain public programs and services. Remedies and enforcement mechanisms available under federal civil rights laws apply to violations under this bill.</p> <p>In addition, federal privacy standards for health information must prohibit the disclosure of non-anonymized information about the status of any vaccination without a patient's express consent. Moreover, the bill makes anyone who requests an individual's vaccination status subject to these standards.</p> <p>The bill temporarily bans (1) mandates for vaccines authorized for use under emergency procedures, and (2) administration of those vaccines to minors or individuals who lack capacity to consent to vaccinations without the consent of their parent or guardian. It also prohibits public disclosure of an individual's COVID-19 vaccination status without express, written consent. Violations of these prohibitions are subject to criminal and civil penalties.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[S. 181 Introduced in Senate (IS)]
<DOC>
118th CONGRESS
1st Session
S. 181
To protect individual liberty, ensure privacy, and prohibit
discrimination with respect to the vaccination status of individuals,
and for other purposes.
_______________________________________________________________________
IN THE SENATE OF THE UNITED STATES
January 31, 2023
Mr. Cruz introduced the following bill; which was read twice and
referred to the Committee on Health, Education, Labor, and Pensions
_______________________________________________________________________
A BILL
To protect individual liberty, ensure privacy, and prohibit
discrimination with respect to the vaccination status of individuals,
and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE; TABLE OF CONTENTS.
(a) Short Title.--This Act may be cited as the ``No Vaccine
Passports Act''.
(b) Table of Contents.--The table of contents for this Act is as
follows:
Sec. 1. Short title; table of contents.
Sec. 2. Findings.
Sec. 3. Severability.
TITLE I--GENERAL PROVISIONS
Subtitle A--Health Information Privacy Protections
Sec. 101. Prohibition on establishment of Federal vaccine passports and
tracking of individuals.
Sec. 102. Vaccine status protections under HIPAA privacy regulations.
Subtitle B--Consent to Vaccination
Sec. 111. Vaccinations.
TITLE II--PROHIBITION OF DISCRIMINATION BASED ON VACCINATION STATUS
Subtitle A--Nondiscrimination in Employment
Sec. 201. Definitions.
Sec. 202. Discrimination prohibited.
Sec. 203. Defenses.
Sec. 204. Remedies and enforcement.
Subtitle B--Nondiscrimination in Public Accommodation
Sec. 211. Definitions.
Sec. 212. Prohibition of discrimination by places of public
accommodation.
Sec. 213. Prohibition of discrimination in specified public
transportation services provided by private
entities.
Sec. 214. Exemptions for private clubs and religious organizations.
Sec. 215. Enforcement.
Sec. 216. Effective date.
Subtitle C--Nondiscrimination by a Public Entity and Access to Federal
Services
Sec. 221. Nondiscrimination by a public entity.
Sec. 222. Access to Federal services.
SEC. 2. FINDINGS.
Congress finds as follows:
(1) In December 2019, reports began circulating that
hospitals in Wuhan, China, were seeing cases of a pneumonia-
like respiratory illness of unknown origins.
(2) On December 31, 2019, an automated translation of a
Chinese media report about a novel respiratory outbreak was
posted to ProMED, one of the largest public emerging disease
and outbreak reporting systems used to promote communication
among infectious disease specialists, including scientists,
physicians, veterinarians, epidemiologists, and public health
professionals.
(3) The ProMED posting prompted the World Health
Organization (referred to in this section as ``WHO'') to
instruct its China Country Office to request verification of
the outbreak from the communist government of the People's
Republic of China.
(4) In response to the WHO-prompted inquiry, the Wuhan
Municipal Health Commission issued its first public statement
on the outbreak, saying it had identified 27 cases.
(5) On January 3, 2020, in what is clear conduct by the
Chinese government to cover up the origins and dangers posed by
the outbreak, Dr. Li Wenliang, a physician at Wuhan Central
Hospital, was reprimanded by local police in the Public
Security Bureau for spreading allegedly ``false statements''
about the outbreak online.
(6) On January 3, 2020, the Chinese Center for Disease
Control and Prevention (referred to in this section as ``China
CDC'') Director-General Gao Fu told the United States Centers
for Disease Control and Prevention (referred to in this section
as ``United States CDC'') Director Robert Redfield about a
pneumonia outbreak in Wuhan, Hubei Province, China.
(7) On January 6, 2020, the Secretary of Health and Human
Services, Alex M. Azar II, and the United States CDC Director
Redfield offered to send United States CDC experts to China and
the United States CDC issued a ``Watch Level 1 Alert'' for
Wuhan, meaning that the United States CDC recognized a
heightened risk for travelers, cautioning travelers to use
health precautions when traveling to areas in China.
(8) On January 11, 2020, a team led by Professor Yong-Zhen
Zhang of Fudan University in Shanghai posted the genetic
sequence of the novel virus on an open-access platform, sharing
it with the world.
(9) On January 14, 2020, the WHO tweeted, ``Preliminary
investigations conducted by the Chinese authorities have found
no clear evidence of human-to-human transmission of the novel
coronavirus (2019-nCoV) identified in Wuhan, China''. The WHO's
assertion has been proven false and completely contrary to
medical science given that there have been nearly 163,000,000
cases of infection worldwide, resulting in more than 3,380,000
deaths.
(10) On January 20, 2020, China confirmed person-to-person
transmission of the novel coronavirus and infections among
medical workers.
(11) On January 21, 2020, the United States CDC announced
the first COVID-19 case in the United States.
(12) On January 30, 2020, WHO Director-General Tedros
declared the epidemic a Public Health Emergency of
International Concern, and President Donald J. Trump announced
the formation of the President's Coronavirus Task Force. In a
statement from the WHO regarding the second meeting of its
International Health Regulations (2005) Emergency Committee
regarding the outbreak of novel coronavirus (2019-nCoV), the
Committee specifically did ``not recommend any travel or trade
restriction based on the current information available''.
(13) On January 31 2020, President Trump suspended entry
into the United States of most foreigners who were physically
present in mainland China during the preceding 14-day period,
effective February 2, 2020, and Secretary Azar declared a
public health emergency for the United States to aid response
to the novel coronavirus.
(14) On February 1, 2020, then-Presidential candidate Joe
Biden recklessly downplayed the risk of the virus, suggesting
in a tweet that President Trump's efforts to limit the spread
of the virus were nothing more than ``hysteria, xenophobia, and
fear-mongering''.
(15) Numerous individuals criticized these travel
restrictions. When asked ``if you had to, would you close down
the borders?'' to stop the spread of coronavirus, Senator
Bernie Sanders said, ``no''. When asked about these travel
restrictions, Representative Nancy Pelosi stated, ``actually
tens of thousands of people were allowed in from China, it
wasn't as it was described as this great moment''. WHO
Director-General Tedros Adhanom Ghebreyesus was reported to say
that widespread travel bans and restrictions were not needed to
stop the outbreak and could ``have the effect of increasing
fear and stigma, with little public health benefit''.
Reportedly, Representative Ami Bera stated that the travel ban
``probably doesn't make sense'' since the outbreak had already
spread to several other countries, that such measures were
causing an antagonistic relationship with the Chinese, and such
mandatory quarantines ``may be overkill''.
