[Senate Report 107-33]
[From the U.S. Government Publishing Office]



                                                        Calendar No. 76
107th Congress                                                   Report
                                 SENATE
 1st Session                                                     107-33

======================================================================



 
MAKING SUPPLEMENTAL APPROPRIATIONS FOR THE FISCAL YEAR ENDING SEPTEMBER 
                    30, 2001, AND FOR OTHER PURPOSES
                                _______
                                

                 June 21, 2001.--Ordered to be printed

                                _______
                                

            Mr. Byrd, from the Committee on Appropriations, 
                        submitted the following

                              R E P O R T

                         [To accompany S. 1077]

    The Committee on Appropriations reports the bill (S. 1077) 
making supplemental appropriations for the fiscal year ending 
September 30, 2001, and for other purposes, reports favorably 
thereon and recommends that the bill do pass.
    The Committee considered the supplemental requests 
contained in the 2002 budget appendix transmitted on April 9, 
2001 (H. Doc. 107-3, volume II), budget estimate No. 5, 
transmitted on June 1, 2001 (H. Doc. 107-80), and budget 
estimate No. 6, transmitted on June 11, 2001 (H. Doc. 107-84).

                   TITLE I--NATIONAL SECURITY MATTERS

                               CHAPTER 1

   Subcommittee on Commerce, Justice, and State, the Judiciary, and 
                            Related Agencies

                         DEPARTMENT OF JUSTICE

                    Radiation Exposure Compensation

         payment to radiation exposure compensation trust fund

2001 appropriation to date..............................     $10,766,000
2001 supplemental estimate..............................................
Committee recommendation................................      84,000,000

    The Committee recommends $84,000,000 for payment to the 
Radiation Exposure Compensation Trust Fund.

                               CHAPTER 2


                        Subcommittee on Defense


                         DEPARTMENT OF DEFENSE


                                Overview

    The Department of Defense has requested supplemental 
appropriations for fiscal year 2001 that total $5,457,700,000. 
The Committee recommends net appropriations of $5,451,700,000, 
a reduction of $6,000,000 to the request. The Committee's 
recommendation is the result of approving fiscal year 2001 
budget authority of $6,243,700,000, to be offset by rescissions 
of $792,000,000.
    Based on a thorough review, the Committee recommends minor 
adjustments to the request. The Committee has determined that, 
in several cases, funds requested could be provided in fiscal 
year 2002 without harm to programs. This enabled the Committee 
to reallocate funds to operations and support programs to help 
minimize shortfalls. For example, the Committee recommends 
increases for building maintenance, spare parts purchases, and 
health care activities for requirements identified by the 
military services. Details about these and all other Committee 
recommendations are provided in the following report.

                           MILITARY PERSONNEL


                                Overview

    The Department requests fiscal year 2001 supplemental 
appropriations of $515,000,000 for the military personnel 
accounts.
    The request includes $116,000,000 to fund several new 
military personnel costs approved in the Floyd D. Spence 
National Defense Authorization Act for Fiscal Year 2001 (Public 
Law 106-398). These newly authorized military pays and 
allowances include: an increase in basic pay rates for 
paygrades E-5, E-6, and E-7 effective July 1, 2001 (NDAA 
Section 602); equitable Basic Allowance for Housing for junior 
enlisted members (NDAA Section 607); special pays for Reserve 
medical and dental officers (NDAA Section 625); and equitable 
Dislocation Allowance for junior enlisted members (NDAA Section 
644).
    In addition, the request includes $210,000,000 to fund the 
Department's decision to improve the survey methodology used to 
determine housing allowances. This improved methodology 
resulted in increases to Basic Allowance for Housing rates, and 
should ensure the quality and safety of off-base housing for 
military members and their families.
    Finally, the request includes $189,000,000 to fund the 
following: increased subsistence costs for the Army; increased 
inactive duty training costs for the Army Reserve; increased 
basic pay rates as a result of pay table reform for the Navy; 
enhanced enlistment and reenlistment bonuses for the Air Force; 
and increased costs of Permanent Change of Station moves 
conducted under the Full Service Moving pilot project for all 
services.
    The Committee recommends supplemental appropriations in the 
military personnel accounts totaling $515,000,000, an amount 
equal to the Department's request. Details of the Department's 
request, and the Committee recommendation, are included in the 
following table:

                           FISCAL YEAR 2001 DOD SUPPLEMENTAL REQUEST AND COMMITTEE RECOMMENDATION--MILITARY PERSONNEL ACCOUNTS
                                                                [In millions of dollars]
--------------------------------------------------------------------------------------------------------------------------------------------------------
                                                                  Army                  Navy          Marine Corps            Air Force
                                                      ------------------------------------------------------------------------------------------  Total
                                                        Active  Reserve   Guard    Active  Reserve   Active  Reserve   Active  Reserve   Guard
--------------------------------------------------------------------------------------------------------------------------------------------------------
Authorized in fiscal year 2001 NDAA (Public Law 106-
 398):
    E-5, E-6, E-7 pay raise (Sec 602)................     29.2      1.9      3.7     25.8  .......      6.7  .......     23.0      1.3      2.1     93.7
    Equitable BAH for junior enlisted (Sec 607)......      3.8      0.2      0.4      4.2  .......      3.3  .......      2.0  .......      0.1     14.0
    Reserve medical and dental special pays (Sec 625)  .......      1.9      1.9  .......  .......  .......  .......  .......      0.7      0.8      5.3
    Equitable Dislocation Allowance for junior         .......  .......  .......  .......  .......  .......  .......      3.0  .......  .......      3.0
     enlisted (Sec 644)..............................
                                                      --------------------------------------------------------------------------------------------------
      Subtotal.......................................     33.0      4.0      6.0     30.0  .......     10.0  .......     28.0      2.0      3.0    116.0
                                                      ==================================================================================================
Improved housing surveys: BAH survey results.........     78.0      6.0  .......     13.0  .......     45.0  .......     59.0  .......      9.0    210.0
                                                      ==================================================================================================
Other:
    Increased subsistence costs......................     28.0  .......  .......  .......  .......  .......  .......  .......  .......  .......     28.0
    Increased inactive duty training.................  .......     42.0  .......  .......  .......  .......  .......  .......  .......  .......     42.0
    Increased basic pay rates as a result of pay       .......  .......  .......     28.0  .......  .......  .......  .......  .......  .......     28.0
     table reform....................................
    Enhanced enlistment and reenlistment bonuses.....  .......  .......  .......  .......  .......  .......  .......     33.0  .......  .......     33.0
    Increased cost of PCS moves (Full Service Move        25.0  .......  .......     13.0  .......     14.0  .......      6.0  .......  .......     58.0
     pilot)..........................................
                                                      --------------------------------------------------------------------------------------------------
      Subtotal.......................................     53.0     42.0  .......     41.0  .......     14.0  .......     39.0  .......  .......    189.0
                                                      ==================================================================================================
      Total..........................................    164.0     52.0      6.0     84.0  .......     69.0  .......    126.0      2.0     12.0    515.0
                                                      ==================================================================================================
      Total by service...............................  .......  .......    222.0  .......     84.0  .......     69.0  .......  .......    140.0    515.0
--------------------------------------------------------------------------------------------------------------------------------------------------------

                        Military Personnel, Army

2001 appropriation to date.............................. $22,175,357,000
2001 supplemental estimate..............................     164,000,000
Committee recommendation................................     164,000,000

    The Department has requested, and the Committee recommends 
approval of, a supplemental appropriation of $164,000,000 for 
increased military personnel costs.

                        Military Personnel, Navy

2001 appropriation to date.............................. $17,772,297,000
2001 supplemental estimate..............................      84,000,000
Committee recommendation................................      84,000,000

    The Department has requested, and the Committee recommends 
approval of, a supplemental appropriation of $84,000,000 for 
increased military personnel costs.

                    Military Personnel, Marine Corps

2001 appropriation to date..............................  $6,833,100,000
2001 supplemental estimate..............................      69,000,000
Committee recommendation................................      69,000,000

    The Department has requested, and the Committee recommends 
approval of, a supplemental appropriation of $69,000,000 for 
increased military personnel costs.

                     Military Personnel, Air Force

2001 appropriation to date.............................. $18,174,284,000
2001 supplemental estimate..............................     126,000,000
Committee recommendation................................     126,000,000

    The Department has requested, and the Committee recommends 
approval of, a supplemental appropriation of $126,000,000 for 
increased military personnel costs.

                        Reserve Personnel, Army

2001 appropriation to date..............................  $2,473,001,000
2001 supplemental estimate..............................      52,000,000
Committee recommendation................................      52,000,000

    The Department has requested, and the Committee recommends 
approval of, a supplemental appropriation of $52,000,000 for 
increased military personnel costs.

                      Reserve Personnel, Air Force

2001 appropriation to date..............................    $971,024,000
2001 supplemental estimate..............................       2,000,000
Committee recommendation................................       2,000,000

    The Department has requested, and the Committee recommends 
approval of, a supplemental appropriation of $2,000,000 for 
increased military personnel costs.

                     National Guard Personnel, Army

2001 appropriation to date..............................  $3,782,536,000
2001 supplemental estimate..............................       6,000,000
Committee recommendation................................       6,000,000

    The Department has requested, and the Committee recommends 
approval of, a supplemental appropriation of $6,000,000 for 
increased military personnel costs.

                  National Guard Personnel, Air Force

2001 appropriation to date..............................  $1,641,081,000
2001 supplemental estimate..............................      12,000,000
Committee recommendation................................      12,000,000

    The Department has requested, and the Committee recommends 
approval of, a supplemental appropriation of $12,000,000 for 
increased military personnel costs.

                       OPERATION AND MAINTENANCE


                                OVERVIEW

    The administration request seeks additional fiscal year 
2001 funding of $2,841,700,000 for operation and maintenance 
activities. In some instances funds are sought to meet the 
unexpected cost of natural gas and utilities at Department of 
Defense bases and installations, the deferred maintenance of 
real property, ships and aircraft. Funds are also sought to 
meet the costs of higher than anticipated consumption of spare 
parts. In other cases the armed services failed to accurately 
price the cost of operating aircraft, overhead at maintenance 
depots, or diverted funds appropriated for base operations to 
other purposes.
    In addition to requesting supplemental funding for routine 
operation and maintenance activities, the Department of Defense 
seeks $36,000,000 to reimburse the armed services for the costs 
of a Presidential directive to draw down equipment and 
supplies, and conduct training in support of the United Nations 
Mission in Sierra Leone. The Committee recommendation does not 
provide funding for these purposes.
    Spare parts funding.--The Committee remains concerned with 
the Department's inability to articulate: the inventory 
requirements for spare parts; the funding levels needed to 
support the training and deployment requirements of the armed 
services; and any meaningful history of the execution of funds 
appropriated for spare parts. The Committee recommendation 
provides funding for the Navy and Air Force flying hour 
program, and spare parts for the Army. The Secretary of Defense 
shall provide the Committee with a complete accounting of any 
supplemental funds appropriated for spare parts. This report 
shall be provided to the Committee no later than October 31, 
2001 and shall detail the funds expended for spare parts, 
allocation of funds by major command and weapons system, cost 
and provider for end items or spares, and any change to Global 
Status of Resources and Training System ratings based on this 
funding.

                                            OPERATION AND MAINTENANCE
----------------------------------------------------------------------------------------------------------------
                                                                 Supplemental      Committee
                            Account                                 Request     Recommendation       Change
----------------------------------------------------------------------------------------------------------------
Army..........................................................    $655,800,000    $784,500,000     +$128,700,000
Navy..........................................................     953,400,000   1,037,900,000       +84,500,000
Marine Corps..................................................      54,400,000      62,000,000        +7,600,000
Air Force.....................................................     853,200,000     824,900,000       -28,300,000
Defense-wide..................................................      93,800,000      62,050,000       -31,750,000
Army Reserve..................................................      20,500,000      20,500,000  ................
                                                                                                     ...........
Navy Reserve..................................................      12,500,000      12,500,000  ................
                                                                                                     ...........
Marine Corps Reserve..........................................       1,900,000       1,900,000  ................
                                                                                                     ...........
Air Force Reserve.............................................      34,000,000      34,000,000  ................
                                                                                                     ...........
Army National Guard...........................................      42,900,000      42,900,000  ................
                                                                                                     ...........
Air National Guard............................................     119,300,000     119,300,000  ................
                                                                                                     ...........
                                                               -------------------------------------------------
      Grand Total.............................................   2,841,700,000   3,002,450,000      +160,750,000
----------------------------------------------------------------------------------------------------------------

                    Operation and Maintenance, Army

2001 appropriation to date.............................. $19,144,431,000
2001 supplemental estimate..............................     655,800,000
Committee recommendation................................     784,500,000

    The Committee recommends appropriations of $784,500,000 for 
operation and maintenance, Army. Supplemental funding of 
$172,800,000 is recommended to fund the increased cost of base 
level utilities, $300,000 for the Department of Defense's 
energy demand reduction program in California, and $214,000,000 
to reduce the current backlog of repair for real property 
maintenance.
    Although the Committee provided adequate resources to fund 
the cost of base operations support for fiscal year 2001, the 
service diverted these funds to other programs. The Committee 
recommends restoring $300,000,000 for base operations support 
to enable the Army to maintain current base level activities 
through the fiscal year. The Committee recommends an additional 
$2,400,000 for the costs of Army activities in East Timor, and 
$30,000,000 for spare parts.
    The Committee directs that supplemental real property 
maintenance funds recommended in the bill shall provide the 
following program:

                        [In thousands of dollars]

                                                               Committee
        Command                                           recommendation

MDW...........................................................     8,018
FORSCOM.......................................................    45,000
EUSA..........................................................    21,000
USARPAC.......................................................    40,000
USAREUR.......................................................    51,712
TRADOC........................................................    16,900
COE...........................................................     1,827
ATEC..........................................................     9,000
AMC...........................................................    15,500
MEDCOM........................................................     5,043
                    --------------------------------------------------------------
                    ____________________________________________________

    Total.....................................................   214,000

    The administration requested a supplemental appropriation 
of $3,000,000 for classified programs in this account. The 
Committee recommends approval of the request.

                    Operation and Maintenance, Navy

2001 appropriation to date.............................. $23,419,360,000
2001 supplemental estimate..............................     953,400,000
Committee recommendation................................   1,037,900,000

    The Committee recommends appropriations of $1,037,900,000 
for operation and maintenance, Navy, $84,500,000 more than the 
administration request. Supplemental funding of $425,000,000 is 
recommended to fund the flying hour program, $37,000,000 to 
fund the increased cost of base level utilities, $14,000,000 
for the Department of Defense's energy demand reduction program 
in California, and $44,000,000 to reduce the current backlog of 
repair for real property maintenance. The Committee recommends 
supplemental funding of $77,000,000 for aircraft depot 
maintenance, and $200,000,000 for ship depot maintenance.
    Supplemental funding of $36,000,000 is recommended to fund 
the Navy's EHIME MARU recovery operations, and $22,000,000 for 
force protection. The Committee recommends an additional 
$20,000,000 for ship depot operations support, and an 
additional $33,500,000 for base operations support.
    The Committee recommends an additional $38,000,000 in 
supplemental funding only for initiatives of the Commander in 
Chief, U.S. Pacific Command such as engagement and exercise 
costs, and command, control, communications and intelligence 
enhancements.
    The administration requested a supplemental appropriation 
of $8,400,000 for classified programs in this account. The 
Committee recommends approval of the request.

                Operation and Maintenance, Marine Corps

2001 appropriation to date..............................  $2,778,758,000
2001 supplemental estimate..............................      54,400,000
Committee recommendation................................      62,000,000

    The Committee recommends appropriations of $62,000,000 for 
operation and maintenance, Marine Corps. Supplemental funding 
of $38,000,000 is recommended to fund the increased cost of 
base level utilities, and $5,400,000 for the Department of 
Defense's energy demand reduction program in California. 
Supplemental funding of $11,000,000 is recommended to fund 
force protection programs. The Committee recommends $2,600,000 
above the administration request for Marine Corps operations in 
East Timor and $5,000,000 for strategic lift in the Pacific.

                  Operation and Maintenance, Air Force

2001 appropriation to date.............................. $22,383,521,000
2001 supplemental estimate..............................     853,200,000
Committee recommendation................................     824,900,000

    The Committee recommends appropriations of $824,900,000 for 
operation and maintenance, Air Force, an amount $28,300,000 
less than the administration request. Supplemental funding of 
$136,200,000 is recommended to fund the increased cost of base 
level utilities, and $4,800,000 for the Department of Defense's 
energy demand reduction program in California.
    Supplemental funding of $418,000,000 is recommended to 
correct the underpricing of the flying hour program, and 
increased consumption of spare parts. Supplemental funding of 
$175,000,000 is recommended to meet increased overhead, labor 
and material costs for aircraft depot maintenance. The 
Committee recommends supplemental funding of $7,000,000 for 
base operations support, and $11,000,000 to fund fully the cost 
of Joint Chiefs of Staff exercises such as Northern Edge. The 
Committee recommends supplemental funding for real property 
maintenance of $16,000,000 to be equally allocated to 
installations within Air Combat Command, Europe and the 
Pacific.
    The Committee recommends supplemental funding of 
$38,500,000 for contractor logistics support, $24,500,000 less 
than the administration request for C-37A and C-40 operating 
costs because these aircraft will not be delivered until the 
second half of fiscal year 2002.
    The administration requested a supplemental appropriation 
of $18,400,000 for classified programs in this account. The 
Committee recommends approval of the request, which includes 
$4,100,000 for the increased cost of operations for COBRA BALL 
aircraft.

