Notice 9 Sep 2025 immigration, information collection, department of justice, regulatory compliance

📄DOJ Notice

The Executive Office for Immigration Review (EOIR), Department of Justice (DOJ), will be submitting the following information collection request (ICR) to the Office of Management and Budget (OMB) for review and approval in accordance with the Paperwork Reduction Act of 1995. The proposed information collection was previously published in the Federal Register on July 2, 2025, allowing a 60-day comment period.

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Rule 9 Sep 2025 economics, reporting and recordkeeping requirements, regulatory compliance, north dakota, wages, labor market trends, administrative practice and procedure, minnesota, government employees, freedom of information, federal wage system

💼Abolishment of Hennepin, MN NAF Wage Area

The Office of Personnel Management (OPM) is issuing a final rule to abolish the Hennepin, Minnesota, nonappropriated fund (NAF) Federal Wage System (FWS) wage area and define most of its counties to the nearest NAF FWS wage areas. Those counties without NAF FWS employment would no longer be defined to a NAF wage area. These changes are necessary because NAF FWS employment in the survey area has been declining, and the local activities no longer have the capability to conduct local wage surveys. This rule also makes correcting amendments related to four prior final rules revising other NAF FWS wage areas.

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Notice 9 Sep 2025 illinois, licensing, nuclear regulatory commission, regulatory compliance, energy, exemption

⚡NRC Issues Exemption for Clinton Power Station License Renewal

The U.S. Nuclear Regulatory Commission (NRC) staff has issued an exemption from the requirement in NRC regulations that would otherwise require the application for renewal of Facility Operating License No. NPF-62 for Clinton Power Station, Unit 1, to be referred to the Advisory Committee on Reactor Safeguards for a review and report, with any report being made part of the record of the application and made available to the public, except to the extent that security classification prevents disclosure.

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Notice 9 Sep 2025 fda, pharmaceutical industry, clinical trials, regulatory compliance, good clinical practice

📊FDA Announces Final Guidance on E6(R3) Good Clinical Practice

The Food and Drug Administration (FDA or Agency) is announcing the availability of a final guidance for industry entitled "E6(R3) Good Clinical Practice." The guidance was prepared under the auspices of the International Council for Harmonisation of Technical Requirements for Pharmaceuticals for Human Use (ICH). The guidance includes a principles document and annex 1 and is the precursory guidance to the draft guidance entitled "E6(R3) Good Clinical Practice: Annex 2." Once complete, the guidance will be composed of a principles document, annex 1, and annex 2. The guidance is intended to outline flexible and modern good clinical practices for conducting clinical trials. Notably, the guidance highlights the importance of quality-by-design, proportionality, and risk-based approaches in conducting clinical trials to ensure safety and reliability of results. The guidance also encourages use of innovative design elements and technology in clinical trials, while avoiding unnecessary complexities. The guidance finalizes the draft guidance of the same title issued on June 7, 2023.

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Notice 9 Sep 2025 infrastructure, regulatory compliance, texas, energy, natural gas

⛽Cheniere Pipeline Extension Request

The Federal Energy Regulatory Commission (FERC) has received a request from Cheniere Corpus Christi Pipeline, LP for an extension to complete its Stage 3 Pipeline Project in Texas. The proposal highlights logistical challenges in construction timelines and outlines requirements for intervention or comments from interested parties to influence the outcome of the extension request.

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Notice 8 Sep 2025 mergers and acquisitions, regulatory compliance, federal reserve, financial services, business growth, bank holding company

🏦Bank Holding Companies

The Federal Reserve notice outlines applications for the formation, acquisition, and mergers of bank holding companies, detailing requirements under the Bank Holding Company Act. Stakeholders can express views on these applications, which will inform public disclosure mechanisms and regulatory compliance, thereby influencing financial strategy and market dynamics for involved institutions.

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Notice 8 Sep 2025 historic preservation, national register, small business, tourism, property value, regulatory compliance

🏛️National Register of Historic Places

The National Park Service is soliciting electronic comments on the significance of properties nominated before July 26, 2025, for listing or related actions in the National Register of Historic Places.

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Notice 8 Sep 2025 postal services, regulatory compliance, business agreements, competitive products, public comments

📦Analysis of New Postal Products by the Postal Regulatory Commission

The Commission is noticing a recent Postal Service filing for the Commission's consideration concerning a negotiated service agreement. This notice informs the public of the filing, invites public comment, and takes other administrative steps.

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Notice 8 Sep 2025 trading, connectivity fees, regulatory compliance, financial services, ltse

💻LTSE Connectivity Fee Schedule Changes Impacting Businesses

The Securities and Exchange Commission has published a notice from the Long-Term Stock Exchange proposing a rule change to establish connectivity fees for cross-connects at various facilities. This amendment affects both members and non-members, marking a shift from previously offered free connectivity to a structured fee schedule aimed at recovering operational costs and ensuring system integrity.

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Notice 8 Sep 2025 24x national exchange, minor violations, securities, sec, financial services, regulatory compliance

📉SEC Declares 24X National Exchange Minor Rule Violation Plan Effective

The SEC has declared effective a Minor Rule Violation Plan proposed by 24X National Exchange LLC. This plan will categorize specific rule violations as minor and allow fines not exceeding $2,500 without formal disciplinary proceedings. The Exchange will provide quarterly reports on any actions taken under this plan.

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