(16) Health experts have since noted that the early United
States restrictions imposed on travelers from China saved
American lives. Former United States CDC director Dr. Tom
Frieden noted that ``the travel ban with China made a
difference. . . It resulted in a significant delay in the
number of people coming in with infection and because of that,
that bought time in the U.S. to better prepare.''.
(17) On February 26, 2020, the United States CDC confirmed
a case of COVID-19 in California in a person who reportedly did
not have relevant travel history or exposure to another known
patient with COVID-19.
(18) On February 29, 2020, the United States CDC reported
the first COVID-19 death in United States, though later public
reports indicated that the first death from COVID-19 may have
been weeks earlier.
(19) In a 60 Minutes interview posted on March 8, 2020, Dr.
Anthony Fauci stated that ``right now in the United States,
people should not be walking around with masks . . . there's no
reason to be walking around with a mask. When you're in the
middle of an outbreak wearing a mask might make people feel a
little bit better, and it might even block a droplet, but it's
not providing the perfect protection that people think that it
is. And often, there are unintended consequences, people keep
fiddling with the masks, and they keep touching their face. . .
But, when you think masks, you should think of healthcare
providers needing them and people who are ill. The people who,
when you look at the films of foreign countries and you see 85
percent of the people wearing masks, that's fine. That's fine.
I'm not against it. If you want to do it, that's fine . . . It
could lead to a shortage of masks for the people who really
need it.''.
(20) On May 15, 2020, the Trump administration announced
the establishment of Operation Warp Speed, a public-private
partnership to expedite the timeline for development, large-
scale manufacturing, and delivery of a safe and effective
COVID-19 vaccine to the American public. The initial goal of
the project was to develop at least 1 vaccine and begin
administering it to Americans before the end of 2020. As
reported on BioCentury, Dr. Anthony Fauci noted that the
fastest a vaccine might be ready for use in an emergency would
be 1 year, although the process could take up to 2 years.
Before the Senate on March 3, 2020, Dr. Fauci stated that the
process would likely take at least 1 to 1\1/2\ years to have a
vaccine that could be administered to American persons. Some,
such as the analytics firm Clarivate, concluded that it might
take at least 5 years for the leading vaccine candidates, like
Moderna, to complete the development process through full
regulatory approval.
(21) Operation Warp Speed and other government actions sped
COVID-19 vaccine development by enabling typical vaccine
development steps to be taken simultaneously with manufacturing
and distribution planning. As part of these actions, the
Federal Government made investments in critical manufacturing
capacity, giving pharmaceutical companies confidence that if
they invested in developing a vaccine, once the vaccine
received authorization from the Food and Drug Administration,
these companies would be able to immediately begin distributing
the vaccine.
(22) On July 14, 2020, the United States CDC issued
stronger recommendations to wear masks as a strategy for
preventing the spread of COVID-19. United States CDC Director
Robert Redfield, in a news release from the agency, identified
masks as ``one of the most powerful weapons we have to slow and
stop the spread of the virus''.
(23) On December 11, 2020, the Food and Drug Administration
issued the first emergency use authorization (referred to in
this section as ``EUA'') for a vaccine for the prevention of
COVID-19 in individuals 16 years of age and older. The EUA
allowed the Pfizer-BioNTech COVID-19 Vaccine to be distributed
in the United States.
(24) By June 2022, subsequent modifications to the EUA by
the Food and Drug Administration expanded the Pfizer-BioNTech
COVID-19 vaccine application to include eligibility for
individuals from 6 months of age and older.
(25) On December 18, 2020, the Food and Drug Administration
issued an EUA for the second vaccine for the prevention of
COVID-19 in individuals 16 years of age and older. The EUA
allowed the Moderna COVID-19 Vaccine to be distributed in the
United States for use in individuals 18 years of age and older.
(26) By June 2022, subsequent modifications to the EUA by
the Food and Drug Administration expanded the Moderna COVID-19
vaccine to include eligibility for individuals from 6 months of
age and above.
(27) On February 27, 2021, the Food and Drug Administration
issued an EUA for the third vaccine for the prevention of
COVID-19. The EUA allowed the Janssen COVID-19 vaccine to be
distributed in the United States for use in individuals 18
years of age and older.
(28) On July 13, 2022, the Food and Drug Administration
issued an EUA for the fourth vaccine for the prevention of
COVID-19 in individuals 18 and older. The EUA was further
expanded to include individuals 12 years of age and older. The
EUA allowed the Novavax COVID-19 Vaccine, Adjuvanted to be
distributed in the United States for use in individuals 12
years and older.
(29) On August 23, 2021, the Food and Drug Administration
approved the first COVID-19 vaccine, Pfizer-BioNTech's
Comirnaty (COVID-19 vaccine, mRNA) for individuals 16 years of
age and older.
(30) On January 31, 2022, the Food and Drug Administration
approved the second COVID-19 vaccine. The Moderna COVID-19
vaccine ``Spikevax'' is approved for individuals 18 years of
age and older.
(31) Because of this public-private partnership and the
funding and support from Congress, multiple COVID-19 vaccines
have been developed and manufactured and as of January 19,
2023, approximately 667,815,331 vaccine doses had been
administered in the United States.
(32) Despite the successful development, rollout, and
uptake of the COVID-19 vaccines, it is now known that the
vaccines do not fully prevent infection from the SARS-CoV-2
virus.
(33) The emergence of variants of SARS-CoV-2 has resulted
in the development of new COVID-19 vaccines and booster shots.
(34) According to the Food and Drug Administration fact
sheets on COVID-19 vaccines, there are certain populations for
whom existing COVID-19 vaccines are not indicated or authorized
or for whom there is insufficient data to inform vaccine-
related risks including--
(A) people who have had a severe allergic reaction
to a previous dose of one of the vaccines or has a
severe allergy to any of the vaccine components; and
(B) people with certain pre-existing conditions
such as bleeding disorders and women who are pregnant,
trying to get pregnant, or breastfeeding.
(35) Because of potential risks that the vaccine poses to
certain people, it is important that every patient is able to
consult his or her doctor to determine whether one of the
COVID-19 vaccines and booster shots is appropriate for that
patient.
(36) Consistent with fundamental human rights, and medical
and legal ethics and proper standards of medical care, every
American has the right to ``informed consent'' with respect to
medical treatment, meaning that he or she has a right to be
fully informed about the nature of his or her health care and
to participate in and voluntarily make decisions related to his
or her care. In addition, every patient has a right to medical
privacy to expect that the decisions and nature of care will be
kept confidential by his or her health care provider and anyone
who has access to the individual's medical records, including
vaccination records.
(37) At various times in history, governments and medical
professionals have violated these and other inherent rights,
including by coercing patients, failing to properly inform
patients of, or even intentionally being deceptive with
patients about, their rights and the risks inherent with
various medical procedures, experiments, and studies, including
the Tuskegee syphilis experiments, forced sterilization,
lobotomy procedures, electro-shock therapy, certain
psychological studies, collection and utilization of
individuals' cells and parts of their body, or from fetal
tissue of a patient's offspring, without knowledge or consent,
and eugenics laws.