                Operation and Maintenance, Defense-wide

2001 appropriation to date.............................. $11,844,480,000
2001 supplemental estimate..............................      93,800,000
Committee recommendation................................      62,050,000

    The Committee recommends appropriations of $62,050,000 for 
operation and maintenance, Defense-wide, an amount $31,750,000 
less than the administration request. Supplemental funding of 
$23,900,000 is recommended to fund the increased cost of base 
level utilities, and $20,000,000 for increased costs to the 
flying hour program of the Special Operations Command.
    The administration requested a supplemental appropriation 
of $35,400,000 for classified programs in this account. The 
Committee recommends approval of $18,150,000. This amount is 
$17,250,000 less than the administration request and is 
addressed in the Classified Annex of this Report.

                Operation and Maintenance, Army Reserve

2001 appropriation to date..............................  $1,562,118,000
2001 supplemental estimate..............................      20,500,000
Committee recommendation................................      20,500,000

    The Committee recommends appropriations of $20,500,000 for 
operation and maintenance, Army Reserve, an amount equal to the 
administration request. Supplemental funding of $13,500,000 is 
recommended to fund the increased cost of utilities at the base 
level, and $7,000,000 for the cost of base operations support.

                Operation and Maintenance, Navy Reserve

2001 appropriation to date..............................    $978,946,000
2001 supplemental estimate..............................      12,500,000
Committee recommendation................................      12,500,000

    The Committee recommends appropriations of $12,500,000 for 
operation and maintenance, Navy Reserve, an amount equal to the 
administration request. Supplemental funding of $5,500,000 is 
recommended to fund the increased cost of utilities at the base 
level, and $7,000,000 for the cost of base operations support.

            Operation and Maintenance, Marine Corps Reserve

2001 appropriation to date..............................    $145,959,000
2001 supplemental estimate..............................       1,900,000
Committee recommendation................................       1,900,000

    The Committee recommends appropriations of $1,900,000 for 
operation and maintenance, Marine Corps Reserve, an amount 
equal to the administration request. Supplemental funding is 
recommended to fund the increased cost of utilities at the base 
level.

              Operation and Maintenance, Air Force Reserve

2001 appropriation to date..............................  $1,903,659,000
2001 supplemental estimate..............................      34,000,000
Committee recommendation................................      34,000,000

    The Committee recommends appropriations of $34,000,000 for 
operation and maintenance, Air Force Reserve, an amount equal 
to the administration request. Supplemental funding of 
$6,000,000 is recommended to fund the increased cost of 
utilities at the base level. Supplemental funding of 
$14,000,000 is recommended to correct the underpricing of the 
flying hour program, and increased consumption of spare parts. 
Supplemental funding of $14,000,000 is recommended to meet 
increasing overhead, labor and material costs for aircraft 
depot maintenance.

             Operation and Maintenance, Army National Guard

2001 appropriation to date..............................  $3,333,835,000
2001 supplemental estimate..............................      42,900,000
Committee recommendation................................      42,900,000

    The Committee recommends appropriations of $42,900,000 for 
operation and maintenance, Army National Guard, an amount equal 
to the administration request. Supplemental funding of 
$13,900,000 is recommended to fund the increased cost of 
utilities at the base level. The Committee recommends 
$10,000,000 in supplemental funding for base operations 
support, and $19,000,000 for real property maintenance.

             Operation and Maintenance, Air National Guard

2001 appropriation to date..............................  $3,474,375,000
2001 supplemental estimate..............................     119,300,000
Committee recommendation................................     119,300,000

    The Committee recommends appropriations of $119,300,000 for 
operation and maintenance, Air National Guard, an amount equal 
to the administration request. Supplemental funding of 
$16,300,000 is recommended to fund the increased cost of 
utilities at the base level. Supplemental funding of 
$93,000,000 is recommended to correct the underpricing of the 
flying hour program, and increased consumption of spare parts. 
Supplemental funding of $10,000,000 is recommended to meet 
increasing overhead, labor and material costs for aircraft 
depot maintenance.

                              PROCUREMENT


                        Other Procurement, Army

2001 appropriation to date..............................  $4,497,009,000
2001 supplemental estimate..............................       3,000,000
Committee recommendation................................       3,000,000

    The Department has requested and the Committee recommends 
approval of a supplemental appropriation of $3,000,000 for 
electrical demand reduction efforts in California.

                   Shipbuilding and Conversion, Navy

2001 appropriation to date.............................. $11,614,633,000
2001 supplemental estimate..............................     222,000,000
Committee recommendation................................     297,000,000

    The Committee recommends $297,000,000 for the shipbuilding 
and conversion, Navy appropriation for increased costs on ships 
currently under construction. This amount is $75,000,000 above 
the request. This addition will cover anticipated costs of on-
going construction on the LPD-17 through the end of the year. 
Without these funds the shipbuilder would be required to 
initiate lay-offs beginning on August 1 of this year. The funds 
for this purpose are reallocated from existing LPD-17 class 
ship funding in the fiscal year 2001 bill. This offset is 
addressed in section 1204.

                    Aircraft Procurement, Air Force

2001 appropriation to date..............................  $7,583,345,000
2001 supplemental estimate..............................      84,000,000
Committee recommendation................................      78,000,000

    The Department has requested a supplemental appropriation 
of $84,000,000 for Aircraft Procurement, Air Force. The 
Committee recommends a supplemental appropriation of 
$78,000,000, a decrease of $6,000,000 to the request.
    C-17 Aircraft.--The Department has requested and the 
Committee recommends approval of a supplemental appropriation 
of $49,000,000 to finance increased C-17 overhead costs.
    B-52 Aircraft.--The Department has proposed to cancel 
$25,100,000 appropriated in fiscal year 2001 to make upgrades 
to 18 attrition reserve B-52 aircraft. The Committee denies 
this request and directs the Department to immediately begin 
the upgrades to the aircraft.
    Classified Programs.--The Committee recommends $29,000,000 
for RC-135 re-engining, as requested in the General Defense 
Intelligence Program, to fund the engine kit and associated 
engineering costs for the final COBRA BALL aircraft requiring 
this upgrade. The Committee recognizes that this will serve to 
match up the re-engining with the scheduled depot maintenance 
period for this aircraft. This is $6,000,000 less than the 
Department's request and this adjustment is addressed in the 
Classified Annex of this Report.

                     Missile Procurement, Air Force

2001 appropriation to date..............................  $2,863,778,000
2001 supplemental estimate..............................................
Committee recommendation................................      15,500,000

    The Administration has requested a supplemental 
appropriation of $15,500,000 for GPS NUDET in the National 
Reconnaissance Program. The Committee recommendation includes 
$15,500,000 for GPS NUDET in Missile Procurement, Air Force. 
The GPS NUDET sensor program has been marked by fragmented 
advocacy and lack of a unified vision, which has plagued the 
development of v-sensor technology for over 3 years. The 
Committee directs the Secretary of Defense to transfer funding 
for GPS NUDET in fiscal year 2001 and the outyears to the Air 
Force. The Committee expects the Air Force, as the executive 
agent for space, to protect the interests of the diverse 
stakeholders who rely on enabling space technology to achieve 
mission success.

                  Procurement of Ammunition, Air Force

2001 appropriation to date..............................    $647,808,000
2001 supplemental estimate..............................      73,000,000
Committee recommendation................................      31,200,000

    The Committee recommends a total increase of $31,200,000 in 
new budget authority for the procurement of training munitions, 
a reduction of $41,800,000 from the Department's supplemental 
appropriations request. The Committee is concerned about the 
Air Force's ammunition budgeting methodologies, as supplemental 
and reprogramming requests are, for some munitions, tenfold 
that of the annual request found in the President's Budget. The 
Committee strongly encourages the Air Force to more accurately 
plan and budget for ammunition needs.

                      Other Procurement, Air Force

2001 appropriation to date..............................  $7,763,747,000
2001 supplemental estimate..............................     162,900,000
Committee recommendation................................     165,650,000

    The Committee recommends approval of a supplemental 
appropriation of $165,650,000 for the ``Other Procurement, Air 
Force'' account.
    California Electrical Demand Reduction.--The Department has 
requested and the Committee recommends approval of a 
supplemental appropriation of $1,200,000 for electrical demand 
reduction efforts in California.
    Classified Programs.--The Department requested a 
supplemental appropriation of $161,700,000 for classified 
programs in this account. The Committee recommends approval of 
$164,450,000. This is $2,750,000 more than the Department's 
request and is addressed in the Classified Annex of this 
Report.

                       Procurement, Defense-wide

2001 appropriation to date..............................  $2,346,258,000
2001 supplemental estimate..............................       5,800,000
Committee recommendation................................       5,800,000

    The Department has requested and the Committee recommends 
approval of a supplemental appropriation of $5,800,000 for the 
``Procurement, Defense-wide'' account. A detailed explanation 
is provided in the Classified Annex of this Report.

               RESEARCH, DEVELOPMENT, TEST AND EVALUATION


            Research, Development, Test and Evaluation, Navy

2001 appropriation to date..............................  $9,494,374,000
2001 supplemental estimate..............................     108,000,000
Committee recommendation................................     123,000,000

    The Department has requested a supplemental appropriation 
of $108,000,000 for ``Research, Development, Test and 
Evaluation, Navy''. The Committee recommends a supplemental 
appropriation of $123,000,000. This is an increase of 
$15,000,000 to the request.
    Joint Experimentation.--The Department requested a 
supplemental appropriation of $15,000,000 for Joint 
Experimentation in Research, Development, Test and Evaluation, 
Defense-Wide. The Committee recommends approval of the request 
and transfers the funding to Navy.
    V-22.--The Department requested and the Committee 
recommends a supplemental appropriation of $80,000,000 for the 
V-22 RDT&E program only for correction of deficiencies, flight 
test and flight test support. To achieve the minimum aircraft 
production levels judged by the Department to be necessary, the 
Committee recommends adjusting the proposed reduction to the 
Marine Corps V-22 procurement program, allowing for purchase of 
11 aircraft. A reduction of $150,000,000 to this program is 
approved instead of the $235,000,000 reduction proposed by the 
Department. For the CV-22 program, the Committee believes that 
deferring all fiscal year 2001 available procurement funding 
until the Department makes significant progress to correct 
deficiencies in the aircraft is prudent. As such, a total cut 
of $363,000,000 to the enacted fiscal year 2001 CV-22 
procurement level is recommended, compared to a reduction of 
$240,000,000 proposed by DOD. A general provision, Sec. 1204, 
is included which incorporates these adjustments.
    Classified Programs.--The Committee recommends as requested 
$28,000,000 for classified programs in this account. These 
programs are addressed in the Classified Annex of this Report.

         Research, Development, Test and Evaluation, Air Force

2001 appropriation to date.............................. $14,138,244,000
2001 supplemental estimate..............................     247,500,000
Committee recommendation................................     227,500,000

    The Department has requested a supplemental appropriation 
of $247,500,000 for ``Research, Development, Test and 
Evaluation, Air Force''. The Committee recommends a 
supplemental appropriation of $227,500,000. This is a decrease 
of $20,000,000 to the request.
    Airborne Laser.--The Department has requested and the 
Committee recommends approval of a supplemental appropriation 
of $153,000,000 for the Airborne Laser.
    Launch Vehicle Demonstration.--The Department has requested 
and the Committee recommends approval of a supplemental 
appropriation of $48,000,000 for a Heavy Lift Demonstration 
Launch for the Evolved Expandable Launch vehicle (EELV) 
program.
    Global Hawk.--The Committee recommends approval of the 
Department's request for a supplemental appropriation of 
$25,000,000 to fund some of the components needed to accelerate 
Global Hawk's development into a U-2 parity platform. These 
improvements will include power upgrades to provide sufficient 
payload power to support multiple intelligence missions and 
engine upgrades to increase engine performance and payload 
capability.
    Small Diameter Bomb.--The Department has requested a 
supplemental appropriation of $20,000,000 for a new program to 
develop a Small Diameter Bomb (SDB). The Committee does not 
recommend approval of this request. The Committee notes that 
$12,000,000 appropriated for this purpose in fiscal year 2001 
is on withhold in the Office of the Secretary of Defense. The 
Committee is concerned that program outlined by the Air Force 
is unexecutable and notes that a contract award before the end 
of the fiscal year is unlikely. The Committee remains 
supportive of this initiative and encourages the Department to 
begin the program with the previously appropriated funds. The 
Committee will consider additional funding for the program 
during consideration of the fiscal year 2002 budget.
    Classified Programs.--The Committee recommends as requested 
$1,500,000 for classified programs in this account. These 
programs are addressed in the Classified Annex of this Report.

        Research, Development, Test and Evaluation, Defense-wide

2001 appropriation to date.............................. $11,157,375,000
2001 supplemental estimate..............................      85,000,000
Committee recommendation................................      35,000,000

    The Committee recommends approval of a supplemental 
appropriation of $35,000,000 for the ``Research, Development, 
Test and Evaluation, Defense-wide'' account.
    Joint Experimentation.--The Department has requested a 
supplemental appropriation for Joint Experimentation. The 
Committee recommends approval of the request in the Research, 
Development, Test and Evaluation, Navy appropriation.
    Classified Programs.--The Department requested a 
supplemental appropriation of $70,000,000 for classified 
programs in this account. Of this amount, the Committee 
recommends approval of $31,000,000. This is $39,000,000 less 
than the Department's request and is addressed in the 
Classified Annex of this Report.
    PIPES.--The Committee recommends $4,000,000 for the Pacific 
Command Imagery Processing Exploitation Segment and an 
offsetting rescission, in section 1204, from the same program 
to make funding available for the current fiscal year.

                     REVOLVING AND MANAGEMENT FUNDS


                     Defense Working Capital Funds

2001 appropriation to date..............................    $916,276,000
2001 supplemental estimate..............................     178,400,000
Committee recommendation................................     178,400,000

    The Committee recommends appropriations of $178,400,000 for 
the Defense Working Capital Fund, an amount equal to the 
administration request. Supplemental funding is recommended to 
fund the increased cost of utilities at the base and 
installation level.

                  OTHER DEPARTMENT OF DEFENSE PROGRAMS


                         Defense Health Program

2001 appropriation to date.............................. $12,117,779,000
2001 supplemental estimate..............................   1,453,400,000
Committee recommendation................................   1,522,200,000

    The Department requests fiscal year 2001 supplemental 
appropriations of $1,453,400,000 for the Defense Health 
Program. The Committee recommends a supplemental appropriation 
of $1,522,200,000, which is $68,800,000 more than the 
supplemental request.

                                OVERVIEW

    The Committee continues to be very concerned with the 
adequacy of funding provided to the Defense Health Program 
(DHP). It is the Committee's view that chronic under funding of 
the DHP has adversely impacted the Military Health System's 
ability to provide a complete, modern, and robust health 
benefit for military members, their families, and military 
retirees.
    The Committee's recommendation represents a significant 
increase of almost 13 percent to the DHP appropriation for 
fiscal year 2001, which continues a distressing trend. Last 
year, the Congress appropriated $1,311,500,000 in emergency 
supplemental funding to cover DHP shortfalls.
    The Committee has identified numerous maladies in the DHP, 
which were explored in depth during the Committee's hearing on 
DOD medical programs earlier this year.
    DHP budgets routinely have artificially low assumptions for 
medical inflation, or have assumed unrealistic cost saving 
wedges which then never materialize. These suppressed budget 
requests inevitably result in large execution year shortfalls, 
which are then partially covered by disrupting planned 
investments, required maintenance, and adequate staffing.
    The system labors under managed care support contracts that 
are poorly structured, unnecessarily complex, and inaccurately 
priced. These contracts have put the Department's managed care 
support contractors at financial risk, and settlement of 
unanticipated claims due under the contracts has been 
tremendously costly.
    Faced with requirements that outstrip resources, the 
Department has adopted the habit of always making the direct 
care system (or military Medical Treatment Facilities) absorb 
the shortfalls. This migration of funds away from military 
hospitals and clinics cripples the very portion of the system 
that, with the proper level of resources and sound investment, 
could be the most cost-effective.
    The Committee expects to receive a fiscal year 2002 DHP 
budget request that addresses these issues, adequately states 
the requirements of the Military Health System, and then fully 
funds those requirements. A fully funded DHP budget would make 
large, execution year supplemental appropriations unnecessary.

                        COMMITTEE RECOMMENDATION

    The Committee recommends funding the Department's request, 
and an additional $68,800,000 for the direct care system and 
military Medical Treatment Facilities. This increase is to 
accommodate additional immediate shortfalls identified to the 
Committee by the service Surgeons General.
    Also, and consistent with the Department's request, the 
Committee recommends an appropriation of $100,000,000 to fund 
increased pharmacy costs experienced in military Medical 
Treatment Facilities as a result of the recently authorized 
pharmacy benefit for Medicare eligible military retirees.
    The Committee recommendation for the Defense Health Program 
is shown in the following table:

----------------------------------------------------------------------------------------------------------------
                                                                 Supplemental      Committee
                             Item                                   Request     Recommendation       Change
----------------------------------------------------------------------------------------------------------------
Direct Care System/Military Medical Treatment Facilities          $151,200,000    $220,000,000      +$68,800,000
 (MTFs).......................................................
Managed Care Support Contracts................................     655,000,000     655,000,000  ................
Other Private Sector Care.....................................     131,300,000     131,300,000  ................
New benefits authorized in fiscal year 2001 NDAA (Public Law       389,500,000     389,500,000  ................
 106-398).....................................................
Increased MTF pharmacy costs for Medicare eligible military        100,000,000     100,000,000  ................
 retirees.....................................................
Increased utilities expense...................................      26,400,000      26,400,000  ................
                                                               -------------------------------------------------
      Total...................................................   1,453,400,000   1,522,200,000       +68,800,000
----------------------------------------------------------------------------------------------------------------

                   OUTCOMES MANAGEMENT DEMONSTRATION

    In the Department of Defense Appropriations Act, 2001 
(Public Law 106-259), the Congress provided $10,000,000 for an 
outcomes management demonstration at the Walter Reed Army 
Medical Center (WRAMC).
    This project will demonstrate new techniques for delivering 
medical care that emphasize prevention and other health 
promotion methods for treating conditions such as diabetes, 
heart disease, chronic viral hepatitis, stroke, and breast 
cancer. By focusing on total patient care, rather than the 
traditional treatment of illness, this demonstration is 
intended to save lives, save resources, and improve health care 
for our military members, their families, and military 
retirees.
    From within the supplemental appropriation provided for the 
Defense Health Program, the Committee directs that $16,000,000 
be made available to continue the outcomes management 
demonstration at WRAMC.

                    GENERAL PROVISIONS--THIS CHAPTER

    Sec. 1201. Fuel Transfer.--The Committee recommendation 
includes a general provision proposed by the administration 
concerning fuel transferred by the Defense Energy Supply Center 
to the Department of the Interior.
    Sec. 1202. Intelligence Activities.--The Committee 
recommendation includes a general provision proposed by the 
administration concerning authorization of intelligence 
activities.
    Sec. 1203. U.S.S. Cole Repair.--The Committee 
recommendation includes a general provision proposed by the 
administration concerning repair of the U.S.S. Cole.
    Sec. 1204. Rescissions.--The Committee recommendation 
includes rescissions of $513,000,000 from the amounts provided 
for procurement of the Navy MV-22 and the Air Force CV-22 tilt-
rotor aircraft programs, $200,000,000 from the Overseas 
Contingency Operations Transfer Fund, $75,000,000 from LPD-
17(AP), and $4,000,000 from Research, Development, Test and 
Evaluation, Defense-wide.
    Sec. 1205. Fort Greely.--The Committee recommendation 
includes a general provision concerning Fort Greely, Alaska.
    Sec. 1206. Maritime Fire Training Centers.--The Committee 
recommendation includes a general provision that makes a 
technical correction to the fiscal year 2001 appropriation for 
Maritime Fire Training Centers.

                               CHAPTER 3


              Subcommittee on Energy and Water Development


                          DEPARTMENT OF ENERGY


                    Atomic Energy Defense Activities


                National Nuclear Security Administration


                           Weapons Activities

2001 appropriation to date..............................  $5,006,153,000
2001 supplemental estimate..............................     140,000,000
Committee recommendation................................     140,000,000

    The Committee recommends an additional appropriation of 
$140,000,000, the amount of the Administration's request, for 
Weapons Activities of the National Nuclear Security 
Administration (NNSA) within the Department of Energy.
    While the Committee has chosen to provide these additional 
appropriations, it remains gravely concerned about the 
Department's ability to produce and certify a pit.
    Further, the Committee is surprised that the Administration 
has chosen not to request any supplemental funding for Weapon's 
Complex infrastructure improvements. In written and oral 
testimony to the Committee this year, the Department repeatedly 
highlighed the safety, morale, and productivity problems that 
crumbling infrastructure is causing the NNSA. However, the 
Administration's request for supplemental appropriations is 
silent on this matter. The Committee hopes and expects that the 
Administration will work with Congress to remedy this 
discrepancy as the fiscal year 2002 funding bill is developed.

                        Directed Stockpile Work

    The Committee recommendation includes $54,000,000 for 
directed stockpile work. The recommendation provides 
$31,100,000 for stockpile research and development; $18,900,000 
for stockpile maintenance; and $4,000,000 for stockpile 
evaluation.

                               Campaigns

    The Committee recommendation includes $24,000,000 for 
campaigns. The recommendation provides $12,000,000 for enhanced 
surveillance; $3,000,000 for advanced design and production 
technologies; $1,800,000 for secondary readiness; $4,000,000 
for pit manufacturing readiness; $1,600,000 for high explosive 
readiness; and $1,600,000 for non-nuclear readiness.

               Readiness in Technical Base and Facilities

    The Committee recommendation includes $62,000,000 for 
readiness in technical base and facilities. The recommendation 
provides $28,100,000 for operation of facilities; $7,500,000 
for program readiness; $12,500,000 for materials recycling and 
recovery; $8,800,000 for containers; and $1,200,000 for 
storage.
    Additionally, the Committee recommendation authorizes two 
projects to progress from preliminiary engineering and design 
work to construction. The new projects are 01-D-107, the Atlas 
Relocation and Operations at the Nevada Test Site; and 01-D-
108, the Microsystems and Engineering Science Applications 
(MESA) Complex Facility at Sandia National Laboratories in New 
Mexico. Consistent with this direction, available funding in 
project 01-D-103, Preliminary Project Design and Engineering, 
is reduced by $13,289,000; project 01-D-107, Atlas Relocation 
and Operations is increased by $7,689,000, of which an 
additional $3,900,000 is provided for Atlas construction in 
order to complete the relocation by fiscal year 2003; and 
project 01-D-108, Microsystems and Engineering Sciences 
Applications (MESA) Complex Facility is increased by 
$9,500,000.

                    Other Defense Related Activities


         Defense Environmental Restoration and Waste Management

2001 appropriation to date..............................  $4,963,533,000
2001 supplemental estimate..............................     100,000,000
Committee recommendation................................      95,000,000

    The Committee recommends an additional appropriation of 
$95,000,000, the amount of the Administration's request, for 
Defense Environmental Restoration and Waste Management.

                      Site and Project Completion

    The Committee recommendation includes $26,500,000 for Site/
Project Completion activities. This recommendation includes 
$3,000,000 for the Pantex Plant Site Remediation Project in 
Texas; $10,000,000 for acceleration of activities under the 
spent nuclear fuels project in Washington; $5,000,000 for 
accelerated deactivation of the Plutonium Finishing Plant in 
Washington; and $8,500,000 for plutonium packaging and 
stabilization project at Savannah River in South Carolina.

                          Post-2006 Completion

    The Committee recommendation includes $68,500,000 for Post-
2006 Completion activities. This recommendation includes 
$7,000,000 for additional shipping containers to support the 
operational capability of the Waste Isolation Pilot Project in 
New Mexico; $10,000,000 for tank waste retrieval engineering 
activities in Washington; $25,000,000 to the Office of River 
Protection to supplement engineering activities and provide 
economies of scale in the procurement of bulk materials 
necessary for the Waste Treatment and Immobilization Plant in 
Washington; $3,300,000 to complete the engineering for the F 
Reactor Safe Storage Roof enclosure in Washington; $6,600,000 
for activities at the H-Tank Farm at the Savannah River site in 
South Carolina; $3,600,000 for activities at the F-Tank Farm at 
Savannah River in South Carolina; $800,000 for high level waste 
removal at the Savannah River Site in South Carolina; and 
$12,200,000 for salt disposition activities at the Savannah 
River Site in South Carolina.

                  Defense Facilities Closure Projects

2001 appropriation to date..............................  $1,080,331,000
2001 supplemental estimate..............................      21,000,000
Committee recommendation................................      21,000,000

    The Committee recommends an additional appropriation of 
$21,000,000, the amount of the Administration's request, for 
defense facility closure projects. These additional funds are 
provided to accelerate the closure of defense environmental 
management sites. This includes construction and acquisition of 
plant and capital equipment, as well as other necessary 
expenses within the Ohio Operations Office.

             Defense Environmental Management Privatization

2001 appropriation to date..............................     $65,000,000
2001 supplemental estimate..............................      29,600,000
Committee recommendation................................      29,600,000

    The Committee recommends an additional appropriation of 
$29,600,000, the amount of the Administration's request, for 
the Defense Environmental Management Privatization program. The 
Committee recommendation provides this amount to accelerate 
construction of the Advanced Mixed Waste Treatment Facility in 
Idaho. It is the Committee's expectation that this supplemental 
appropriation, coupled with adequate funding in fiscal year 
2002, will ensure completion of construction in the fourth 
quarter of fiscal year 2002. The Committee expects retrieval 
operations to begin not later than the first quarter of fiscal 
year 2003.

                        OTHER DEFENSE ACTIVITIES

                    WORKER AND COMMUNITY TRANSITION

2001 appropriation to date..............................    $582,466,000
2001 supplemental estimate..............................................
Committee recommendation................................       5,000,000

    The Committee recommendation includes $5,000,000 for worker 
and community transition. These funds are provided for 
workforce restructuring at the Idaho National Engineering and 
Environmental Laboratory. The funds are provided for financial 
incentives to encourage voluntary separations and to mitigate 
the impact on involuntarily separated workers.

                               CHAPTER 4


                 Subcommittee on Military Construction


                         DEPARTMENT OF DEFENSE


                    Military Construction, Air Force

2001 appropriation to date..............................    $880,268,000
2001 supplemental estimate..............................      18,000,000
Committee recommendation................................      18,000,000

    The Committee recommends an additional $18,000,000 for 
Military Construction, Air Force, to carry out a military 
construction and renovation project at the Masirah Island 
Airfield, Oman.

                          Family Housing, Army

2001 appropriation to date..............................  $1,185,092,000
2001 supplemental estimate..............................      27,200,000
Committee recommendation................................      27,200,000

    The Committee recommends that $27,200,000 be made available 
for Family Housing, Army, for operation and maintenance to pay 
for increases in the cost of utilities during fiscal year 2001.

                 Family Housing, Navy and Marine Corps

2001 appropriation to date..............................  $1,296,860,000
2001 supplemental estimate..............................      20,300,000
Committee recommendation................................      20,300,000

    The Committee recommends that $20,300,000 be made available 
for Family Housing, Navy and Marine Corps, for operation and 
maintenance to pay for increases in the cost of utilities 
during fiscal year 2001.

                       Family Housing, Air Force

2001 appropriation to date..............................  $1,070,474,000
2001 supplemental estimate..............................      18,000,000
Committee recommendation................................      18,000,000

    The Committee recommends that $18,000,000 be made available 
for Family Housing, Air Force, for operation and maintenance. 
Of this amount, $16,700,000 is to be used for increases in the 
cost of utilities during fiscal year 2001. The remaining 
$1,300,000 is to fund a Department of Defense initiative to 
reduce peak demand for electricity in Air Force family housing 
units in California.

             Base Realignment and Closure Account, Part IV

2001 appropriation to date..............................  $1,022,115,000
2001 supplemental estimate..............................       9,000,000
Committee recommendation................................       9,000,000

    The Committee recommends that $9,000,000 be made available 
as requested by the Air Force for environmental clean-up at 
McClellan AFB, California, related to Base Realignment and 
Closure operations.

              TITLE II--OTHER SUPPLEMENTAL APPROPRIATIONS

                               CHAPTER 1

  Subcommittee on Agriculture, Rural Development and Related Agencies

                       DEPARTMENT OF AGRICULTURE

                        Office of the Secretary

    The Committee is seriously concerned by press reports of 
inhumane animal treatment in regard to livestock production and 
slaughter and other activities under the jurisdiction of the 
Department of Agriculture. The Secretary is directed to provide 
a report to the Committee on Appropriations of the House and 
the Senate as soon as possible on activities of the Animal and 
Plant Health Inspection Service, the Food Safety Inspection 
Service, and agencies under the jurisdiction of the Under 
Secretary for Research, Education and Economics regarding 
reported cases of inhumane animal treatment, the response of 
USDA regulatory agencies, and the research, development, and 
promotion of technologies to help reduce the incidence of such 
treatment.

               Animal and Plant Health Inspection Service

                         salaries and expenses

2001 appropriation to date..............................    $529,397,000
2001 supplemental estimate..............................      35,000,000
Committee recommendation................................      35,000,000

    The Committee recommends an additional $35,000,000, as 
requested by the Administration, for salaries and expenses of 
the Animal and Plant Health Inspection Service. These funds are 
to be used for inspections, animal health assessments, 
planning, and other assistance to guard against the threat of 
foreign animal disease.

                          Farm Service Agency


                   AGRICULTURAL CONSERVATION PROGRAM

                              (RESCISSION)

    The Committee recommendation includes a rescission of 
$45,000,000 of unobligated funds remaining in the Agricultural 
Conservation Program. This program was terminated subsequent to 
enactment of the Federal Agriculture Improvement and Reform Act 
of 1996.

                    GENERAL PROVISIONS--THIS CHAPTER

    Sec. 2101. The Committee recommends language that makes a 
technical correction to the Agriculture, Rural Development, 
Food and Drug Administration, and Related Agencies 
Appropriations Act, 2001 (Public Law 106-387) regarding plant 
quarantine facilities.
    Sec. 2102. The Committee recommends language that makes a 
technical correction to the Agriculture, Rural Development, 
Food and Drug Administration, and Related Agencies 
Appropriations Act, 2001 (Public Law 106-387) regarding the 
delivery of rural development programs.
    The Committee does not include a provision, as requested by 
the Administration, to provide $20,000,000 to producers in the 
Klamath Basin. While the Committee is concerned that producers 
in the Klamath Basin are experiencing losses due to adverse 
weather conditions, it is necessary to provide equitable 
treatment to all farmers and ranchers suffering similar losses. 
The Committee requests the Department to prepare an analysis of 
actual and projected crop and livestock losses in 2001 and 
provide a report to the House and Senate Committees on 
Appropriations at the earliest time practicable.

                  MANDATORY LIVESTOCK PRICE REPORTING

    The Committee is aware of proposed changes to the manner in 
which proprietary information is protected under implementation 
of mandatory livestock price reporting. To ensure compliance 
with congressional intent, the Committee directs the Secretary 
to take action as early as possible to provide producers and 
other interested parties with information useful for prudent 
and fact-based market decisions.

                               CHAPTER 2


   Subcommittee on Commerce, Justice, and State, the Judiciary, and 
                            Related Agencies


                         DEPARTMENT OF COMMERCE


            National Oceanic and Atmospheric Administration


                      COASTAL AND OCEAN ACTIVITIES

                         (including rescission)

    The Committee includes bill language to make a technical 
correction to ensure that funds provided for the ACE Basin 
National Estuarine Research Reserve under this heading in 
Public Law 106-553 are provided in the following manner: 
$3,000,000 for construction and $5,000,000 for land 
acquisition.

                        Departmental Management


             Emergency Oil and Gas Guaranteed Loan Program

                              (rescission)

2001 appropriation to date..............................................
2001 supplemental estimate..............................................
Committee recommendation................................   -$110,000,000

    The Committee recommends a rescission of $110,000,000 from 
the Emergency Oil and Gas Loan Guarantee Program.

                             RELATED AGENCY


                     Small Business Administration


                         SALARIES AND EXPENSES

                         (including rescisson)

    The Committee includes bill language to make a technical 
correction to ensure that all funds provided under this heading 
in Public Law 106-553 remain available until expended.

                     BUSINESS LOANS PROGRAM ACCOUNT

                         (including rescission)

    The Committee includes bill language to make a technical 
correction to ensure that all funds provided under this heading 
in Public Law 106-553 remain available until expended.

                    GENERAL PROVISIONS--THIS CHAPTER

    Sec. 2201. The Committee includes bill language to make a 
technical correction to Public Law 106-256 to add two positions 
to the Oceans Commission.
    Sec. 2202. The Committee includes bill language to make a 
technical correction to Public Law 106-554.
    Sec. 2203. The Committee includes bill language making 
minor changes to the American Fisheries Act (AFA) to preserve 
the commercial fishing industry's access to capital financing 
after October 1, 2001. The AFA created new ownership 
requirements for United States fishing vessels, including a 
requirement that financial institutions making loans to fishing 
vessels must be 51 percent U.S. owned and controlled or use a 
mortgage trustee which meets the same standard. However, the 
AFA and its implementing regulations make it too difficult for 
lenders to prove their citizenship. Large lenders (as lenders 
and as mortgage trustees) cannot show that their shareholders 
have U.S. addresses--shares are traded thousands of times a 
day, and it is far too costly to trace shareholder addresses 
through mutual funds. These restrictions also make it 
impossible for lenders to ``syndicate,'' or re-sell, fishing 
industry loans, thereby raising the cost of financing.
    Subsection (a) moves the provisions defining a mortgage 
trustee from chapter 121 of title 46, which provides for vessel 
documentation, to chapter 313, which provides for vessel 
mortgages.
    Subsection (b) expands the class of lenders eligible to 
hold preferred mortgages on fishing vessels to accurately 
reflect the current scope of lenders.
    Subsection (c) provides that mortgage trustees must meet 
the same citizenship requirements as lenders, and allows the 
Secretary to require additional proof that there is no 
impermissible non-citizen control of fishing vessels.
    Subsection (d) delays the effective date of the changes 
made in this section to allow for new regulations.

                               CHAPTER 3


                Subcommittee on the District of Columbia

    The Committee considered the request from the Government of 
the District of Columbia to authorize the use of certified 
additional local revenues totaling $106,677,000. The Committee 
authorizes the District of Columbia to use $104,526,000 of the 
$109,547,000 in additional local revenues to support budget 
authority needed to address budget pressures in fiscal year 
2001. The additional $2,151,000 for the Water and Sewer 
Authority (WASA), an enterprise fund, is supported by its own 
revenue. The additional local revenues and additional WASA 
revenues were certified by the Financial Authority on February 
14, 2001.