(38) The absence of informed consent not only constitutes a
violation of medical ethics and standards of care, in some
cases, treatment may also constitute a crime, such as battery.
(39) Criminal battery stemming from violations of medical
ethics and informed consent standards have led to a significant
degree of distrust of the government, public health officials,
and medical professionals by certain groups and communities
including among the most vulnerable populations such as ethnic
minorities, immigrants, economically disadvantaged, unmarried
mothers, people with disabilities, and individuals with mental
illnesses.
(40) On March 19, 2021, the WHO released draft
recommendations for a smart vaccine certificate in what amounts
to a form of a ``vaccine passport'' that would, per WHO's
``Smart Vaccination Certificate Working Group'', ``support
COVID-19 vaccine delivery and monitoring'' and to serve
``current and future requirements, toward the dual purposes of
(1) supporting continuity of care; and (2) cross-border uses''.
(41) In July 2021, the European Commission adopted the EU
Digital COVID Certificate (EUDCC), a COVID-19 vaccine passport.
(42) In April 2021, the State of New York launched the
first COVID-19 vaccine passport in the United States, known as
the Excelsior Pass.
(43) The White House, while saying the COVID-19 Task Force
would not create a vaccine passport, engaged in a multi-agency
coordination effort led by the Office of the National
Coordinator for Health Information Technology to develop
criteria and principles for a vaccine passport created by the
private sector.
(44) During a March 2, 2021, virtual meeting lead by the
Federal Health IT Coordinating Council on behalf of the Biden
Administration, a slide presentation included the following:
``Proof of individual COVID-related health status is likely to
be an important component of pandemic response, proof of
immunization will likely become a major, if not the primary,
form of health status validation,'' and a ``unified Federal
approach [is] required to ensure Federal activities are working
toward the same common goals for vaccine [passports].''
Additionally, the presentation suggested the Biden
Administration expects that ``Federal entities'' would ``likely
require vaccine verification for a variety of purposes'' and
that the ``Federal government will inevitably be involved with
vaccine credential solutions. . . .''.
(45) Despite previous reassurances to not pursue COVID-19
vaccine mandates or passports, the Biden Administration has
issued a number of vaccine mandates on millions of Americans
through executive orders, memoranda, and Federal rulemaking.
(A) On August 24, 2021, the Secretary of Defense
issued a memorandum requiring all Department of Defense
Service Members to be vaccinated against COVID-19 as a
condition of remaining in the service.
(B) On September 9, 2021, the Biden Administration
issued an executive order mandating all employees of
Federal contractors be vaccinated against COVID-19 as a
condition of employment.
(C) On September 14, 2021, the Biden Administration
issued an executive order mandating all Federal
employees be vaccinated against COVID-19 as a condition
of employment.
(D) On November 4, 2021, the Centers for Medicare &
Medicaid Services issued an interim final rule
requiring employees of Medicare and Medicaid certified
providers and suppliers be vaccinated against COVID-19
as a condition of employment.
(E) On November 4, 2021, the Occupational Safety
and Health Administration issued an emergency temporary
standard requiring private employers with 100 or more
employees to either require employees to receive a
COVID-19 vaccine or to require employees to provide
regular proof of a negative COVID-19 test.
(46) A number of cities in the United States implemented
vaccine passports requiring individuals to show proof of
vaccination to enter various establishments.
(A) On August 16, 2021, the city of New Orleans
implemented the requirement of a COVID-19 vaccine or a
negative test in order to enter indoor establishments
and venues.
(B) On August 20, 2021, the city of San Francisco
began to require proof of vaccination against COVID-19
in order to enter indoor establishments and venues.
(C) On September 13, 2021, the city of New York
began to require its Excelsior Pass or Key-to-NYC
COVID-19 vaccine passport in order to enter indoor
establishments and venues.
(D) On October 1, 2021, the city of Los Angeles
began to require proof of a COVID-19 vaccine in order
to enter indoor establishments and venues.
(E) On October 25, 2021, the city of Seattle began
to require proof of vaccination against COVID-19 or a
negative test in order to enter indoor establishments
and venues.
(F) In January 2022, the cities of Boston, Chicago,
Philadelphia, Minneapolis, and St. Paul began to
require proof of a COVID-19 vaccine in order to enter
indoor establishments and venues.
(G) On February 15, 2022, Washington, DC, began to
require proof of vaccination against COVID-19 in order
to enter indoor establishments and venues.
(47) Throughout 2021 and 2022, a large number of private
employers imposed a COVID-19 vaccine mandate on employees as a
condition of employment. This has resulted in widespread
discrimination based on vaccination status and loss of
employment and employment opportunities.
(48) The development, implementation, and utilization of
vaccine passports, whether by Federal or State government, or
the private sector, has led to significant misuse, abuse, and
discrimination against the people of the United States. The use
of such passports led to the denial of constitutionally
protected freedoms, such as freedom of association and freedom
of movement and allowed the government and corporations to
track people's health status on a large-scale basis.
(49) The widespread utilization of vaccine passports has
led to discrimination by businesses that provide public
accommodations requiring a customer to demonstrate his or her
health status, through the presentment of a vaccine passport or
other ``papers'' or by requiring that the customer disclose his
or her protected health information, before the business agrees
to serve or otherwise do business with such individual, meaning
the denial of service in such cases could be based on an
individual's disability, health status, or familial status.
(50) Despite the use of vaccine passports and vaccine
mandates leading to a clear violation of constitutional rights,
there currently exists no clear regulatory framework to fully
protect the privacy of United States citizens and United States
nationals with respect to their vaccination records and
negative COVID-19 test results.
(51) The widespread acceptance and implementation of
vaccine passports has also led to employment discrimination,
where employers have taken adverse employment actions against
employees who are not vaccinated because of an underlying
health condition and without regard to the Americans with
Disabilities Act of 1990 (42 U.S.C. 12101 et seq.), which
requires an interactive process whereby the employer follows
the law to assess if the employee can and should be reasonably
accommodated under such Act.
(52) Given that COVID-19 vaccines do not prevent the
transmission of the SARS-CoV-2 virus, the implementation and
widespread utilization of vaccine passports has led and will
lead to the refusal to provide services to unvaccinated
persons.
(53) The denial of public services and public
accommodations, as well as adverse employment actions, based on
COVID-19 vaccination status, lack of or refusal to present a
vaccine passport, refusal to get vaccinated, or requiring an
individual to explain the underlying reason why they are not
vaccinated, could constitute unlawful discrimination, including
as to sex, age, familial status, disability, or based on
genetic or other health condition.
(54) Any United States person that requests the vaccine
records of a United States individual, including data such as a
copy or other digital record of a vaccine passport or similar
proof of vaccination, should be regarded as having collected
``protected health information'' and should be regarded as a
``covered entity'' as defined in the privacy regulations
promulgated under section 264(c) of the Health Insurance
Portability and Accountability Act of 1996 (42 U.S.C. 1320d-2
note).
(55) The policy of the United States is to recognize,
defend, and protect the inherent rights of the individual,
including the right to privacy, the right of liberty, the right
to be secure in one's person, the right of the individual to be
informed about any medical procedures, treatment, or
vaccination, and the right of the individual to provide or
withhold consent to such procedures, treatment, or vaccination.