                       DISTRICT OF COLUMBIA FUNDS


                   Governmental Direction and Support

2001 appropriation to date..............................    $158,453,000
2001 supplemental estimate..............................       5,400,000
Committee recommendation................................       5,400,000

    The Committee recommends an increase of $5,400,000 from 
local funds to prevent a cost overrun for the District's 
utility costs, due to an 84 percent increase in the price of 
natural gas.

                  Economic Development and Regulation

2001 appropriation to date..............................     $53,557,000
2001 supplemental estimate..............................       1,624,820
Committee recommendation................................       1,624,820

    The Committee recommends an additional increase of 
$1,624,820 from local funds for two programs under this 
appropriation title. A total of $1,000,000 is recommended for 
the Office of Business Services and Economic Development for 
the implementation of the District of Columbia New E-Conomy 
Transformation Act of 2000 to attract and foster growth of 
businesses involved in the development, production, 
distribution and sale of Internet-based and other 
communications technologies. The amount of $624,820 is 
recommended for the Department of Consumer and Regulatory 
Affairs to help fund abatement and condemnation efforts of 
nuisance properties as required under section 5-513 of the D.C. 
Code.

                       Public Safety and Justice


                         (including rescission)

2001 appropriation to date..............................    $596,442,000
2001 supplemental estimate..............................       8,770,000
Committee recommendation................................       8,770,000

    The Committee recommends a net increase of $8,770,000 from 
local funds for several activities within this appropriation 
account. A total of $2,800,000 is recommended for the 
Metropolitan Police Department consisting of $2,000,000 to 
contribute to an arbitration award made to the members of the 
Fraternal Order of Police on April 11, 2000 and $800,000 for 
the Metropolitan Police Department to cover the start-up costs 
of implementing the photo radar contract program. The Committee 
recommends $5,940,000 for the Fire and Emergency Medical 
Services Department consisting of $5,540,000 for back payments 
to compensate firefighters for a delay in implementing the 
program for firefighters to make pre-tax payments for pension 
and health and life insurance benefits, and $400,000 to ease 
budget pressures on implementing the initiative to add a fifth 
firefighter on each truck. The Committee also recommends 
$161,000 to establish the Child Fatality Review Committee as a 
distinct entity within the Office of the Chief Medical 
Examiner. The Committee also recommends the rescission of 
$131,000 to the Taxicab Commission associated with transferring 
three full-time equivalent positions from the District back to 
the Taxicab Commission.

                        Public Education System

2001 appropriation to date..............................  $1,037,127,000
2001 supplemental estimate..............................      13,000,000
Committee recommendation................................      13,000,000

    The Committee recommends an additional $1,000,000 from 
local funds for the D.C. Public Schools and the D.C. Public 
Charter Schools to enter into contracts with firms to perform 
an independent audit of public school enrollment counts and 
residency verifications as required by D.C. Statute. The 
Committee also recommends an additional $12,000,000 from local 
funds for the District of Columbia Public Schools to conduct 
the 2001 summer school session.

                         Human Support Services

2001 appropriation to date..............................    $632,649,000
2001 supplemental estimate..............................      28,000,000
Committee recommendation................................      28,000,000

    The Committee recommends an additional $19,000,000 from 
local funds to address an increase in Medicaid enrollment, of 
which $15,000,000 is for the Medicaid managed care program and 
$4,000,000 for a local match to the disproportionate share to 
hospitals (DSH) program for uncompensated care. The Committee 
recommends $3,000,000 for the Department of Employment Services 
for the Disability Compensation Fund to cover overrun costs for 
the Disability Compensation Fund, $1,000,000 for the Office of 
Latino Affairs for educational program grants to Latino 
community-based organizations, and $5,000,000 for the Children 
Investment Trust to support the non-profit entity, the Children 
and Youth Investment Trust Corporation, to coordinate services 
and disburse funds to community organizations serving children.

                              Public Works

2001 appropriation to date..............................    $262,257,000
2001 supplemental estimate..............................         131,000
Committee recommendation................................         131,000

    The Committee recommends $131,000 from local funds to 
transfer three full-time equivalent employees from the 
Metropolitan Police Department back to the D.C. Taxicab 
Commissions.

                        FINANCING AND OTHER USES


                         Workforce Investments

2001 appropriation to date..............................    $517,670,000
2001 supplemental estimate..............................      40,500,000
Committee recommendation................................      40,500,000

    The Committee recommends $40,500,000 from local funds for 
the District government to cover labor compensation currently 
being renegotiated with collective bargaining units.

                            Wilson Building

2001 appropriation to date..............................    $517,670,000
2001 supplemental estimate..............................       7,100,000
Committee recommendation................................       7,100,000

    The Committee recommends $7,100,000 from local funds for 
the District to cover moving and operating costs to relocate 
various agencies to the John A. Wilson Building.

                       ENTERPRISE AND OTHER FUNDS


                       Water and Sewer Authority

2001 appropriation to date..............................    $230,614,000
2001 supplemental estimate..............................       2,151,000
Committee recommendation................................       2,151,000

    The Committee recommends an additional $2,151,000 from 
Water and Sewer Authority funds for the Water and Sewer 
Authority to cover unanticipated costs associated with 
stormwater administration and implementing a public right-of-
way fee.

                             CAPITAL OUTLAY

    Additionally, the Committee recommends approval of the 
reallocation of $4,850,000 in capital funds from inactive 
projects to renovation and preservation of building projects 
with historical significance. The dormant projects, totaling 
$4,859,080, are: Electrical Modernization-Old Juvenile Court, 
$2,650,000; Asbestos Abatement-Oak Hill Juvenile Court, 
$525,000; Condition Assessments, $159,080; Electrical 
Modernization-Various D.C. Facilities, $1,000,000; Building 
Renovations-Old Juvenile Court, $525,000. The six government 
buildings selected to be renovated, totaling $4,850,000, are: 
Recorder of Deeds at 5th and D Street, N.W., $2,000,000; Old 
Navy Hospital at 921 Pennsylvania Avenue, S.E., $400,000; 
Tivoli Theater at 14th Street and Park Road, N.W., $1,000,000; 
10th Precinct Building at 750 Park Road, N.W., $450,000; Lamond 
Recreation Center, $400,000; Riggs-Lasalle Recreation Center at 
501 Riggs Road, N.W., $400,000. The reallocation also includes 
$200,000 for the program manager.

                    GENERAL PROVISION--THIS CHAPTER

    Sec. 2301. Report by the Mayor. The Mayor of the District 
of Columbia shall provide the House and Senate Committees on 
Appropriations, the Senate Committee on Governmental Affairs 
and the House Committee on Government Reform with 
recommendations relating to the transition of responsibilities 
under Public Law 104-8, the District of Columbia Financial 
Responsibility and Management Act of 1995, at the earliest time 
practicable.

                               CHAPTER 4


              Subcommittee on Energy and Water Development


                      DEPARTMENT OF DEFENSE--CIVIL


                         Department of the Army


                       Corps of Engineers--Civil


                 Flood Control and Coastal Emergencies

2001 appropriation to date..............................................
2001 supplemental estimate..............................     $50,000,000
Committee recommendation................................      50,000,000

    The Committee recommends an additional appropriation of 
$50,000,000, the amount of the Administration's request, for 
the Flood Control and Coastal Emergencies program. The 
Committee shares the Administration's concern both that the 
Fund's balance is inadequate to meet the unanticipated and 
emergency needs that may occur during the remainder of fiscal 
year 2001, and that the practice of reprogramming into the Fund 
is not the most appropriate means to replenish the fund itself. 
Though the Committee has provided these supplemental funds, it 
strongly encourages the Corps to work with the Administration 
to address the future funding needs of this necessary activity.

                          DEPARTMENT OF ENERGY


                            Energy Programs


                  Non-Defense Environmental Management

2001 appropriation to date..............................    $277,200,000
2001 supplemental estimate..............................      11,400,000
Committee recommendation................................      11,400,000

    The Committee recommends an additional appropriation of 
$11,400,000, the amount of the Administration's request, for 
Non-Defense Environmental Management.
    The amount recommended by the Committee includes $1,400,000 
for a study to determine remediation options for clean-up of 
the former Atlas uranium mill tailings site near Moab, Utah; 
and $10,000,000 for clean-up activities at the Brookhaven 
National Laboratory in New York.

             Uranium facilities maintenance and remediation

                          (transfer of funds)

2001 appropriation to date..............................    $392,502,000
2001 supplemental estimate..............................      18,000,000
Committee recommendation................................      18,000,000

    The Committee recommends an additional appropriation of 
$18,000,000 for Uranium Facilities Maintenance and Remediation. 
This recommendation, the amount of the Administration's 
request, is to be derived from the Uranium Enrichment 
Decontamination and Decommissioning Fund.
    The amount recommended by the Committee is provided to 
accelerate clean-up activities at the gaseous diffusion plant 
in Paducah, Kentucky.

                    GENERAL PROVISION--THIS CHAPTER

    Sec. 2401. The Committee has included a provision which 
allows the Bureau of Reclamation to accept prepayment of 
certain obligations.

                               CHAPTER 5


   Subcommittee on Foreign Operations, Export Financing, and Related 
                                Programs


                     BILATERAL ECONOMIC ASSISTANCE


                  AGENCY FOR INTERNATIONAL DEVELOPMENT


                CHILD SURVIVAL AND DISEASE PROGRAMS FUND

                         (including rescission)

2001 appropriation to date..............................    $960,881,000
2001 supplemental estimate..............................................
Committee recommendation:
    Supplemental........................................     100,000,000
    Rescission..........................................     -10,000,000

    The Committee recommends an additional $100,000,000, 
representing an initial United States contribution to a global 
trust fund to combat HIV/AIDS, malaria, and tuberculosis. The 
Committee is concerned that HIV/AIDS has already claimed over 
22,000,000 lives, that there are over 5,000,000 new HIV 
infections annually, and that a multilateral fund is widely 
recognized as urgently needed to leverage substantially greater 
public and private resources to mount an effective response to 
this growing international crisis. The Committee intends that 
in the event that a global trust fund is not established or is 
unable to utilize these funds effectively within a reasonable 
period of time, these funds shall be used to support bilateral 
HIV/AIDS, malaria, and tuberculosis programs administered by 
the Agency for International Development. The Committee also 
recommends a rescission of $10,000,000 from unobligated 
balances of the fiscal year 2001 appropriation for the Child 
Survival and Disease Programs Fund. These funds were 
appropriated in fiscal year 2001 for a United States 
contribution to an international HIV/AIDS fund.

                         ECONOMIC SUPPORT FUND

 2001 appropriations....................................  $2,289,951,000
2001 supplemental estimate..............................     -20,000,000
Committee recommendation................................................

    The Committee recommendation does not include the 
cancellation of $20,000,000 in fiscal year 2000 Economic 
Support Funds (ESF) proposed by the President. The Committee 
notes that there are many foreign assistance programs in Latin 
America, Asia and elsewhere which would be enhanced by the use 
of these funds. The Committee further notes that the ESF 
account is already $55,549,000 below the fiscal year 2000 
enacted level.

                    GENERAL PROVISION--THIS CHAPTER

    Sec. 2501. The Committee has repealed the last proviso of 
section 526 of the Fiscal Year 2000 Foreign Operations, Export 
Financing, and Related Programs Appropriations Act, as amended, 
which earmarked $1,000,000 in Economic Support Fund assistance 
for the Jamestown Foundation. These funds shall be provided 
through the National Endowment for Democracy for rule of law 
and democracy activities consistent with the authority of 
section 526 of Public Law 106-429.

                               CHAPTER 6


           Subcommittee on the Interior and Related Agencies


                       DEPARTMENT OF THE INTERIOR


                         National Park Service


                 Operation of the National Park System

                        (Including Rescissions)

    Language is included in the bill to permit completion of a 
wilderness study at Apostle Islands National Lakeshore, WI by 
the National Park Service. An amount of $200,000 was provided 
in fiscal year 2001 to complete this study. Because the study 
will not be completed until fiscal year 2003, the Committee 
recommends extending the availability of these funds.
    Language is included in the bill to extend the availability 
of funds provided in fiscal year 2001 for maintenance, 
protection and preservation of land in the Minuteman Missile 
National Historic Site, SD. The projects for which $5,000,000 
was made available to the National Park Service, through the 
Air Force operations and maintenance account, cannot be 
completed this fiscal year.

                        Bureau of Indian Affairs


                      Operation of Indian Programs

                     (Including Transfers of Funds)

2001 appropriation to date..............................  $1,738,579,000
2001 supplemental estimate..............................      50,000,000
Committee recommendation................................      50,000,000

    The Committee recommends $50,000,000 for Operation of 
Indian Programs, as requested by the Administration, to allow 
for the repayment by the Bureau of Indian Affairs of funds 
previously borrowed from the land acquisition accounts of the 
Bureau of Land Management, the United States Fish and Wildlife 
Service, and the National Park Service.
    In May 2001, the Secretary of the Interior used transfer 
authority provided in Section 102 of the Fiscal Year 2001 
Interior and Related Agencies Appropriations Act, Public Law 
106-291, to provide a total of $41,000,000 to prevent the 
shutdown of the electric power operations of the San Carlos 
Irrigation Project (SCIP) in Arizona. The transfers are 
expected to cover the cost of power purchases for May through 
the end of August. The additional funds above the amount 
required for reimbursement are to ensure that there are 
sufficient funds to cover the cost of summer power 
requirements. The need for this funding is due to: (1) SCIP's 
regional linkage to the California power market and low western 
reservoirs, which contribute to high electricity prices; (2) 
the lack of alternative power providers in SCIP's service area, 
which leaves certain residents, such as diabetics on dialysis, 
vulnerable to illness or death should power be cut off; and (3) 
the inability of SCIP to obtain funding to purchase power by 
debt financing or other means. The loss of power would have a 
disastrous effect on the economy and human population of south-
central Arizona.
    The Department of the Interior is drafting legislation to 
authorize the divestiture of SCIP assets and the Administration 
hopes to proceed expeditiously. The Committee would encourage 
all parties to work together to make divestiture a top priority 
during the remainder of this congressional session.

                             RELATED AGENCY


                       DEPARTMENT OF AGRICULTURE


                             Forest Service


                  Capital Improvement and Maintenance

                         (Including Rescission)

    Language is included in the bill extending the availability 
of previously appropriated funds for the purpose of road work.

                    GENERAL PROVISIONS--THIS CHAPTER

    Sec. 2601. Authorizes the Bureau of Land Management to 
provide an estimated $168,000 from unobligated balances in its 
land acquisition account for Oregon projects to fund land 
exchanges at Steens Mountain, OR. Amounts appropriated in the 
Fiscal Year 2001 Omnibus Consolidated Appropriations Act for 
land exchanges at Steens Mountain did not fully fund the amount 
necessary to complete the land exchanges authorized in the 
Steens Mountain Cooperative Management and Protection Act.
    Sec. 2602. Corrects a Public Law reference in section 338 
of the Interior and Related Agencies Appropriations Act for 
fiscal year 2001.
    Sec. 2603. Modifies a provision in Public Law 106-558 in 
order to authorize the payment of full overtime rates for fire 
fighters in fiscal year 2001.
    Sec. 2604. Permits the Forest Service to receive 
reimbursement for expenditures for projects that otherwise 
qualify for the use of Federal-aid Highways funds. Emergency 
relief for Federally owned roads is routinely made available to 
the Forest Service in the form of Federal-aid highways funds 
(Department of the Treasury account 12-69X8083). These monies 
provide critical funding for the repair of forest roads made 
necessary by storms, floods, and other natural occurrences. 
However, timely repair work is often needed prior to Federal-
aid Highways funds being made available to the Forest Service 
by the Federal Highway Administration. This time lag in the 
provision of Federal-aid Highways funds necessitates the 
interim use of agency funds, which were budgeted specifically 
for other projects, to complete such repairs. The ability to 
reimburse accounts that were used to fund projects, which would 
otherwise qualify for the use of Federal-Aid Highways funds, is 
necessary to assure that both needed emergency repair work and 
regularly planned, budgeted, and approved projects are 
completed.
    Sec. 2605. Requires that $2,000,000 provided to the Forest 
Service in the Fiscal Year 2001 Appropriations Act be advanced 
as a direct lump sum payment to Ketchikan Public Utilities 
(KPU) in order to clear a right-of-way for the Swan Lake-Lake 
Tyee Intertie. The Committee is concerned that continued delay 
in initiating construction of the Intertie is harmful to the 
economy of Southeast Alaska and fails to promote the clean and 
efficient production of electricity.
    Sec. 2606. Makes Section 122 of Public Law 106-291 
permanent.
    Sec. 2607. Makes permanent Section 351 of Public Law 105-
277 regarding the provision of health care services to Alaska 
Natives.

                               CHAPTER 7


  Subcommittee on Labor, Health and Human Services, and Education and 
                            Related Agencies


                          DEPARTMENT OF LABOR


                 Employment and Training Administration


                    Training and Employment Services

                        (including rescissions)

2001 appropriation to date..............................  $5,670,805,000
2001 supplemental estimate..............................................
Committee recommendation:
    Supplemental........................................      45,000,000
    Rescission..........................................    -262,500,000

    The Committee recommends a supplemental and offsetting 
rescission in response to a reprogramming request submitted by 
the Administration to move $45,000,000 from Youth Opportunity 
Grants ($25,000,000) and Safe Schools/Healthy Students 
($20,000,000) to Youth Activities, both as authorized by the 
Workforce Investment Act and funded in the Department of 
Labor's Training and Employment Services account. The Committee 
does not believe that a reprogramming is the appropriate method 
of moving funds between these programs, most amounts for which 
were stipulated in bill language, nor is a transfer allowable 
in light of the magnitude of the funds involved. The Committee 
does believe that it is appropriate to move the funds, however, 
and in order to respond to the Administration's request, 
provides a supplemental and corresponding rescission in order 
to accomplish the intended purpose. The remaining reprogramming 
action requested by the Administration moving $20,000,000 from 
Incumbent Workers to Responsible Reintegration for Young 
offenders is approved.
    In addition, the Committee recommends rescission of 
$217,500,000 in consideration of high levels of unexpended 
Dislocated Worker Employment Training Activities funds 
resulting from the transition from the Job Training Partnership 
Act to the Workforce Investment Act. Of the amount rescinded, 
$57,500,000 is from the National Reserve and $160,000,000 is 
from the formula program. In order to assure that rescinded 
formula amounts are taken from States with the highest 
unexpended balances, the Committee has included bill language 
to ensure that States that do not have excess unexpended 
balances are not impacted, to the extent possible, by this 
rescission. The bill language permits the Secretary to 
determine the amount of excess unexpended balances based on 
final State reports as of June 30, 2001. It is the intent of 
this bill language to restore, as much as possible, the 
reduction of this rescission to those States that are spending 
on an acceptable basis. The Secretary shall give special 
consideration for funding requests under National Emergency 
Grants from States on behalf of local areas which have expended 
their formula grants and require additional funds to provide 
reemployment assistance to dislocated workers. If startup 
problems are resolved and unexpended balances reduced, the 
Committee will reconsider the program's funding level as part 
of its fiscal year 2002 deliberations. The Committee remains 
strongly supportive of the Workforce Investment Act Dislocated 
Worker program, and intends to carefully monitor the need for 
enhanced job training services, recognizing that at a time of 
economic slowdown, the workforce system will play an even more 
vital role in retraining our workers to compete in the global 
economy.

                DEPARTMENT OF HEALTH AND HUMAN SERVICES


              Health Resources and Services Administration


                     HEALTH RESOURCES AND SERVICES

    The Committee has transferred $1,500,000 from the health 
facilities construction and renovation account to the rural 
health outreach grant program. These funds are to be used to 
support the Children's Health Fund.
    The Committee has included technical language clarifying 
that $900,000 previously appropriated for Northeastern 
University in Boston, Massachusetts is to be used to train 
allied health care professionals to serve in low-income areas.
    The funding previously appropriated for construction and 
renovation of Scripps Memorial East County Hospital in El 
Cajon, California shall be divided equally between Sharps 
Grossmont Hospital, located in San Diego County and El Centro 
Regional Medical Center, located in Imperial County.

                     National Institutes of Health


                          (transfer of funds)

    With the enactment of the National Institute of Biomedical 
Imaging and Bioengineering Establishment Act of 2000, and 
subsequent establishment of the new institute, bill language is 
necessary to allow transfer of funds from the Office of the 
Director, National Institutes of Health to the National 
Institute of Biomedical Imaging and Bioengineering to fund 
activities associated with the program planning and start-up 
activities of the new institute.

       Substance Abuse and Mental Health Services Administration


               Substance Abuse and Mental Health Services

2001 appropriations to date.............................  $2,958,001,000
2001 supplemental estimate..............................................
Committee recommendation................................       6,500,000

    The Committee recommends a supplemental of $6,500,000 for 
St. Elizabeths Hospital. These funds include $5,500,000 for the 
estimated cost of mothballing and stabilization to prevent 
further deterioration of the buildings on the St. Elizabeths 
West Campus during an extended period while excessing, reuse 
planning, and disposition take place. An additional $1,000,000 
will pay for day to day protection and maintenance costs.

                Administration for Children and Families


                   Low Income Home Energy Assistance

2001 appropriation to date..............................  $1,700,000,000
2001 supplemental estimate..............................     150,000,000
Committee recommendation................................     300,000,000

    The Committee recommends an additional $300,000,000 for the 
Low Income Home Energy Assistance Program (LIHEAP). The 
Administration requested a supplemental of $150,000,000. When 
combined with the $1,400,000,000 already appropriated for 
fiscal year 2001, and $300,000,000 in emergency funding which 
had already been utilized, a total of $2,000,000,000 is 
provided in appropriations for fiscal year 2001.
    The additional funding is intended to serve as a reserve to 
provide home energy assistance to low-income households in the 
event of natural disasters or other emergencies. Bill language 
extends availability of the funds until expended.

                Children and Families Services Programs

    The Committee recommends that a technical correction be 
made in the statement of the managers accompanying the 
Departments of Labor, Health and Human Services, and Education 
and Related Agencies Appropriations Act, 2001. Under the 
Administration for Children and Families, the statement 
recommends that $550,000 be made available for an Early 
Childhood Development Center at ``Texas Tech University''. The 
entity receiving the funds should have read ``Texas A&M 
University at Corpus Christi''.

                        DEPARTMENT OF EDUCATION


                            Education Reform

    The Committee recommendation includes bill language which 
makes a technical correction related to a project specified in 
the statement of the managers on the conference report 
accompanying the Departments of Labor, Health and Human 
Services, and Education, and Related Agencies Appropriations 
Act, 2001.

                    Education for the Disadvantaged

              Title I Grants to Local Educational Agencies

2001 appropriation to date..............................  $8,601,721,000
2001 supplemental estimate..............................................
Committee recommendation................................     161,000,000

    The Committee recommendation includes an additional 
$161,000,000 for the Title I grants to local educational 
agencies program. The Administration did not request a 
supplemental appropriation for this program. This supplemental 
appropriation is required to meet the additional program costs 
associated with updated poverty and expenditure data that 
became available in January 2001.
    It is the intent of the Committee that, when taken together 
with the technical correction to the basic grants amount 
included in bill language under this heading, these additional 
resources will result in a final fiscal year 2001 appropriation 
of $7,397,971,000 for basic grants and $1,364,750,000 for 
concentration grants ($8,762,721,000.) The Committee further 
intends that these additional resources will be used to provide 
each State and local educational agency the greater of either 
the amount it would receive at base levels specified in the 
conference report to accompany H.R 4577 under the 100-percent 
hold harmless or what it would receive using the statutory 
formulas. The technical correction made to the appropriation 
for this program and the additional resources made available by 
this supplemental appropriations act shall take effect as if 
included in Public Law 106-554 on the date of its enactment.

                               IMPACT AID

    The Committee recommendation includes bill language which 
requires that $6,000,000 appropriated under this heading for 
construction activities be distributed by the formula 
authorized in section 8007 of the Elementary and Secondary 
Education Act, as in effect on September 30, 2000. The 
remaining appropriation of $6,802,000 for construction 
activities should be used in accordance with the language under 
this heading in the statement of the managers on the conference 
report accompanying the Departments of Labor, Health and Human 
Services, and Education and Related Agencies Appropriations 
Act, 2001.

                           SPECIAL EDUCATION

    The Committee recommendation includes bill language which 
makes a technical correction related to a project specified in 
the statement of the managers on the conference report 
accompanying the Departments of Labor, Health and Human 
Services, and Education, and Related Agencies Appropriations 
Act, 2001.

            EDUCATION RESEARCH, STATISTICS, AND IMPROVEMENT

    The Committee recommendation includes bill language which 
makes technical corrections related to the amount of funding 
available for projects specified in the statement of the 
managers on the conference report accompanying the Departments 
of Labor, Health and Human Services, and Education, and Related 
Agencies Appropriations Act, 2001. The Committee recommendation 
also includes bill language which makes a technical correction 
related to a project specified in the statement of the 
managers.

                    GENERAL PROVISION--THIS CHAPTER

    Sec. 2701. The Committee has included bill language to 
clarify the intent of the Congress with regard to funding 
provided pursuant to section 117 of the Carl D. Perkins 
Vocational and Technical Education Act of 1998 (Perkins III). 
Funding available for this section is intended to be provided 
only to tribal colleges that do not receive Federal support 
under the Tribally Controlled Community College or University 
Assistance Act of 1978 or the Navajo Community College Act and 
whose primary purpose is to provide full-time technical and 
vocational educational programs to American Indian students. 
This language is necessary due to the Administration's new 
interpretation of this provision of the Perkins Act.

                               CHAPTER 8


                 Subcommittee on the Legislative Branch


                           LEGISLATIVE BRANCH


                        HOUSE OF REPRESENTATIVES


                         Salaries and Expenses

2001 appropriation to date..............................    $768,497,000
2001 supplemental estimate..............................      61,662,000
Committee recommendation................................................

    The Committee has deferred without prejudice, the request 
of $61,662,000 for the House of Representatives Salaries and 
Expenses.

                          OFFICE OF COMPLIANCE


                         Salaries and Expenses

2001 appropriation to date..............................      $1,816,000
2001 supplemental estimate..............................          35,000
Committee recommendation................................          35,000

    The Committee recommends the request of $35,000 for the 
Office of Compliance. These funds are needed owing to an 
unforeseen controversy involving almost 400 covered employees, 
each of whom is entitled to counseling and mediation services 
under section 403 of the Congressional Accountability Act. The 
amount includes $45,000 for mediation services, offset by 
decreases of $8,000 in supplies and $2,000 in rent, 
communications and utilities. Without the supplemental 
appropriation, the Office of Compliance could be forced to stop 
all contracted health and safety inspections for the balance of 
the fiscal year.

                        ARCHITECT OF THE CAPITOL

    The Committee notes that the Architect of the Capitol (AOC) 
has requested authority to increase the level of compensation 
for the Architect and certain key AOC staff. The Committee 
believes that, before approving such a request, a general 
management review of the AOC operations would be helpful in 
evaluating and determining appropriate levels of compensation 
for AOC management. This management review should include an 
overall assessment of the agency's organizational structure, 
strategic planning, skills, staffing, systems, accountability 
reporting, and execution of its statutory and assigned 
responsibilities. The Committee directs that the General 
Accounting Office (GAO) lead this review, in consultation and 
coordination with the Architect of the Capitol, building upon 
earlier management reviews, and consider best practices in its 
evaluation and recommendations. The GAO report should include 
recommendations for enhancing the overall effectiveness and 
efficiency of AOC operations along with recommendations as to 
how to implement such improvements. GAO should report the 
results of its review to the House and Senate Committees on 
Appropriations, the Committee on House Administration, and the 
Senate Committee on Rules and Administration no later than 
April, 2002.

                       GOVERNMENT PRINTING OFFICE


                   Congressional Printing and Binding

2001 appropriation to date..............................     $71,305,000
2001 supplemental estimate..............................       9,900,000
Committee recommendation................................       9,900,000

    The Committee recommends the budget request of $9,900,000 
for Congressional printing and binding. These funds will 
replenish a shortfall in the Congressional Printing and Binding 
appropriation based on work requirements in fiscal year 2000.

               Government Printing Office Revolving Fund

2001 appropriation to date..............................................
2001 supplemental estimate..............................      $6,000,000
Committee recommendation................................       6,000,000

    The Committee recommends the budget request of $6,000,000 
for the GPO revolving fund. These funds are needed to cover the 
cost of improvements to GPO's air conditioning and lighting 
systems. The chillers used in the air conditioning system are 
in critical need of replacement and are at a high risk of 
failure.

                       GENERAL ACCOUNTING OFFICE


                         Salaries and Expenses

2001 appropriation to date..............................    $387,020,000
2001 supplemental estimate..............................       2,600,000
Committee recommendation................................................

    The Committee does not recommend $2,600,000 for GAO's 
responsibilities under the Truth in Regulating Act of 2000. The 
Committee does not believe initiating this program is an urgent 
need at this time.

                    GENERAL PROVISIONS--THIS CHAPTER

    Sec. 2801. The Committee recommends a provision authorizing 
one consultant for the President pro tempore emeritus.
    Sec. 2802. The Abraham Lincoln Bicentennial Commission Act 
is amended to shift the role of providing administrative 
support to the Commission from the General Services 
Administration to the Library of Congress, and to clarify that 
the anticipated support services include disbursing Commission 
funds and computing and disbursing the pay of Commission 
personnel. The particular services to be rendered will be 
specified in an agreement between the Commission and the 
Library established under the Economy Act, 31 U.S.C. 1535.

                               CHAPTER 9


          Subcommittee on Transportation and Related Agencies


                      DEPARTMENT OF TRANSPORTATION


                              Coast Guard


                           Operating Expenses

2001 appropriation to date..............................  $3,185,033,000
2001 supplemental estimate..............................      92,000,000
Committee recommendation................................      92,000,000

    The Committee recommendation includes an additional 
$92,000,000 for Coast Guard operating expenses for fiscal year 
2001, the same as the Administration's request. These funds are 
provided to compensate the Coast Guard for higher-than-expected 
military pay and entitlement costs, energy costs, aviation 
maintenance expenditures, and costs associated with the 
deployment of a Port Security Unit (PSU) to the Middle East. In 
order to cover these costs, the Coast Guard has been required 
to divert funding from aircraft and vessel maintenance 
activities as well as critical unit level operations including 
fisheries enforcement patrols. The funds provided will be used 
to restore these activities. The Committee understands that the 
deployment of the PSU, which will conclude at the end of June, 
has resulted in a degradation of funding available for these 
critical unit level operations. The Committee understands that 
no additional deployments will take place for this mission 
within this fiscal year except through reimbursable agreement. 
Consistent with the Administration's request, an additional 
$6,000,000 is provided in Title I of this bill to compensate 
the Coast Guard for TRICARE contract price adjustments.

                     Federal Highway Administration


                          Federal-Aid Highways

                          (Highway Trust Fund)

                 (Rescission of Contract Authorization)

2001 appropriation to date..............................................
2001 supplemental estimate..............................................
Committee recommendation................................  (-$10,000,000)

    The Committee recommendation includes a rescission of 
contract authority totaling $10,000,000 from funds authorized 
to be appropriated in surface transportation legislation 
enacted in June 1975 (Public Law 94-280), March 1978 (Public 
Law 95-599), April 1982 (Public Law 97-424) and January 1987 
(Public Law 100-17). These funds are to be derived from 
individual surface transportation projects that have been 
completed but have small amounts of unspent contract authority 
remaining.

                    GENERAL PROVISION--THIS CHAPTER

    Sec. 2901. The Committee recommendation includes a 
provision clarifying the use of funds appropriated for fiscal 
years 1999 and 2000 for bus and bus-related facilities within 
the State of New Mexico.

                               CHAPTER 10


            Subcommittee on Treasury and General Government


                       DEPARTMENT OF THE TREASURY


                          Departmental Offices


                         Salaries and Expenses

                     (including transfer of funds)

2001 appropriation to date..............................    $162,381,000
2001 supplemental estimate..............................      60,601,000
Committee recommendation................................      59,956,000

    The Committee recommends an appropriation of $59,956,000 to 
reimburse any agency of the Department of the Treasury or other 
Federal agency for costs associated with providing operational 
and perimeter security at the 2002 Winter Olympics in Salt Lake 
City, Utah. The Committee understands that the departments and 
agencies estimate their reimbursement costs to be as follows: 
Department of the Treasury, Bureau of Alcohol, Tobacco and 
Firearms, $10,523,000; U.S. Customs Service, $18,744,000; 
United States Secret Service, $19,530,000; Financial Crimes 
Enforcement Network, $58,000; Internal Revenue Service, 
$2,729,000; Treasury Office of Enforcement, $40,000; Treasury 
Inspector General for Tax Administration, $334,000; Department 
of Agriculture, U.S. Forest Service, $1,300,000; Department of 
Interior, National Park Service, $1,300,000; U.S. Bureau of 
Land Management, $312,000; U.S. Fish and Wildlife Service, 
$195,000; Department of Justice, $4,891,000. The Committee 
requests notification prior to any modifications in the 
proposed spending plan.

                      Financial Management Service


                         Salaries and Expenses

2001 appropriation to date..............................    $206,396,000
2001 supplemental estimate..............................      49,576,000
Committee recommendation................................      49,576,000

    The Committee recommends an appropriation of $49,576,000 
for the Financial Management Service to implement a tax rate 
reduction credit as specified in section 101 of the Economic 
Growth and Tax Relief Reconciliation Act of 2001. The funding 
supports the purchase of check stock and other related paper 
supplies, as well as postage and other costs associated with 
processing and mailing tax rate reduction credit checks to 
taxpayers.

                        Internal Revenue Service


                 Processing, Assistance, and Management

2001 appropriation to date..............................  $3,601,474,000
2001 supplemental estimate..............................      66,200,000
Committee recommendation................................      66,200,000

    The Committee recommends an appropriation of $66,200,000 
for the Internal Revenue Service to implement a tax rate 
reduction credit as specified in section 101 of the Economic 
Growth and Tax Relief Reconciliation Act of 2001. The funding 
supports advance mailings to taxpayers of the tax rate 
reduction credit schedule as well as related customer service 
and account reconciliation activities.

                    GENERAL PROVISION--THIS CHAPTER

    Sec. 21001. The Committee recommendation includes a 
technical correction to Section 413 of H.R. 5658, as 
incorporated by reference in Public Law 106-554, designating 
the recently-completed classroom building constructed at the 
Core Campus of the Federal Law Enforcement Training Center in 
Glynco, Georgia, as the ``Paul Coverdell Building''.