(56) Congress recognizes that special vigilance is
required, especially in times of crisis or emergency to ensure
that government agencies do not try to take advantage of,
manipulate, or inflame public fear, stoke hatred of minority
groups, or increase intolerance toward the diversity that
builds our Nation.
(57) Congress finds that there is a clear need for the
Federal Government to take specific action to restore public
trust by protecting the privacy and voluntary informed consent
rights of patients specifically regarding vaccinations and an
individual's vaccination records.
(58) Furthermore, the protection of such individual rights
to make one's own medical decisions in consultation with his or
her health care provider without fear of coercion, forced
vaccination, loss of civil liberties, or risk of adverse
employment action is especially needed at a time when it is
critical for our Nation to increase public trust in
vaccinations and increase vaccination rates in order to end the
COVID-19 pandemic.
SEC. 3. SEVERABILITY.
(a) In General.--If any provision of this Act, or an amendment made
by this Act, or the application of any such provision or amendment to
any person or circumstance is declared invalid or unconstitutional, the
remainder of this Act, including any amendment made by this Act, and
the application of such provisions and amendments to any person or
circumstance shall not be affected.
(b) Effect of Partial Invalidation, Repeal, or Amendment.--The
invalidation, repeal, or amendment of any part of this Act, or
amendment made by this Act, does not release or extinguish any penalty,
forfeiture, or liability incurred or right accruing or accrued under
this Act (or amendment), unless the invalidation, repeal, or amendment
so provides expressly. This Act, and amendments made by this Act, shall
be treated as remaining in force for the purpose of sustaining any
proper action or prosecution for the enforcement of the right, penalty,
forfeiture, or liability pursuant to the previous sentence.
TITLE I--GENERAL PROVISIONS
Subtitle A--Health Information Privacy Protections
SEC. 101. PROHIBITION ON ESTABLISHMENT OF FEDERAL VACCINE PASSPORTS AND
TRACKING OF INDIVIDUALS.
(a) In General.--No Federal funds may be used to create, establish
or collaborate in the establishment of any Federal, State, private, or
international vaccine passport system, vaccine tracking database, or
similar system or in the creation or adoption of any related guidelines
or standards, under which Federal, State, or international government
agencies or private companies would be able to monitor or track
individuals who have been vaccinated against COVID-19, or which could
otherwise be used to limit the freedom of movement or the freedom of
association of individuals based on their COVID-19 vaccination status.
(b) Personal Privacy.--To the extent any Federal department or
agency has received, obtained, collected, aggregated, stored, or is
otherwise in possession of any data or records from officials,
including public health officials, in any State, the District of
Columbia, or any territory, or any third party who administered or has
information related to the administration of any COVID-19 vaccinations,
including health care providers and insurers, such data and records
about any individuals' vaccination status shall be destroyed by the
Federal department or agency and, if in digital form, that data record
shall be deleted in its entirety within 30 days of the enactment of
this Act.
(c) Reporting.--For any Federal department or agency that has
received and subsequently destroyed COVID-19 data or records as
required by this section, the head of such agency shall, not later than
15 days after such data or records have been destroyed, submit a sworn
affidavit, subject to penalty of perjury, to Congress confirming that
he or she has personally assured such data or records have been
destroyed.
(d) Criminal Penalties.--Any person who knowingly makes or is
responsible for the inclusion of a statement or representation in an
affidavit under subsection (c) that is materially false, fictitious, or
fraudulent shall be fined not more than $10,000, imprisoned not more
than 1 year, or both.
(e) Prohibition on Federal Issuance or Vaccine Passport or Similar
Documentation and Prohibition on Vaccination Requirement To Enter
Federal Property or Services.--
(1) In general.--No Federal department or agency may issue
a vaccine passport, vaccine pass, or other standardized
documentation for the purpose of certifying the COVID-19
vaccination status of a citizen of the United States to a third
party, or otherwise publish or share any COVID-19 vaccination
record of a citizen of the United States, or similar health
information.
(2) Access to federal property and services.--Proof of
COVID-19 vaccination shall not be deemed a requirement for
access to Federal property or Federal services, or for access
to congressional grounds or services.
(f) Exceptions.--
(1) Deidentified or anonymized information for certain
purposes.--The prohibition described in subsection (a) shall
not apply to the aggregation and sharing of information that
has been deidentified or anonymized if such information is used
for purposes of Federal, State, or local public health
reporting or academic studies, provided that the recipient of
such information does not have the capability to reconstruct
the data in any way that would allow for the determination of
the vaccination status of any individual.
(2) Limited use of information with respect to federal
employees.--The prohibition described in subsection (a) and the
requirement described in subsection (b) shall not apply to the
possession by a Federal department or agency of COVID-19
vaccination data or records pertaining to any employee of such
department or agency where such data or records will be used
solely to determine if such employee would be eligible to gain
admission to a foreign country during international travel in
furtherance of the employee's official duties.
SEC. 102. VACCINE STATUS PROTECTIONS UNDER HIPAA PRIVACY REGULATIONS.
(a) In General.--The Secretary of Health and Human Services shall
amend the regulations promulgated under section 264(c) of the Health
Insurance Portability and Accountability Act of 1996 (42 U.S.C. 1320d-2
note) to establish the following:
(1) Reporting by covered entities to public health entities
of non-anonymized protected health information related to an
individual's vaccination status is not permissible, even during
public health emergencies, without express patient consent.
(2) Any United States person that requests the vaccine
records of a United States individual shall be deemed to be a
covered entity for purposes of such request.
(3) With respect to any individual who shares their vaccine
status with any covered entity, the covered entity shall comply
with any request from such individual to--
(A) delete all protected health information that
identifies the individual's vaccination status,
including in relation to any records shared with the
covered entities' business associates, in all active
and inactive databases; and
(B) provide to such individual written confirmation
of such deletion.
(b) Definitions.--In this section, the terms ``business
associate'', ``covered entity'', ``protected health information'' have
the meanings given such terms in section 160.103 of title 21, Code of
Federal Regulations (or any successor regulations).
Subtitle B--Consent to Vaccination
SEC. 111. VACCINATIONS.
(a) In General.--Part I of title 18, United States Code, is amended
by inserting after chapter 117 the following:
``CHAPTER 117A--VACCINATIONS
``Sec. 2431. Vaccinations
``(a) Requirements.--
``(1) In general.--Except as provided in paragraph (2), it
shall be unlawful to--
``(A) require any United States person to receive a
vaccine that has only received authorization by the
Food and Drug Administration through an emergency use
authorization pursuant to section 564 of the Federal
Food, Drug, and Cosmetic Act (21 U.S.C. 360bbb-3), or
that has received such authorization prior to receiving
full approval or licensure under section 505 of the
Federal Food, Drug, and Cosmetic Act (21 U.S.C. 355) or
section 351 of the Public Health Service Act (42 U.S.C.