                               CHAPTER 11


Subcommittee on Veterans Affairs and Housing and Urban Development, and 
                          Independent Agencies


                     DEPARTMENT OF VETERANS AFFAIRS


                    Veterans Benefits Administration


                       COMPENSATION AND PENSIONS

2001 appropriation to date.............................. $22,766,276,000
2001 supplemental estimate..............................     589,413,000
Committee recommendation................................     589,413,000

    The Committee supports a $589,413,000 increase in the 
statutory limit of $22,766,276,000 to assure payment to 
veterans and their families of mandatory disability 
compensation and pension benefits enacted in law after the 2001 
Appropriations Act. Absent this adjustment, there may be 
insufficient funds to pay all of these mandatory benefits for 
the remainder of the current fiscal year.
    Of the increased amount provided, $523,000,000 is provided 
for the 3.5 percent benefit increase for veterans with service-
connected disabilities and survivors of certain disabled 
veterans required in the Veterans Compensation Cost-of-Living 
Adjustment Act of 2000 (Public Law 106-413); $12,000,000 is 
provided to meet the additional benefit costs of program 
enhancements afforded under the Veterans Benefits and Health 
Care Improvement Act of 2000 (Public Law 106-419); $17,000,000 
is provided for the costs arising from the addition of diabetes 
to the list of diseases covered in the Agent Orange Act of 1991 
(Public Law 102-4); and $38,000,000 is provided for rate 
adjustments authorized in the Omnibus Consolidated 
Appropriations Act, 2000 (Public Law 106-554) due to the 
Consumer Price Index computation error of 1999.

                         READJUSTMENT BENEFITS

2001 appropriation to date..............................  $1,634,000,000
2001 supplemental estimate..............................     347,000,000
Committee recommendation................................     347,000,000

    The Committee supports a $347,000,000 increase in the 
statutory limit of $1,634,000,000 to assure payment of 
mandatory increases in Montgomery GI Bill (MGIB) and related 
benefits enacted in law after the 2001 Appropriations Act. 
Absent this adjustment, there may be insufficient funds to pay 
all of these mandatory benefits for the remainder of the 
current fiscal year.
    The Floyd D. Spence National Defense Authorization Act for 
fiscal year 2001 (Public Law 106-419) expanded educational and 
related assistance programs for active-duty personnel, 
veterans, and their families. Of the increased amount provided 
to assure payment of: a 21 percent increase in the basic full-
time education monthly benefit rates under MGIB from $552 to 
$650, which became effective November 1, 2000; an increase in 
monthly rates for survivors and dependents education assistance 
from $485 to $588, which became effective November 1, 2000; and 
a change allowing up to $2,000 per person for licensing and 
certification testing under MGIB, which became effective March 
1, 2001.

                     Veterans Health Administration


                    MEDICAL AND PROSTHETIC RESEARCH

    The Committee recognizes that the VA research program must 
undertake a certain level of travel to properly optimize the 
function of this worthwhile program and agrees to increase the 
current understated fiscal year 2001 travel limitation of 
$2,500,000 to $3,500,000.

                      Departmental Administration


                       GENERAL OPERATING EXPENSES

                          (Transfer of Funds)

2001 appropriation to date.............................. $1,047,690,000 
2001 supplemental estimate..............................    (19,000,000)
Committee recommendation................................    (19,000,000)

    The Committee is supportive of VBA's efforts to solve the 
mounting claims problem by hiring and training additional 
claims adjudicators immediately. Due to enactment of the 
Veterans Claims Assistance Act of 2000 (Public Law 106-475) and 
the addition of diabetes to the list of diseases associated 
with exposure to certain herbicide agents, as provided by the 
Agent Orange Act of 1991 (Public Law 102-4), more than 450,000 
claims would be added to the processing workload. Pending 
workloads and processing timeliness would degrade to 
unacceptable levels without the ability to hire and train 
personnel in 2001 to process this additional workload.
    The Committee therefore agrees to transfer not more than 
$19,000,000 from Medical Care to General Operating Expenses 
(GOE) to provide funding for additional operating expenses for 
claims processing in the VBA. These funds will assist in the 
hiring and training of approximately 400 personnel. The 
Committee also agrees to increase the travel limitation in 
fiscal year 2001 by $3,500,000 more than originally requested 
to support training efforts. The new GOE travel limitation 
would be $17,500,000 for fiscal year 2001.

              DEPARTMENT OF HOUSING AND URBAN DEVELOPMENT


                   Community Planning and Development


                       COMMUNITY DEVELOPMENT FUND

                         (Including Rescission)

    The Committee includes bill language that makes a 
correction to the Community Development Fund account in Public 
Law 106-377 to make all funds, except for the funds that 
support the costs associated with section 108 loan guarantees, 
available for obligation through September 30, 2003.
    The Committee also includes bill language to make a 
technical correction to clarify the allowable use of $350,000 
previously appropriated for Rio Arriba County, New Mexico.

                     Federal Housing Administration


             FHA--Mutual Mortgage Insurance Program Account

                          (Transfer of Funds)

2001 appropriation to date..............................   $330,160,000 
2001 supplemental estimate..............................     (8,000,000)
Committee recommendation................................     (8,000,000)

    The Committee recommendation includes bill language to 
allow the Department of Housing and Urban Development (HUD) to 
use fiscal year 2001 funds for a corrective action in response 
to a probable fiscal year 2000 violation of the Anti-Deficiency 
Act which occurred during the prior HUD Administration. The 
proposed language would not provide any additional resources to 
correct the deficiency, but grant HUD flexibility to pay the 
obligation and accrued interest using funds appropriated to 
both FHA administrative accounts and to the HUD general 
salaries and expense account.

             FHA--General and Special Risk Program Account

2001 appropriation to date..............................    $101,000,000
2001 supplemental estimate..............................      40,000,000
Committee recommendation................................................

    The Committee includes bill language to remove limitations 
from the $40,000,000 in credit subsidy previously appropriated 
in Public Law 106-554, rather than providing an additional 
appropriation as proposed by the Administration. The 
Committee's recommendation will allow FHA to resume guarantees 
of all multi-family loans meeting underwriting criteria through 
the remainder of this fiscal year.
    The Committee also recommends that the Department of 
Housing and Urban Development (HUD) apportion these funds to 
remain available for the remainder of the year and to allocate 
no more than 10 percent of these funds for section 221(d)(3) 
projects. The Committee notes that HUD has experienced unusual 
growth in this program in the past year that is not consistent 
with the historical average for this program. The Committee is 
concerned that unusual growth in the 221(d)(3) program may 
limit the availability of funds for other multi-family 
programs. Therefore, the Committee recommends a limitation to 
ensure that the administration of the credit subsidy program is 
consistent with past patterns and practices.

                          INDEPENDENT AGENCIES


                    Environmental Protection Agency


                   State and Tribal Assistance Grants

    The Committee includes bill language to make a technical 
correction to clarify the allowable use of $1,000,000 
previously appropriated for Beloit, Wisconsin.

             National Aeronautics and Space Administration


                           HUMAN SPACE FLIGHT

    The Committee has included bill language to remove a 
restriction placed on previously appropriated funds to cover 
the costs of conducting scientific research aboard Shuttle 
mission STS-107. The fiscal year 2000 Department of Veterans 
Affairs, Housing and Urban Development Appropriations Act 
(Public Law 106-74) provided $40,000,000 in the Human Space 
Flight account for Shuttle mission R-2, dedicated to life and 
micro-gravity science. However, NASA has been forced to delay 
the proposed R-2 mission due to delays in overhauling the 
Shuttle Columbia and the need to conduct the Hubble Telescope 
servicing mission.
    The language included by the Committee would broaden the 
use of the R-2 funds allowing for life and micro-gravity 
research on STS-107 with the remainder dedicated for Space 
Station research in fiscal year 2001. The Committee expects 
NASA to consult with the Congress on options for the research 
planned for the R-2 mission in the broader context of the 
future funding required to support Space Station research.

                     TITLE III--GENERAL PROVISIONS

    Sec. 3001. The Committee also recommends language limiting 
the availability of funds in the bill to the current fiscal 
year unless otherwise expressly provided.
    Sec. 3002. The Committee has included language providing an 
additional $1,700,000 for the U.S.-China Security Review 
Commission. This will enable the Commission to be fully staffed 
through calendar year 2002 and will provide for necessary 
administrative support costs.

  COMPLIANCE WITH PARAGRAPH 7, RULE XVI OF THE STANDING RULES OF THE 
                                 SENATE

    Paragraph 7 of rule XVI requires that Committee reports on 
general appropriations bills identify, with particularity, each 
Committee amendment to the House bill ``which proposes an item 
of appropriation which is not made to carry out the provisions 
of an existing law, a treaty stipulation, or an act or 
resolution previously passed by the Senate during that 
session.''
    The accompanying bill contains the following items which 
lack authorization:
    In title I:
          Chapter 2: Department of Defense, $5,824,700,000.
          Chapter 4: Department of Defense: Military 
        Construction, Air Force, $18,000,000.
    In title II:
          Chapter 7: Department of Education: Education for the 
        Disadvantaged, $161,000,000.
          Chapter 9: Department of Transportation: Coast Guard, 
        operating expenses, $92,000,000.

 COMPLIANCE WITH PARAGRAPH 12, RULE XXVI OF THE STANDING RULES OF THE 
                                 SENATE

    Paragraph 12 of rule XXVI requires that Committee reports 
on a bill or joint resolution repealing or amending any statute 
or part of any statute include ``(a) the text of the statute or 
part thereof which is proposed to be repealed; and (b) a 
comparative print of that part of the bill or joint resolution 
making the amendment and of the statute or part thereof 
proposed to be amended, showing by stricken-through type and 
italics, parallel columns, or other appropriate typographical 
devices the omissions and insertions which would be made by the 
bill or joint resolution if enacted in the form recommended by 
the committee.''
    In compliance with this rule, the following changes in 
existing law proposed to be made by the bill are shown as 
follows: existing law to be omitted is enclosed in black 
brackets; new matter is printed in Italics; and existing law in 
which no change is proposed is shown in Roman.

                        TITLE 2--THE CONGRESS

           *       *       *       *       *       *       *



       CHAPTER 4--OFFICERS AND EMPLOYEES OF SENATE AND HOUSE OF 
                           REPRESENTATIVES

           *       *       *       *       *       *       *



SEC. 61H-6. APPOINTMENT OF CONSULTANTS BY MAJORITY LEADER, MINORITY 
                    LEADER, SECRETARY OF SENATE, AND LEGISLATIVE 
                    COUNSEL OF SENATE; COMPENSATION

    (a) The Majority Leader and the Minority Leader, are each 
authorized to appoint and fix the compensation of not more than 
four individual consultants, on a temporary or intermittent 
basis, at a daily rate of compensation not in excess of the per 
diem equivalent of the highest gross rate of annual 
compensation which may be paid to employees of a standing 
committee of the Senate. The President pro tempore of the 
Senate is authorized to appoint and fix the compensation of one 
consultant, on a temporary or intermittent basis, at a daily 
rate of compensation not in excess of that specified in the 
first sentence of this subsection. The President pro tempore 
emeritus of the Senate is authorized to appoint and fix the 
compensation of one individual consultant, on a temporary or 
intermittent basis, at a daily rate of compensation not in 
excess of that specified in the first sentence of this 
subsection. The Secretary of the Senate is authorized to 
appoint and fix the compensation of not more than two 
individual consultants, on a temporary or intermittent basis, 
at a daily rate of compensation not in excess of the per diem 
equivalent of the highest gross rate of annual compensation 
which may be paid to employees of a standing committee of the 
Senate. The Legislative Counsel of the Senate (subject to the 
approval of the President pro tempore) is authorized to appoint 
and fix the compensation of not more than two consultants, on a 
temporary or intermittent basis, at a daily rate of 
compensation not in excess of that specified in the first 
sentence of this section. The provisions of sections 8344 and 
8468 of title 5 shall not apply to any individual serving in a 
position under this authority. Expenditures under this 
authority shall be paid from the contingent fund of the Senate 
upon vouchers approved by the President pro tempore, President 
pro tempore emeritus, Majority Leader, Minority Leader, 
Secretary of the Senate, or Legislative Counsel of the Senate, 
as the case may be.
    (b) Any or all appointments under this section may be at an 
annual rate of compensation rather than at a daily rate of 
compensation, but such annual rate shall not be in excess of 
the highest gross rate of annual compensation which may be paid 
to employees of a standing committee of the Senate.

           *       *       *       *       *       *       *


                          TITLE 46--SHIPPING

           *       *       *       *       *       *       *



                   Subtitle II--Vessels and Seamen

           *       *       *       *       *       *       *



                   Part H--Identification of Vessels


                CHAPTER 121--DOCUMENTATION OF VESSELS

           *       *       *       *       *       *       *



SEC. 12102. VESSELS ELIGIBLE FOR DOCUMENTATION

           *       *       *       *       *       *       *


    (c)(1) * * *
    (2) * * *

           *       *       *       *       *       *       *

            (B) shall not include the right to simply 
        participate in the activities under subparagraph (A), 
        [or the use by a mortgagee under paragraph (4) of loan 
        covenants approved by the Secretary.] or the exercise 
        of rights under loan or mortgage covenants by a 
        mortgagee eligible to be a preferred mortgagee under 
        section 31322(a) of this title, provided that a 
        mortgagee not eligible to own a vessel with a fishery 
        endorsement may only operate such a vessel to the 
        extent necessary for the immediate safety of the vessel 
        or for repairs, drydocking or berthing changes.
    (3) A fishery endorsement for a vessel that is chartered or 
leased to an individual who is not a citizen of the United 
States or to an entity that is not eligible to own a vessel 
with a fishery endorsement and used as a fishing vessel shall 
be invalid immediately upon such use.
    [(4)(A) An individual or entity that is otherwise eligible 
to own a vessel with a fishery endorsement shall be ineligible 
by reason of an instrument or evidence of indebtedness, secured 
by a mortgage of the vessel to a trustee eligible to own a 
vessel with a fishery endorsement that is issued, assigned, 
transferred or held in trust for a person not eligible to own a 
vessel with a fishery endorsement, unless the Secretary 
determines that the issuance, assignment, transfer, or trust 
arrangement does not result in an impermissible transfer of 
control of the vessel and that the trustee -
            [(i) is organized as a corporation, and is doing 
        business, under the laws of the United States or of a 
        State;
            [(ii) is authorized under those laws to exercise 
        corporate trust powers;
            [(iii) is subject to supervision or examination by 
        an official of the United States Government or a State;
            [(iv) has a combined capital and surplus (as stated 
        in its most recent published report of condition) of at 
        least $3,000,000; and
            [(v) meets any other requirements prescribed by the 
        Secretary.
    [(B) A vessel with a fishery endorsement may be operated by 
a trustee only with the approval of the Secretary.
    [(C) A right under a mortgage of a vessel with a fishery 
endorsement may be issued, assigned, or transferred to a person 
not eligible to be a mortgagee of that vessel under section 
31322(a)(4) of this title only with the approval of the 
Secretary.
    [(D) The issuance, assignment, or transfer of an instrument 
or evidence of indebtedness contrary to this paragraph is 
voidable by the Secretary.]
    [(5)] (4) The requirements of this subsection shall not 
apply to a vessel when it is engaged in fisheries in the 
exclusive economic zone under the authority of the Western 
Pacific Fishery Management Council established under section 
302(a)(1)(H) of the Magnuson-Stevens Fishery Conservation and 
Management Act (16 U.S.C. 1852(a)(1)(H)) or to a purse seine 
vessel when it is engaged in tuna fishing in the Pacific Ocean 
outside the exclusive economic zone of the United States or 
pursuant to the South Pacific Regional Fisheries Treaty, 
provided that the owner of the vessel continues to comply with 
the eligibility requirements for a fishery endorsement under 
the federal law that was in effect on October 1, 1998. A 
fishery endorsement issued by the Secretary pursuant to this 
paragraph shall be valid for engaging only in fisheries in the 
exclusive economic zone under the authority of such Council, in 
such tuna fishing in the Pacific Ocean, or pursuant to such 
Treaty.
    [(6)] (5) A vessel greater than 165 feet in registered 
length, of more than 750 gross registered tons, or that has an 
engine or engines capable of producing a total of more than 
3,000 shaft horsepower is not eligible for a fishery 
endorsement under section 12108 of this title unless--

           *       *       *       *       *       *       *


                   Subtitle III--Maritime Liability

           *       *       *       *       *       *       *



        CHAPTER 313--COMMERCIAL INSTRUMENTS AND MARITIME LIENS

           *       *       *       *       *       *       *



                Subchapter II--Commercial Instruments

           *       *       *       *       *       *       *



SEC. 31322. PREFERRED MORTGAGES

    (a) A preferred mortgage is a mortgage, whenever made, 
that--

           *       *       *       *       *       *       *

    (f)(1) A mortgage trustee may hold in trust, for an 
individual or entity, an instrument or evidence of 
indebtedness, secured by a mortgage of the vessel to the 
mortgage trustee, provided that the mortgage trustee--
            (A) is eligible to be a preferred mortgagee under 
        subsection (a)(4), subparagraphs (A)-(E) of this 
        section;
            (B) is organized as a corporation, and is doing 
        business, under the laws of the United States or of a 
        State;
            (C) is authorized under those laws to exercise 
        corporate trust powers;
            (D) is subject to supervision or examination by an 
        official of the United States Government or a State;
            (E) has a combined capital and surplus (as stated 
        in its most recent published report of condition) of at 
        least $3,000,000; and
            (F) meets any other requirements prescribed by the 
        Secretary.
    (2) If the beneficiary under the trust arrangement is not a 
commercial lender, a lender syndicate or eligible to be a 
preferred mortgagee under subsection (a)(4), subparagraphs (A)-
(E) of this section, the Secretary must determine that the 
issuance, assignment, transfer, or trust arrangement does not 
result in an impermissible transfer of control of the vessel to 
a person not eligible to own a vessel with a fishery 
endorsement under section 12102(c) of this title.
    (3) A vessel with a fishery endorsement may be operated by 
a mortgage trustee only with the approval of the Secretary.
    (4) A right under a mortgage of a vessel with a fishery 
endorsement may be issued, assigned, or transferred to a person 
not eligible to be a mortgagee of that vessel under this 
section only with the approval of the Secretary.
    ``(5) The issuance, assignment, or transfer of an 
instrument or evidence of indebtedness contrary to this 
subsection is voidable by the Secretary.
    (g) For purposes of this section a `commercial lender' 
means an entity primarily engaged in the business of lending 
and other financing transactions with a loan portfolio in 
excess of $100,000,000, of which not more than 50 per centum in 
dollar amount consists of loans to borrowers in the commercial 
fishing industry, as certified to the Secretary by such lender.
    (h) For purposes of this section a ``lender syndicate'' 
means an arrangement established for the combined extension of 
credit of not less than $20,000,000 made up of four or more 
entities that each have a beneficial interest, held through an 
agent, under a trust arrangement established pursuant to 
subsection (f), no one of which may exercise powers thereunder 
without the concurrence of at least one other unaffiliated 
beneficiary.

           *       *       *       *       *       *       *


      DISTRICT OF COLUMBIA PUBLIC EDUCATION ACT, PUBLIC LAW 90-354

           *       *       *       *       *       *       *


    Sec. 108. (a) * * *
    (b) In lieu of extending to the District of Columbia those 
provisions of the Act of July 2, 1862 (7 U.S.C. 301-305, 
307,308), relating to donations of public lands or land scrip 
for the endowment and maintenance of colleges for the benefit 
of agriculture and the mechanic arts, there is authorized to be 
appropriated to the District of Columbia the sum of $7,241,706. 
Amounts appropriated under this subsection shall be held and 
considered to have been granted to the District of Columbia 
subject to those provisions of that Act applicable to the 
proceeds from the sale of land or land scrip. In addition, any 
proceeds and interest accruing thereon, which remain from the 
sale of the former radio station WDCU in an escrow account of 
the District of Columbia Financial Management and Assistance 
Authority for the benefit of the University of the District of 
Columbia, shall be used for the University of the District of 
Columbia's Endowment Fund. Such proceeds may be invested in 
equity based securities if approved by the Chief Financial 
Officer of the District of Columbia.

           *       *       *       *       *       *       *


  OMNIBUS CONSOLIDATED AND EMERGENCY SUPPLEMENTAL APPROPRIATIONS ACT, 
                        1999, PUBLIC LAW 105-277


                      DEPARTMENT OF TRANSPORTATION

           *       *       *       *       *       *       *



                     FEDERAL TRANSIT ADMINISTRATION

           *       *       *       *       *       *       *



                       Capital Investment Grants

           *       *       *       *       *       *       *



----------------------------------------------------------------------------------------------------------------
 No.                     State                                         Project                        Conference
----------------------------------------------------------------------------------------------------------------
 143 New Mexico                                 [Northern New Mexico park and ride facilities]       2,000,000
                                                 Northern New Mexico park and ride facilities and
                                                 State of New Mexico, Buses and Bus-Related
                                                 Facilities.
----------------------------------------------------------------------------------------------------------------

                                                                                                   

           *       *       *       *       *       *       *
                     TITLE III--GENERAL PROVISIONS

           *       *       *       *       *       *       *


    Sec. 351. (a) Notwithstanding any other provision of law, 
[prior to September 30, 2001] and hereafter the Indian Health 
Service may not disburse funds for the provision of health care 
services pursuant to Public Law 93-638 (25 U.S.C. 450 et seq.), 
with any Alaska native village or Alaska Native village 
corporation that is located within the area served by an Alaska 
Native regional health entity.

           *       *       *       *       *       *       *


                       DIVISION C--OTHER MATTERS

           *       *       *       *       *       *       *



                          TITLE II--FISHERIES

                   Subtitle I--Fishery Endorsements

           *       *       *       *       *       *       *



SEC. 202. STANDARD FOR FISHERY ENDORSEMENTS.

    (a) Standard.--* * *

           *       *       *       *       *       *       *

    (b) Preferred Mortgage.--Section 31322(a) of title 46, 
United States Code is amended--

           *       *       *       *       *       *       *

            ``(4) with respect to a vessel with a fishery 
        endorsement that is 100 feet or greater in registered 
        length, has as the mortgagee--

           *       *       *       *       *       *       *

                    [``(B) a state or federally chartered 
                financial institution that satisfies the 
                controlling interest criteria of section 2(b) 
                of the Shipping Act, 1916 (46 U.S.C. 802(b)); 
                or
                    [``(C) a person that complies with the 
                provisions of section 12102(c)(4) of this 
                title.''.]
                    ``(B) a state or federally chartered 
                financial institution that is insured by the 
                Federal Deposit Insurance Corporation;
                    ``(C) a farm credit lender established 
                under Title 12, Chapter 23 of the United States 
                Code;
                    ``(D) a commercial fishing and agriculture 
                bank established pursuant to State law;
                    ``(E) a commercial lender organized under 
                the laws of the United States or of a State and 
                eligible to own a vessel under section 12102(a) 
                of this title; or
                    ``(F) a mortgage trustee under subsection 
                (f) of this section.''.

           *       *       *       *       *       *       *


CARL D. PERKINS VOCATIONAL AND TECHNICAL EDUCATION ACT OF 1998, PUBLIC 
                              LAW 105-332

           *       *       *       *       *       *       *



``SEC. 117. TRIBALLY CONTROLLED POSTSECONDARY VOCATIONAL AND TECHNICAL 
                    INSTITUTIONS.

    ``(a) Grants Authorized.--The Secretary shall, subject to 
the availability of appropriations, make grants pursuant to 
this section to tribally controlled postsecondary vocational 
and technical institutions that are not receiving Federal 
support under the Tribally Controlled College or University 
Assistance Act of 1978 (25 U.S.C. 1801 et seq.) or the Navajo 
Community College Act (25 U.S.C. 640a et seq.) to provide basic 
support for the education and training of Indian students.
    ``(b) Use of Grants.--Amounts made available pursuant to 
this section shall be used for institutional support of 
vocational and technical education programs.
    ``(c) Amount of Grants.--
            ``(1) * * *

           *       *       *       *       *       *       *

    ``(d) Applications.--Any tribally controlled postsecondary 
vocational and technical institution that is not receiving 
Federal support under the Tribally Controlled College or 
University Assistance Act of 1978 (25 U.S.C. 1801 et seq.) or 
the Navajo Community College Act (25 U.S.C. 640a et seq.) that 
desires to receive a grant under this section shall submit an 
application to the Secretary in such manner and form as the 
Secretary may require.
    ``(e) Expenses.--
            ``(1) * * *
                    ``(A) * * *
                    ``(B) capital expenditures, including 
                operations and maintenance, and minor 
                improvements and repair, and physical plant 
                maintenance costs, for the conduct of programs 
                funded under this section; [and]
                    ``(C) costs associated with repair, upkeep, 
                replacement, and upgrading of the instructional 
                equipment[.]; and
                    ``(D) institutional support of vocational 
                and technical education.''

           *       *       *       *       *       *       *


 DEPARTMENT OF TRANSPORTATION AND RELATED AGENCIES APPROPRIATIONS ACT, 
                        2000, PUBLIC LAW 106-69


                    FEDERAL TRANSIT ADMINISTRATION

           *       *       *       *       *       *       *



                       Capital Investment Grants

           *       *       *       *       *       *       *



----------------------------------------------------------------------------------------------------------------
 No.                     State                                         Project                        Conference
----------------------------------------------------------------------------------------------------------------
 167 New Mexico                                 [Northern New Mexico Transit Express/Park and        2,750,000
                                                 Ride buses] Northern New Mexico park and ride
                                                 facilities and State of New Mexico, Buses and
                                                 Bus-Related Facilities..........................
----------------------------------------------------------------------------------------------------------------

                                                                                                   

           *       *       *       *       *       *       *
  DISTRICT OF COLUMBIA APPROPRIATIONS ACT, 1999, PUBLIC LAW 106-113

           *       *       *       *       *       *       *



                         APPENDIX B--H.R. 3422

           *       *       *       *       *       *       *



                      TITLE 5--GENERAL PROVISIONS

           *       *       *       *       *       *       *



                           democracy in china

    Sec. 526. Notwithstanding any other provision of law that 
restricts assistance to foreign countries, funds appropriated 
by this Act for ``Economic Support Fund'' may be made available 
to provide general support and grants for nongovernmental 
organizations located outside the People's Republic of China 
that have as their primary purpose fostering democracy in that 
country, and for activities of nongovernmental organizations 
located outside the People's Republic of China to foster 
democracy in that country: Provided, That none of the funds 
made available for activities to foster democracy in the 
People's Republic of China may be made available for assistance 
to the government of that country, except that funds 
appropriated by this Act under the heading ``Economic Support 
Fund'' that are made available for the National Endowment for 
Democracy or its grantees may be made available for activities 
to foster democracy in that country notwithstanding this 
proviso and any other provision of law: Provided further, That 
funds made available pursuant to the authority of this section 
shall be subject to the regular notification procedures of the 
Committees on Appropriations[: Provided further, That 
notwithstanding any other provision of law that restricts 
assistance to foreign countries, of the funds appropriated by 
this Act under the heading ``Economic Support Fund'', 
$1,000,000 shall be made available to the Jamestown Foundation 
for a project to disseminate information and support research 
about the People's Republic of China, and related activities].

           *       *       *       *       *       *       *


   ABRAHAM LINCOLN BICENTENNIAL COMMISSION ACT, PUBLIC LAW 106-173

           *       *       *       *       *       *       *



SEC. 7. POWERS.

           *       *       *       *       *       *       *


    [(e) Administrative Support Services.--Upon the request of 
the Commission, the Administrator of General Services shall 
provide to the Commission, on a reimbursable basis, the 
administrative support services necessary for the Commission to 
carry out its responsibilities under this Act.]
    (e) Administrative Support Services.--Upon the request of 
the Commission, the Librarian of Congress shall provide to the 
Commission, on a reimbursable basis, administrative support 
services necessary for the Commission to carry out its 
responsibilities under this Act, including disbursing funds 
available to the Commission, and computing and disbursing the 
basic pay for Commission personnel.

           *       *       *       *       *       *       *


                OCEANS ACT OF 2000, PUBLIC LAW 106-256

           *       *       *       *       *       *       *



SEC. 3. COMMISSION ON OCEAN POLICY.

    (a) Establishment.--* * *
    (b) Membership.--
            (1) Appointment.--The Commission shall be composed 
        of [16] 18 members appointed by the President from 
        among individuals described in paragraph (2) who are 
        knowledgeable in ocean and coastal activities, 
        including individuals representing State and local 
        governments, ocean-related industries, academic and 
        technical institutions, and public interest 
        organizations involved with scientific, regulatory, 
        economic, and environmental ocean and coastal 
        activities. The membership of the Commission shall be 
        balanced by area of expertise and balanced 
        geographically to the extent consistent with 
        maintaining the highest level of expertise on the 
        Commission.

           *       *       *       *       *       *       *

    (e) Meetings.--
            (1) Administration.--* * *

           *       *       *       *       *       *       *

            (2) Initial meeting.--The Commission shall hold its 
        first meeting within 30 days after all [16] 18 members 
        have been appointed.

           *       *       *       *       *       *       *


  DEPARTMENT OF THE INTERIOR AND RELATED AGENCIES APPROPRIATIONS ACT, 
                        2001, PUBLIC LAW 106-291


                 TITLE I--DEPARTMENT OF THE INTERIOR

           *       *       *       *       *       *       *



            GENERAL PROVISIONS, DEPARTMENT OF THE INTERIOR

           *       *       *       *       *       *       *


    Sec. 122. (a) Notwithstanding any other provision of law, 
with respect to amounts made available for tribal priority 
allocations in Alaska, such amounts hereafter shall only be 
provided to tribes the membership of which on [June 1, 2000] 
June 1 of the preceding fiscal year is composed of at least 25 
individuals who are Natives (as such term is defined in section 
3(b) of the Alaska Native Claims Settlement Act) who reside in 
the area generally known as the village for such tribe.

           *       *       *       *       *       *       *


                     TITLE III--GENERAL PROVISIONS

           *       *       *       *       *       *       *


    Sec. 338. The authority to enter into stewardship and end 
result contracts provided to the Forest Service in accordance 
with section 347 of title III of section 101(e) of division A 
of Public Law [105-825] 105-277 is hereby expanded to authorize 
the Forest Service to enter into an additional 28 contracts 
subject to the same terms and conditions as provided in that 
section: Provided, That of the additional contracts authorized 
by this section at least 9 shall be allocated to Region 1 and 
at least 3 to Region 6.

           *       *       *       *       *       *       *


   AGRICULTURE, RURAL DEVELOPMENT, FOOD AND DRUG ADMINISTRATION, AND 
     RELATED AGENCIES APPROPRIATIONS ACT, 2001, PUBLIC LAW 106-387


                                TITLE I


                         AGRICULTURAL PROGRAMS


                 Production, Processing, and Marketing


                        Office of the Secretary

           *       *       *       *       *       *       *



               Animal and Plant Health Inspection Service

           *       *       *       *       *       *       *



                        buildings and facilities

    For plans, construction, repair, preventive maintenance, 
environmental support, improvement, extension, alteration, and 
purchase of fixed equipment or facilities, as authorized by 7 
U.S.C. 2250, and acquisition of land as authorized by 7 U.S.C. 
428a, $9,870,000, to remain available [until expended.] until 
expended: Provided, That notwithstanding any other provision of 
law (including chapter 63 of title 31, U.S.C.), $4,670,000 of 
the amount shall be transferred by the Secretary and once 
transferred, shall be state funds for the construction, 
renovation, equipment, and other related costs for a post entry 
plant quarantine facility and related laboratories as described 
in Senate Report 106-288.

           *       *       *       *       *       *       *


                 TITLE III--RURAL DEVELOPMENT PROGRAMS

           *       *       *       *       *       *       *



                  Rural Community Advancement Program

    For the cost of direct loans, loan guarantees, and grants, 
as authorized by 7 U.S.C. 1926, 1926a, 1926c, 1926d, and 1932, 
except for sections 381E-H, 381N, and 381O of the Consolidated 
Farm and Rural Development Act, $762,542,000, to remain 
available until expended, of which $53,225,000 shall be for 
rural community programs described in section 381E(d)(1) of 
such Act; of which $644,360,000 shall be for the rural 
utilities programs described in sections 381E(d)(2), 
306C(a)(2), and 306D of such Act; and of which $64,957,000 
shall be for the rural business and cooperative development 
programs described in section 381E(d)(3) of such Act: Provided, 
That of the total amount appropriated in this account, 
$24,000,000 shall be for loans and grants to benefit Federally 
Recognized Native American Tribes, including grants for 
drinking and waste disposal systems pursuant to section 306C of 
such Act, of which $250,000 shall be available for a grant to a 
qualified national organization to provide technical assistance 
for rural transportation in order to promote economic 
development: Provided further, That of the amount appropriated 
for rural community programs, $6,000,000 shall be available for 
a Rural Community Development Initiative: Provided further, 
That such funds shall be used solely to develop the capacity 
and [ability of] ability of low income rural communities and 
private, nonprofit community-based housing and community 
development organizations serving low-income rural communities, 
including Federally Recognized Indian tribes to undertake 
projects to improve housing, community facilities, community 
and economic development projects in rural areas: Provided 
further, That such funds shall be made available to qualified 
private, nonprofit intermediary organizations (including 
tribal) proposing to carry out a program of financial and 
technical [assistance to] assistance and to other public 
entities with a record of achievement in providing technical 
and financial assistance to housing and community development 
organizations in rural areas: Provided further, That such 
intermediary organizations shall provide matching funds from 
other sources, including Federal funds for related activities, 
in an amount not less than funds provided: Provided further, 
That of the amount appropriated for rural community programs, 
not to exceed $5,000,000 shall be for hazardous weather early 
warning systems: Provided further, That of the amount 
appropriated for the rural business and cooperative development 
programs, not to exceed $500,000 shall be made available for a 
grant to a qualified national organization to provide technical 
assistance for rural transportation in order to promote 
economic development; $5,000,000 shall be for rural partnership 
technical assistance grants; and $2,000,000 shall be for grants 
to Mississippi Delta Region counties: Provided further, That of 
the amount appropriated for rural utilities programs, not to 
exceed $20,000,000 shall be for water and waste disposal 
systems to benefit the Colonias along the United States/Mexico 
borders, including grants pursuant to section 306C of such Act; 
not to exceed $20,000,000 shall be for water and waste disposal 
systems for rural and native villages in Alaska pursuant to 
section 306D of such Act, with up to 1 percent available to 
administer the program and up to 1 percent available to improve 
interagency coordination; not to exceed $16,215,000 shall be 
for technical assistance grants for rural waste systems 
pursuant to section 306(a)(14) of such Act; and not to exceed 
$9,500,000 shall be for contracting with qualified national 
organizations for a circuit rider program to provide technical 
assistance for rural water systems: Provided further, That of 
the total amount appropriated, not to exceed $42,574,650 shall 
be available through June 30, 2001, for authorized empowerment 
zones and enterprise communities and communities designated by 
the Secretary of Agriculture as Rural Economic Area Partnership 
Zones; of which $34,704,000 shall be for the rural utilities 
programs described in section 381E(d)(2) of such Act; and of 
which $8,435,000 shall be for the rural business and 
cooperative development programs described in section 
381E(d)(3) of such Act.