262); or
``(B) vaccinate with a vaccine that has only
received authorization by the Food and Drug
Administration through such an emergency use
authorization, or that has received such authorization
prior to receiving such full approval or licensure--
``(i) an individual under the age of 18; or
``(ii) an individual that lacks the
capacity to exercise the right to consent to be
vaccinated.
``(2) Exceptions.--Paragraph (1) shall not apply if the
individual, or if the individual is a minor or is otherwise
unable to consent, a parent, guardian, conservator, or
attorney-in-fact of the individual, provides consent to be
vaccinated.
``(3) Sunset.--This subsection is effective beginning on
the date of enactment of this section and ending on the date
that is 5 years after that date.
``(b) Right To Be Informed.--Any person that administers a vaccine
for the coronavirus disease 2019 (COVID-19) shall, consistent with
medical ethics and applicable informed consent laws of the State in
which the vaccine is administered and any applicable Federal
regulations related to informed consent laws, disclose to any
individual, before the vaccine is administered, the risks associated
with the vaccine so that the individual can make an informed decision.
``(c) Protecting Privacy.--
``(1) In general.--Except as provided in subparagraph (B),
it shall be unlawful for any person to publicly disclose
information about the COVID-19 vaccination status of an
individual without the express consent of the individual if the
individual provided the information to the person--
``(A) as an employee in the context of an employer-
employee relationship;
``(B) as an independent contractor where the
vaccination status was provided to the person to whom
the contractor is providing services;
``(C) as a consumer in the context of any consumer
transaction;
``(D) as a patient in order to obtain medical care
or health-related services from any health care
provider; or
``(E) the user of any technology application,
platform, or service.
``(2) Requirements.--For purposes of this subsection, an
individual does not provide express consent to the disclosure
of a COVID-19 vaccination status unless--
``(A) the individual agrees to the circumstances of
disclosure in writing; and
``(B) the agreement is not conditioned on or
contained within any other agreement.
``(3) Exception.--Paragraph (1) shall not apply if the
parent or guardian of the individual provides consent to the
disclosure described in that subparagraph.
``(d) Criminal Penalties.--Whoever knowingly violates subsection
(a) or (c) shall be imprisoned not more than 1 year, fined in
accordance with this title, or both.
``(e) Civil Penalties.--Any person who receives the COVID-19
vaccination status of an individual under circumstances that would
create a reasonable expectation of privacy in that status, including
the circumstances listed in subparagraphs (A) through (E) of subsection
(c)(1), and who either intentionally or negligently discloses that
status to the public without the consent of the individual, shall be
subject to a civil fine not to exceed $25,000 per disclosure or any
actual damages suffered.
``(f) Preemption.--This section does not annul, alter, or affect
any law of any State or local government that provides a greater level
of privacy than the provisions in this section.''.
(b) Technical and Conforming Amendment.--The table of chapters for
part I of title 18, United States Code, is amended by inserting after
the item relating to section 117 the following:
``117A. Vaccinations........................................ 2431''.
TITLE II--PROHIBITION OF DISCRIMINATION BASED ON VACCINATION STATUS
Subtitle A--Nondiscrimination in Employment
SEC. 201. DEFINITIONS.
In this section:
(1) ADA terms.--The terms ``direct threat'' and ``undue
hardship'' have the meaning given those terms in section 101 of
the Americans with Disabilities Act of 1990 (42 U.S.C. 12111).
(2) Covered entity.--The term ``covered entity''--
(A) has the meaning given the term ``respondent''
in section 701(n) of the Civil Rights Act of 1964 (42
U.S.C. 2000e(n)); and
(B) includes--
(i) an employer, which means a person
engaged in industry affecting commerce who has
15 or more employees as defined in section
701(b) of title VII of the Civil Rights Act of
1964 (42 U.S.C. 2000e(b)); and
(ii) an entity to which section 717(a) of
the Civil Rights Act of 1964 (42 U.S.C. 2000e-
16(a)) applies.
(3) Employee.--The term ``employee'' means--
(A) an employee (including an applicant), as
defined in section 701(f) of the Civil Rights Act of
1964 (42 U.S.C. 2000e(f)); and
(B) an employee (including an applicant) to which
section 717(a) of the Civil Rights Act of 1964 (42
U.S.C. 2000e-16(a)) applies.
(4) Person; commerce; industry affecting commerce.--The
terms ``person'', ``commerce'', and ``industry affecting
commerce'' shall have the same meaning given such terms in
section 701 of the Civil Rights Act of 1964 (42 U.S.C. 2000e).
(5) Qualified employee.--The term ``qualified employee''
means an employee or applicant who, with or without reasonable
accommodation, can perform the essential functions of the
employment position. For the purposes of this title,
consideration shall be given to the employer's judgment as to
what functions of a job are essential, and if an employer has
prepared a written description before advertising or
interviewing applicants for the job, this description shall be
considered evidence of the essential functions of the job.
(6) Reasonable accommodation.--The term ``reasonable
accommodation'' may include--
(A) job restructuring, modified work schedules,
telework, reassignment to a vacant position, or wearing
a mask or personal protective equipment; and
(B) physical distancing for an unvaccinated
individual or an unvaccinated individual wearing a mask
or personal protective equipment, to the extent that
the unvaccinated individual interacts with individuals
who are vulnerable to COVID-19 and unvaccinated for
COVID-19.
(7) Vaccination status.--The term ``vaccination status''
means--
(A) an individual's status based on the voluntary
election to receive or not to receive a COVID-19
vaccine; and
(B) regardless of whether someone has or has not
been vaccinated against COVID-19, an individual's
status with respect to having or producing proof of
such vaccination in the form of a vaccine passport or
other medical records that would demonstrate whether an
individual has been vaccinated against COVID-19.
SEC. 202. DISCRIMINATION PROHIBITED.
(a) General Rule.--No covered entity shall discriminate against a
qualified employee on the basis of vaccination status, or the qualified
employee's unwillingness or inability to present a vaccine passport or
other proof of having a COVID-19 vaccine, in regard to job application
procedures, the hiring, advancement, or discharge of employees,
employee compensation, job training, and other terms, conditions, and
privileges of employment.
(b) Construction.--
(1) In general.--As used in subsection (a), the term
``discriminate against a qualified employee on the basis of
vaccination status'' includes--
(A) limiting, segregating, or classifying an
employee in a way that adversely affects the
opportunities or status of such employee because of the
vaccination status of such employee;
(B) participating in a contractual or other
arrangement or relationship that has the effect of
subjecting a covered entity's qualified employee based
on vaccination status to the discrimination prohibited
by this title (such relationship includes a
relationship with an employment or referral agency,
labor union, an organization providing fringe benefits
to an employee of the covered entity, or an
organization providing training and apprenticeship
programs);
(C) utilizing standards, criteria, or methods of
administration--
(i) that have the effect of discrimination
on the basis of vaccination status; or
(ii) that perpetuate the discrimination of
others who are subject to common administrative
control;
(D) excluding or otherwise denying equal benefits
to a qualified employee because of the known
vaccination status of an individual with whom the
qualified employee is known to have a relationship or
association;
(E)(i) not making reasonable accommodations based
on vaccination status for an otherwise qualified
employee, unless such covered entity can demonstrate
that the accommodation would impose an undue hardship
on the operation of the business of such covered
entity; or
(ii) denying employment opportunities to an
employee who is an otherwise qualified employee based
on vaccination status, if such denial is based on the
need of such covered entity to make reasonable
accommodation based on the vaccination status of the
qualified employee; and
(F) using qualification standards, employment
tests, or other selection criteria that screen out or
tend to screen out an individual or a class of
individuals based on vaccination status unless the
standard, test or other selection criteria, as used by
the covered entity, is shown to be job related for the
position in question and is consistent with business
necessity.
(2) Exclusions.--Notwithstanding any other provision of
this section, the term ``discriminate against a qualified
individual on the basis of vaccination status'' does not
include--
(A) requiring physical distancing by or from
individuals who are particularly vulnerable to COVID-19
or have not been fully vaccinated for COVID-19;
(B) requiring a qualified employee to wear a mask
or to utilize other personal protective equipment; or
(C) conducting any symptom check as described in
subsection (d)(3).
(c) Covered Entities in Foreign Countries.--It shall not be
unlawful under this section for a covered entity to take any action
that constitutes discrimination under this section with respect to an
employee in a workplace in a foreign country if compliance with this
section would cause such covered entity to violate the law of the
foreign country in which such workplace is located.
(d) Medical Examinations and Inquiries.--
(1) In general.--Consistent with paragraph (2), the
prohibition against discrimination as referred to in subsection
(a) shall include medical examinations designed to reveal a
qualified employee's vaccination status and inquiries about a
qualified employee's vaccination status or reasons for choosing
not to receive a COVID-19 vaccine.
(2) Prohibited examinations and inquiries.--A covered
entity shall not require a medical examination designed to
reveal a qualified employee's vaccination status and shall not
make inquiries of an employee as to the vaccination status of
the employee or reasons for choosing not to receive a COVID-19
vaccine unless such examination or inquiry is shown to be job
related and consistent with business necessity.
(3) Symptom checks permitted.--Notwithstanding any other
provision of this title, a covered entity may implement basic
health screenings that ask individuals if they have symptoms
associated with COVID-19 as long as the covered entity does not
discriminate against a qualified employee, as described in
subsection (a), based on those symptoms, provided that the
covered entity does not discriminate on the basis of
vaccination status when taking any action in response to any
symptom check.
SEC. 203. DEFENSES.
(a) In General.--It may be a defense to a charge of discrimination
under this title that an alleged application of qualification
standards, tests, or selection criteria that screen out or tend to
screen out or otherwise deny a job or benefit to a qualified employee
based on vaccination status has been shown to be job related and
consistent with business necessity, and such performance cannot be
accomplished by reasonable accommodation, as required under this title.
(b) Religious Entities.--
(1) In general.--This title shall not prohibit a religious
corporation, association, educational institution, or society
from giving preference in employment to individuals of a
particular religion to perform work connected with the carrying
on by such corporation, association, educational institution,
or society of its activities.
(2) Religious tenets requirement.--Under this title, a
religious organization may require that all applicants and
employees conform to the religious tenets of such organization.
SEC. 204. REMEDIES AND ENFORCEMENT.
(a) Employees Covered by Title VII of the Civil Rights Act of
1964.--
(1) In general.--The powers, remedies, and procedures
provided in sections 705, 706, 707, 709, 710, and 711 of the
Civil Rights Act of 1964 (42 U.S.C. 2000e-4 et seq.) to the
Commission, the Attorney General, or any person alleging a
violation of title VII of such Act (42 U.S.C. 2000e et seq.)
shall be the powers, remedies, and procedures this Act provides
to the Commission, the Attorney General, or any person,
respectively, alleging an unlawful employment practice in
violation of this title against an employee described in
section 201(3)(A) except as provided in paragraphs (2) and (3)
of this subsection.
(2) Costs and fees.--The powers, remedies, and procedures
provided in subsections (b) and (c) of section 722 of the
Revised Statutes (42 U.S.C. 1988) shall be the powers,
remedies, and procedures this Act provides to the Board or any
person alleging such practice.
(3) Damages.--The powers, remedies, and procedures provided
in section 1977A of the Revised Statutes (42 U.S.C. 1981a),
including the limitations contained in subsection (b)(3) of
such section 1977A, shall be the powers, remedies, and
procedures this title provides to the Board or any person
alleging such practice (not an employment practice specifically
excluded from coverage under section 1977A(a)(1) of the Revised
Statutes).
(b) Employees Covered by Section 717 of the Civil Rights Act of
1964.--
(1) In general.--The powers, remedies, and procedures
provided in section 717 of the Civil Rights Act of 1964 (42
U.S.C. 2000e-16) to the Commission, the Attorney General, the
Librarian of Congress, or any person alleging a violation of
that section shall be the powers, remedies, and procedures this
title provides to the Commission, the Attorney General, the
Librarian of Congress, or any person, respectively, alleging an
unlawful employment practice in violation of this title against
an employee described in section 201(3)(B), except as provided
in paragraphs (2) and (3) of this subsection.
(2) Costs and fees.--The powers, remedies, and procedures
provided in subsections (b) and (c) of section 722 of the
Revised Statutes (42 U.S.C. 1988) shall be the powers,
remedies, and procedures this Act provides to the Commission,
the Attorney General, the Librarian of Congress, or any person
alleging such practice.
(3) Damages.--The powers, remedies, and procedures provided
in section 1977A of the Revised Statutes (42 U.S.C. 1981a),
including the limitations contained in subsection (b)(3) of
such section 1977A, shall be the powers, remedies, and
procedures this title provides to the Commission, the Attorney
General, the Librarian of Congress, or any person alleging such
practice (not an employment practice specifically excluded from
coverage under section 1977A(a)(1) of the Revised Statutes).
(c) Prohibition Against Retaliation.--
(1) In general.--No person shall discriminate against any
employee because such employee has opposed any act or practice
made unlawful by this title or because such employee made a
charge, testified, assisted, or participated in any manner in
an investigation, proceeding, or hearing under this title.
(2) Prohibition against coercion.--It shall be unlawful to
coerce, intimidate, threaten, or interfere with any individual
in the exercise or enjoyment of, or on account of such
individual having exercised or enjoyed, or on account of such
individual having aided or encouraged any other individual in
the exercise or enjoyment of, any right granted or protected by
this title.
(3) Remedy.--The remedies and procedures otherwise provided
for under this section shall be available to aggrieved
individuals with respect to violations of this subsection.
(d) Limitation.--Notwithstanding subsections (a)(3) and (b)(3), if
an unlawful employment practice involves the provision of a reasonable
accommodation pursuant to this title or regulations implementing this
title, damages may not be awarded under section 1977A of the Revised
Statutes (42 U.S.C. 1981a) if the covered entity demonstrates good
faith efforts, in consultation with the qualified employee, to identify
and make a reasonable accommodation that would provide such employee
with an equally effective opportunity and would not cause an undue
hardship on the operation of the covered entity.
Subtitle B--Nondiscrimination in Public Accommodation
SEC. 211. DEFINITIONS.
In this subtitle:
(1) ADA terms.--The terms ``commerce'', ``commercial
facilities'', ``private entity'', and ``public accommodation''
have the meanings given those terms in section 301 of the
Americans with Disabilities Act of 1990 (42 U.S.C. 12181).
(2) Individual who has not received a covid-19 vaccine.--
The term ``individual who has not received a COVID-19 vaccine''
means an individual who has not received a COVID-19 vaccine or
who does not have or cannot produce proof of having such a
vaccine.
(3) Vaccination status.--The term ``vaccination status''
means--
(A) an individual's status based on the voluntary
election to receive or not to receive a COVID-19
vaccine; and
(B) regardless of whether someone has or has not
been vaccinated against COVID-19, an individual's
status with respect to having or producing proof of
such vaccination in the form of a vaccine passport or
other medical records that would demonstrate whether an
individual has been vaccinated against COVID-19.
SEC. 212. PROHIBITION OF DISCRIMINATION BY PLACES OF PUBLIC
ACCOMMODATION.
(a) General Rule.--Subject to the provisions of this subtitle, no
individual shall be discriminated against on the basis of vaccination
status, or the individual's unwillingness or inability to present a
vaccine passport or other proof of having a COVID-19 vaccine, in the
full and equal enjoyment of the goods, services, facilities,
privileges, advantages, or accommodations of any place of public
accommodation by any person who owns, leases (or leases to), or
operates a place of public accommodation.
(b) Construction.--
(1) General prohibition.--
(A) Activities.--
(i) Denial of participation.--It shall be
discriminatory to subject an individual or
class of individuals on the basis of the
vaccination status of such individual or class
of individuals, directly, or through
contractual, licensing, or other arrangements,
to a denial of the opportunity of the
individual or class to participate in or
benefit from the goods, services, facilities,
privileges, advantages, or accommodations of an
entity.
(ii) Participation in unequal benefit.--It
shall be discriminatory to afford an individual
or class of individuals, on the basis of
vaccination status of such individual or class
of individuals, directly, or through
contractual, licensing, or other arrangements
with the opportunity to participate in or
benefit from a good, service, facility,
privilege, advantage, or accommodation that is
not substantially equal to that afforded to
other individuals.
(iii) Separate benefit.--It shall be
discriminatory to provide an individual or
class of individuals, on the basis of
vaccination status of such individual or class
of individuals, directly, or through
contractual, licensing, or other arrangements
with a good, service, facility, privilege,
advantage, or accommodation that is different
or separate from that provided to other
individuals, unless such action is necessary to
provide the individual or class of individuals
with a good, service, facility, privilege,
advantage, or accommodation, or other
opportunity that is as effective as that
provided to others.
(iv) Individual or class of individuals.--
For purposes of clauses (i) through (iii) of
this subparagraph, the term ``individual or
class of individuals'' refers to the clients or
customers of the covered public accommodation
that enters into the contractual, licensing or
other arrangement.
(B) Integrated settings.--Goods, services,
facilities, privileges, advantages, and accommodations
shall be afforded to an individual regardless of
vaccination status in the most integrated setting
appropriate.
(C) Opportunity to participate.--Notwithstanding
the existence of separate or different programs or
activities provided in accordance with this section, an
individual who has not received a COVID-19 vaccine
shall not be denied the opportunity to participate in
such programs or activities that are not separate or
different.
(D) Administrative methods.--An individual or
entity shall not, directly or through contractual or
other arrangements, utilize standards or criteria or
methods of administration--
(i) that have the effect of discriminating
on the basis of vaccination status; or
(ii) that perpetuate the discrimination of
others who are subject to common administrative
control.
(E) Association.--It shall be discriminatory to
exclude or otherwise deny equal goods, services,
facilities, privileges, advantages, accommodations, or
other opportunities to an individual or entity because
of the vaccination status of an individual with whom
the individual or entity is known to have a
relationship or association.
(2) Specific prohibitions.--
(A) Discrimination.--For purposes of subsection
(a), discrimination includes--
(i) the imposition or application of
eligibility criteria that screen out or tend to
screen out an individual who has not had a
COVID-19 vaccine or any class of such
individuals from fully and equally enjoying any
goods, services, facilities, privileges,
advantages, or accommodations, unless such
criteria can be shown to be necessary for the
provision of the goods, services, facilities,
privileges, advantages, or accommodations being
offered; and
(ii) a failure to make reasonable
modifications in policies, practices, or
procedures, when such modifications are
necessary to afford such goods, services,
facilities, privileges, advantages, or
accommodations to individuals who have not
received a COVID-19 vaccine, unless the entity
can demonstrate that making such modifications
would fundamentally alter the nature of such
goods, services, facilities, privileges,
advantages, or accommodations.
(3) Specific construction.--Nothing in this title shall
require an entity to permit an individual to participate in or
benefit from the goods, services, facilities, privileges,
advantages and accommodations of such entity where such
individual poses a direct threat to the health or safety of
others. The term ``direct threat'' means a significant risk to
the health or safety of others that cannot be eliminated by a
modification of policies, practices, or procedures or by
physical distancing, wearing a mask, or wearing personal
protective equipment.
(c) Distancing and PPE.--Notwithstanding any other provision of
this section, an individual shall not be considered to be discriminated
against on the basis of vaccination status in violation of this section
if that individual is required to engage in physical distancing, wear a
mask, or wear personal protective equipment.
SEC. 213. PROHIBITION OF DISCRIMINATION IN SPECIFIED PUBLIC
TRANSPORTATION SERVICES PROVIDED BY PRIVATE ENTITIES.
(a) General Rule.--No individual shall be discriminated against on
the basis of vaccination status, or the individual's unwillingness or
inability to present a vaccine passport or other proof of vaccinations
status, in the full and equal enjoyment of specified public
transportation services provided by a private entity that is primarily
engaged in the business of transporting people and whose operations
affect commerce.
(b) Construction.--For purposes of subsection (a), discrimination
includes--
(1) the imposition or application by an entity described in
subsection (a) of eligibility criteria that screens out or
tends to screen out an individual based on vaccination status
or any class of individuals based on vaccination status from
fully enjoying the specified public transportation services
provided by the entity, unless such criteria can be shown to be
necessary for the provision of the services being offered; and
(2) the failure of such entity to make reasonable
modifications, including physical distancing for an
unvaccinated individual or an unvaccinated individual wearing a
mask or personal protective equipment, to the extent that the
unvaccinated individual interacts with individuals who are
vulnerable to COVID-19 and unvaccinated for COVID-19.
(c) Distancing and PPE.--Notwithstanding any other provision of
this section, an individual shall not be considered to be discriminated
against on the basis of vaccination status in violation of this section
if that individual is required to engage in physical distancing, wear a
mask, or wear personal protective equipment.
SEC. 214. EXEMPTIONS FOR PRIVATE CLUBS AND RELIGIOUS ORGANIZATIONS.
The provisions of this subtitle shall not apply to private clubs or
establishments exempted from coverage under title II of the Civil
Rights Act of 1964 (42 U.S.C. 2000-a(e)) or to religious organizations
or entities controlled by religious organizations, including places of
worship.
SEC. 215. ENFORCEMENT.
(a) Availability of Remedies and Procedures.--The remedies and
procedures set forth in section 204(a) of the Civil Rights Act of 1964
(42 U.S.C. 2000a-3(a)) are the remedies and procedures this subtitle
provides to any person who is being subjected to discrimination on the
basis of vaccination status in violation of this subtitle or who has
reasonable grounds for believing that such person is about to be
subjected to discrimination in violation of this subtitle. Nothing in
this section shall require a person who has not received a COVID-19
vaccine to engage in a futile gesture if such person has actual notice
that a person or organization covered by this subtitle does not intend
to comply with its provisions.
(b) Enforcement by the Attorney General.--
(1) Denial of rights.--
(A) Authority to investigate.--The Attorney General
shall have the authority to investigate alleged
violations of this subtitle, and shall undertake
periodic reviews of compliance of entities subject to
this subtitle.
(B) Potential violation.--If the Attorney General
has reasonable cause to believe that--
(i) any person or group of persons is
engaged in a pattern or practice of
discrimination under this subtitle; or
(ii) any person or group of persons has
been discriminated against under this subtitle
and such discrimination raises an issue of
general public importance;
the Attorney General may commence a civil action in any
appropriate United States district court.
(2) Authority of court.--In a civil action under paragraph
(1)(B), the court--
(A) may grant any equitable relief that such court
considers to be appropriate, including, to the extent
required by this subtitle--
(i) granting temporary, preliminary, or
permanent relief;
(ii) providing a modification of policy,
practice, or procedure, or alternative method;
and
(iii) making reasonable accommodations for
individuals who have not received a COVID-19
vaccine;
(B) may award such other relief as the court
considers to be appropriate, including monetary damages
to individuals aggrieved when requested by the Attorney
General; and
(C) may, to vindicate the public interest, assess a
civil penalty against the entity subject to this
subtitle in an amount--
(i) not exceeding $50,000 for a first
violation; and
(ii) not exceeding $100,000 for any
subsequent violation.
(3) Single violation.--For purposes of paragraph (2)(C), in
determining whether a first or subsequent violation has
occurred, a determination in a single action, by judgment or
settlement, that the entity subject to this subtitle has
engaged in more than one discriminatory act shall be counted as
a single violation.
(4) Punitive damages.--For purposes of paragraph (2)(B),
the term ``monetary damages'' and ``such other relief'' does
not include punitive damages.
(5) Judicial consideration.--In a civil action under
paragraph (1)(B), the court, when considering what amount of
civil penalty, if any, is appropriate, shall give consideration
to any good faith effort or attempt to comply with this Act by
the entity. In evaluating good faith, the court shall consider,
among other factors it deems relevant, whether the entity could
have reasonably anticipated the need for a reasonable
accommodation for individuals who have not received a COVID-19
vaccine.
SEC. 216. EFFECTIVE DATE.
This subtitle shall become effective 90 days after the date of the
enactment of this Act.
Subtitle C--Nondiscrimination by a Public Entity and Access to Federal
Services
SEC. 221. NONDISCRIMINATION BY A PUBLIC ENTITY.
(a) In General.--Subject to the provisions of this subtitle, no
qualified individual who has not received a COVID-19 vaccine shall, by
reason of such vaccination status, including the qualified individual's
unwillingness or inability to present a vaccine passport or other proof
of having a COVID-19 vaccine, be excluded from participation in or be
denied the benefits of the services, programs, or activities of a
public entity, or be subjected to discrimination by any such entity.
(b) Right To Vote Shall Not Be Impaired.--It shall be unlawful for
any State or political subdivision, as such term is used in the Voting
Rights Act of 1965 (52 U.S.C. 10301 et seq.), to require or impose a
requirement that a voter or voters must present a vaccine passport or
otherwise present information regarding their vaccination status in
order to exercise the right to vote, including to vote in person, in
any election involving any candidate for Federal office.
(c) Rule of Construction.--Notwithstanding subsection (a), a public
entity shall not be considered in violation of subsection (a) if that
public entity requires a qualified individual who has not received a
COVID-19 vaccine to engage in physical distancing, wear a mask, or wear
personal protective equipment.
(d) Enforcement.--The remedies, procedures, and rights set forth in
section 505 of the Rehabilitation Act of 1973 (29 U.S.C. 794a) shall be
the remedies, procedures, and rights this title provides to any person
alleging discrimination on the basis of status as a qualified
individual who has not received a COVID-19 vaccine in violation of this
section.
(e) Definitions.--
(1) Qualified individual who has not received a covid-19
vaccine.--The term ``qualified individual who has not received
a COVID-19 vaccine'' means an individual who--
(A) has voluntarily elected not to receive a COVID-
19 vaccine; and
(B) with or without reasonable modifications to
rules, policies, or practices, including physical
distancing, mask wearing, wearing personal protective
equipment, or undergoing a COVID-related symptom check
meets the essential eligibility requirements for the
receipt of services or the participation in programs or
activities provided by a public entity.
(2) Public entity.--The term ``public entity'' has the
meaning given that term in section 201 of the Americans with
Disabilities Act of 1990 (42 U.S.C. 12131).
SEC. 222. ACCESS TO FEDERAL SERVICES.
(a) Federal Services.--
(1) In general.--No otherwise qualified individual who has
not received a COVID-19 vaccine, shall, solely by reason of her
or his vaccine status, be excluded from the participation in,
be denied the benefits of, or be subjected to discrimination
under any program or activity receiving Federal financial
assistance or under any program or activity conducted by any
Executive agency or by the United States Postal Service.
(2) Regulations.--The head of each such agency shall
promulgate such regulations as may be necessary to carry out
this section.
(3) Program or activity.--In this section the term
``program or activity'' has the meaning given that term in
section 504 of the Rehabilitation Act of 1973 (29 U.S.C. 794).
(b) Petition; Access to Property.--An individual's right to
petition the Federal Government and an individual's right to access
Federal property shall not be affected because the individual is a
qualified individual who has not received a COVID-19 vaccine. Proof of
COVID-19 vaccination shall not be a requirement for access to Federal
property or Federal services, or for access to congressional grounds or
services.
(c) Exception Relating to Admission and Departure of Aliens.--
(1) In general.--Notwithstanding any other provision of
this Act, the Secretary of Homeland Security may request,
require, and collect vaccination records providing evidence of
vaccination for COVID-19, SARS-CoV-2, or any variant of COVID-
19 or SARS-CoV-2 from any alien (as defined in section 101(a)
of the Immigration and Nationality Act (8 U.S.C. 1101(a))
seeking admission to the United States or departing the United
States, to the extent necessary to ensure public health.
(2) Recordkeeping.--The Secretary of Homeland Security may
maintain such evidence of vaccination and any ancillary
documentation for a period the Secretary considers necessary.
(3) Privacy.--Information collected or maintained under
paragraph (1) or (2) may not be transmitted or communicated to
any entity or individual other than an employee of the
Department of Homeland Security designated by the Secretary of
Homeland Security.
(4) Rule of construction.--Nothing in this subsection shall
be construed to provide an alien a right or an enforceable
action relating to the admission of the alien to the United
States or authorization to remain in the United States.
<all>
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