           *       *       *       *       *       *       *


  DEPARTMENTS OF LABOR, HEALTH AND HUMAN SERVICES, AND EDUCATION, AND 
     RELATED AGENCIES APPROPRIATIONS ACT, 2001, PUBLIC LAW 106-554


                         APPENDIX A--H.R. 5656

           *       *       *       *       *       *       *



           TITLE II--DEPARTMENT OF HEALTH AND HUMAN SERVICES


              Health Resources and Services Administration


                     health resources and services

    For carrying out titles II, III, VII, VIII, X, XII, XIX, 
and XXVI of the Public Health Service Act, section 427(a) of 
the Federal Coal Mine Health and Safety Act, title V and 
section 1820 of the Social Security Act, the Health Care 
Quality Improvement Act of 1986, as amended, the Native 
Hawaiian Health Care Act of 1988, as amended, and the Poison 
Control Center Enhancement and Awareness Act, $5,525,476,000, 
of which [$226,224,000] $224,724,000 shall be available for the 
construction and renovation of health care and other 
facilities, and of which $25,000,000 from general revenues, 
notwithstanding section 1820(j) of the Social Security Act, 
shall be available for carrying out the Medicare rural hospital 
flexibility grants program under section 1820 of such Act: 
Provided, That the Division of Federal Occupational Health may 
utilize personal services contracting to employ professional 
management/administrative and occupational health 
professionals: Provided further, That of the funds made 
available under this heading, $250,000 shall be available until 
expended for facilities renovations at the Gillis W. Long 
Hansen's Disease Center: Provided further, That in addition to 
fees authorized by section 427(b) of the Health Care Quality 
Improvement Act of 1986, fees shall be collected for the full 
disclosure of information under the Act sufficient to recover 
the full costs of operating the National Practitioner Data 
Bank, and shall remain available until expended to carry out 
that Act: Provided further, That fees collected for the full 
disclosure of information under the ``Health Care Fraud and 
Abuse Data Collection Program,'' authorized by section 
1128E(d)(2) of the Social Security Act, shall be sufficient to 
recover the full costs of operating the program, and shall 
remain available until expended to carry out that Act: Provided 
further, That no more than $5,000,000 is available for carrying 
out the provisions of Public Law 104-73: Provided further, That 
of the funds made available under this heading, $253,932,000 
shall be for the program under title X of the Public Health 
Service Act to provide for voluntary family planning projects: 
Provided further, That amounts provided to said projects under 
such title shall not be expended for abortions, that all 
pregnancy counseling shall be nondirective, and that such 
amounts shall not be expended for any activity (including the 
publication or distribution of literature) that in any way 
tends to promote public support or opposition to any 
legislative proposal or candidate for public office: Provided 
further, That $589,000,000 shall be for State AIDS Drug 
Assistance Programs authorized by section 2616 of the Public 
Health Service Act: Provided further, That of the amount 
provided under this heading, $700,000 shall be for the American 
Federation of Negro Affairs Education and Research Fund of 
Philadelphia, $900,000 shall be for the Des Moines University 
Osteopathic Medical Center, $250,000 shall be for the 
University of Alaska, Anchorage, to train Alaska Natives as 
psychologists, $900,000 shall be for Northeastern University in 
Boston, Massachusetts to train [doctors] allied health care 
professionals to serve in low-income communities, $500,000 
shall be for the University of Alaska, Anchorage, to recruit 
and train nurses in rural areas, and $230,000 shall be for the 
Illinois Poison Center: Provided further, That, notwithstanding 
section 502(a)(1) of the Social Security Act, not to exceed 
$113,728,000 is available for carrying out special projects of 
regional and national significance pursuant to section 
501(a)(2) of such Act, of which $5,000,000 is for Columbia 
Hospital for Women Medical Center in Washington, D.C., to 
support community outreach programs for women, $5,000,000 is 
for continuation of the traumatic brain injury State 
demonstration projects, and $100,000 is for St. Joseph's Health 
Services of Rhode Island for the Providence Smiles dental 
program for low-income children.

           *       *       *       *       *       *       *


                  TITLE III--DEPARTMENT OF EDUCATION

           *       *       *       *       *       *       *



                    Education for the Disadvantaged

    For carrying out title I of the Elementary and Secondary 
Education Act of 1965, and section 418A of the Higher Education 
Act of 1965, $9,532,621,000, of which $2,731,921,000 shall 
become available on July 1, 2001, and shall remain available 
through September 30, 2002, and of which $6,758,300,000 shall 
become available on October 1, 2001 and shall remain available 
through September 30, 2002, for academic year 2001-2002: 
Provided, That [$7,332,721,000] $7,237,721,000 shall be 
available for basic grants under section 1124: Provided 
further, That $225,000,000 of these funds shall be allocated 
among the States in the same proportion as funds are allocated 
among the States under section 1122, to carry out section 
1116(c): Provided further, That 100 percent of these funds 
shall be allocated by states to local educational agencies for 
the purposes of carrying out section 1116(c): Provided further, 
That all local educational agencies receiving an allocation 
under the preceding proviso, and all other local educational 
agencies that are within a State that receives funds under part 
A of title I of the Elementary and Secondary Education Act of 
1965 (other than a local educational agency within a State 
receiving a minimum grant under section 1124(d) or 
1124A(a)(1)(B) of such Act), shall provide all students 
enrolled in a school identified under section 1116(c) with the 
option to transfer to another public school within the local 
educational agency, including a public charter school, that has 
not been identified for school improvement under section 
1116(c), unless such option to transfer is prohibited by State 
law, or local law, which includes school board-approved local 
educational agency policy: Provided further, That if the local 
educational agency demonstrates to the satisfaction of the 
State educational agency that the local educational agency 
lacks the capacity to provide all students with the option to 
transfer to another public school, and after giving notice to 
the parents of children affected that it is not possible, 
consistent with State and local law, to accommodate the 
transfer request of every student, the local educational agency 
shall permit as many students as possible (who shall be 
selected by the local educational agency on an equitable basis) 
to transfer to a public school that has not been identified for 
school improvement under section 1116(c): Provided further, 
That up to $3,500,000 of these funds shall be available to the 
Secretary on October 1, 2000, to obtain updated local 
educational agency level census poverty data from the Bureau of 
the Census: Provided further, That $1,364,000,000 shall be 
available for concentration grants under section 1124A: 
Provided further, That grant awards under sections 1124 and 
1124A of title I of the Elementary and Secondary Education Act 
of 1965 shall be not less than the greater of 100 percent of 
the amount each State and local educational agency received 
under this authority for fiscal year 2000 or the amount such 
State and local educational agency would receive if 
$6,883,503,000 for Basic Grants and $1,222,397,000 for 
Concentration Grants were allocated in accordance with section 
1122(c)(3) of title I: Provided further, That notwithstanding 
any other provision of law, grant awards under section 1124A of 
title I of the Elementary and Secondary Education Act of 1965 
shall be made to those local educational agencies that received 
a Concentration Grant under the Department of Education 
Appropriations Act, 2000, but are not eligible to receive such 
a grant for fiscal year 2001: Provided further, That the 
Secretary shall not take into account the hold harmless 
provisions in this section in determining State allocations 
under any other program administered by the Secretary in any 
fiscal year: Provided further, That $8,900,000 shall be 
available for evaluations under section 1501 and not more than 
$8,500,000 shall be reserved for section 1308, of which not 
more than $3,000,000 shall be reserved for section 1308(d): 
Provided further, That $210,000,000 shall be available under 
section 1002(g)(2) to demonstrate effective approaches to 
comprehensive school reform to be allocated and expended in 
accordance with the instructions relating to this activity in 
the statement of the managers on the conference report 
accompanying Public Law 105-78 and in the statement of the 
managers on the conference report accompanying Public Law 105-
277: Provided further, That in carrying out this initiative, 
the Secretary and the States shall support only approaches that 
show the most promise of enabling children served by title I to 
meet challenging State content standards and challenging State 
student performance standards based on reliable research and 
effective practices, and include an emphasis on basic academics 
and parental involvement.

           *       *       *       *       *       *       *


            Education Research, Statistics, and Improvement

    For carrying out activities authorized by the Educational 
Research, Development, Dissemination, and Improvement Act of 
1994, including part E; the National Education Statistics Act 
of 1994, including sections 411 and 412; section 2102 of title 
II, parts A, B, K, and L and sections 10102 and 10601 of title 
X, and part C of title XIII of the Elementary and Secondary 
Education Act of 1965, as amended, and title VI of Public Law 
103-227, $732,721,000: Provided, That of the funds appropriated 
for part A of title X of the Elementary and Secondary Education 
Act of 1965, as amended, $5,000,000 shall be made available for 
a high school reform program of grants to State educational 
agencies to improve academic performance and provide technical 
skills training: Provided further, That of the funds 
appropriated for part A of title X of the Elementary and 
Secondary Education Act of 1965, as amended, $5,000,000 shall 
be made available to carry out part L of title X of the Act: 
Provided further, That of the amount available for part A of 
title X of the Elementary and Secondary Education Act of 1965, 
as amended, $5,000,000 shall be available for grants to State 
and local educational agencies, in collaboration with other 
agencies and organizations, for school dropout prevention 
programs designed to address the needs of populations or 
communities with the highest dropout rates: Provided further, 
That of the amount made available for part A of title X of the 
Elementary and Secondary Education Act of 1965, as amended, 
$50,000,000 shall be made available to enable the Secretary of 
Education to award grants to develop, implement, and strengthen 
programs to teach American history (not social studies) as a 
separate subject within school curricula: Provided further, 
That $53,000,000 of the amount available for the national 
education research institutes shall be allocated 
notwithstanding section 912(m)(1)(B-F) and subparagraphs (B) 
and (C) of section 931(c)(2) of Public Law 103-227 and 
$20,000,000 of that $53,000,000 shall be made available for the 
Interagency Education Research Initiative: Provided further, 
That of the funds appropriated for part A of title X of the 
Elementary and Secondary Education Act, as amended, $50,000,000 
shall be available to demonstrate effective approaches to 
comprehensive school reform, to be allocated and expended in 
accordance with the instructions relating to this activity in 
the statement of managers on the conference report accompanying 
Public Law 105-78 and in the statement of the managers on the 
conference report accompanying Public Law 105-277: Provided 
further, That the funds made available for comprehensive school 
reform shall become available on July 1, 2001, and remain 
available through September 30, 2002, and in carrying out this 
initiative, the Secretary and the States shall support only 
approaches that show the most promise of enabling children to 
meet challenging State content standards and challenging State 
student performance standards based on reliable research and 
effective practices, and include an emphasis on basic academics 
and parental involvement: Provided further, That [$139,624,000] 
$139,853,000 of the funds for section 10101 of the Elementary 
and Secondary Education Act of 1965 shall be available for the 
projects and in the amounts specified in the statement of the 
managers on the conference report accompanying this Act: 
Provided further, That of the funds appropriated under section 
10601 of title X of the Elementary and Secondary Education Act 
of 1965, as amended, $2,000,000 shall be used to conduct a 
violence prevention demonstration program: Provided further, 
That of the funds available for section 10601 of title X of the 
Elementary and Secondary Education Act of 1965, as amended, 
$150,000 shall be awarded to the Center for Educational 
Technologies to complete production and distribution of an 
effective CD-ROM product that would complement the ``We the 
People: The Citizen and the Constitution'' curriculum: Provided 
further, That, of the funds for title VI of Public Law 103-227 
and notwithstanding the provisions of section 601(c)(1)(C) of 
that Act, $1,200,000 shall be available to the Center for Civic 
Education to conduct a civic education program with Northern 
Ireland and the Republic of Ireland and, consistent with the 
civics and Government activities authorized in section 
601(c)(3) of Public Law 103-227, to provide civic education 
assistance to democracies in developing countries. The term 
``developing countries'' shall have the same meaning as the 
term ``developing country'' in the Education for the Deaf Act.

           *       *       *       *       *       *       *


   TITLE IV--EMERGENCY FISCAL YEAR 2000 SUPPLEMENTAL APPROPRIATIONS

           *       *       *       *       *       *       *



              DEPARTMENT OF HOUSING AND URBAN DEVELOPMENT


                     Federal Housing Administration


             FHA--General and Special Risk Program Account

    For an additional amount for FHA--General and special risk 
program account for the cost of guaranteed loans, as authorized 
by sections 238 and 519 of the National Housing Act (12 U.S.C. 
1715z-3 and 1735c), including the cost of loan modifications 
(as that term is defined in section 502 of the Congressional 
Budget Act of 1974, as amended), $40,000,000, to remain 
available until expended[: Provided, That the entire amount 
shall be available only to the extent an official budget 
request, that includes designation of the entire amount of the 
request as an emergency requirement as defined in the Balanced 
Budget and Emergency Deficit Control Act of 1985, as amended, 
is transmitted by the President to the Congress: Provided 
further, That the entire amount is designated by the Congress 
as an emergency requirement pursuant to section 251(b)(2)(A) of 
the Balanced Budget and Emergency Deficit Control Act: Provided 
further, That the funding under this heading shall only be made 
available upon the submission of a certification by the 
Secretary of Housing and Urban Development to the Committees on 
Appropriations that all funds committed, expended, or obligated 
under this heading in the Departments of Veterans Affairs and 
Housing and Urban Development, Independent Agencies 
Appropriations Act, 2000 were committed, expended or obligated 
in compliance with the Antideficiency Act (31 U.S.C. 1341)].

           *       *       *       *       *       *       *


                         APPENDIX C--H.R. 5658

           *       *       *       *       *       *       *



                     TITLE IV--INDEPENDENT AGENCIES

           *       *       *       *       *       *       *



         General Services Administration--General Provisions

           *       *       *       *       *       *       *


    [Sec. 413. Designation of the Paul Coverdell Dormitory. The 
dormitory building currently being constructed on the Core 
Campus of the Federal Law Enforcement Training Center in 
Glynco, Georgia, shall be known and designated as the ``Paul 
Coverdell Dormitory''.]
    Sec. 413. Designation of the Paul Coverdell Building. The 
recently-completed classroom building constructed on the Core 
Campus of the Federal Law Enforcement Training Center in 
Glynco, Georgia, shall be known and designated as the ``Paul 
Coverdell Building''.

           *       *       *       *       *       *       *


                         APPENDIX D--H.R. 5666


                               DIVISION B


                                TITLE I

           *       *       *       *       *       *       *


    Sec. 144. (a) The Magnuson-Stevens Fishery Conservation and 
Management Act (16 U.S.C. 1801 et. seq.) is amended--

           *       *       *       *       *       *       *

    (d)(1) The Secretary of Commerce (hereinafter ``the 
Secretary'') shall, after notice and opportunity for public 
comment, adopt final regulations [not later than May 1, 2001] 
as soon as practicable to implement a fishing capacity 
reduction program for crab fisheries included in the Fishery 
Management Plan for Commercial King and Tanner Crab Fisheries 
in the Bering Sea and Aleutian Islands (hereinafter ``BSAI crab 
fisheries''). In implementing the program the Secretary shall--

           *       *       *       *       *       *       *

    (2)(A) * * *

           *       *       *       *       *       *       *

    (B) After the date of enactment of this section--
            (i) no vessel 60 feet or greater in length overall 
        may participate in any BSAI crab fishery (other than 
        for Norton Sound red king crab or Norton Sound blue 
        king crab) unless such vessel meets the requirements 
        set forth in subparagraphs (A)(i) and (A)(ii) of this 
        [paragraph] paragraph: Provided, That regulations 
        published by the Secretary to implement this section 
        shall provide for replacement vessels and the marriage 
        of fishing history from different vessels, and no 
        vessels shall be prevented from fishing by virtue of 
        this sentence until such regulations are final; and

           *       *       *       *       *       *       *

    (3) The fishing capacity reduction program required under 
this subsection shall be implemented under this subsection and 
sections 312(b)-(e) of the Magnuson-Stevens Fishery 
Conservation and Management Act (16 U.S.C. 1861a(b)-(e)). 
Section 312 and the regulations found in Subpart L of Part 600 
of title 50, Code of Federal Regulations, shall apply only to 
the extent such section or regulations are not inconsistent 
with or made inapplicable by the specific provisions of this 
subsection. Sections 600.1001, 600.1002, 600.1003, 600.1005, 
600.1010(b), 600.1010(d)(1), 600.1011(d), the last sentence of 
600.1011(a), and the last sentence of 600.1014(f ) of such 
Subpart shall not apply to the program implemented under this 
subsection. The program shall be deemed accepted under section 
600.1004, and any time period specified in Subpart L that would 
prevent the Secretary from complying with [the May 1, 2001 
date] the direction to issue regulations as soon as practicable 
as required by this subsection shall be modified as appropriate 
to permit compliance [with that date]. The referendum required 
for the program under this subsection shall be a post-bidding 
referendum under section 600.1010 of title 50, Code of Federal 
Regulations.

           *       *       *       *       *       *       *

    (5)(A) * * *

           *       *       *       *       *       *       *

    (B) The Secretary shall, after notice and opportunity for 
public comment, adopt final regulations [not later than May 1, 
2001] as soon as practicable to prohibit any vessel for which a 
reduction permit is surrendered and revoked under the fishing 
capacity reduction program required by this section from 
engaging in fishing activities on the high seas or under the 
jurisdiction of any foreign country while operating under the 
United States flag.

           *       *       *       *       *       *       *


                           PUBLIC LAW 106-558


SEC. 1 * * *

           *       *       *       *       *       *       *


SEC. 2. OVERTIME PAY FOR CERTAIN FIREFIGHTERS.

    (a) * * *

           *       *       *       *       *       *       *

    [(b) Effective Date.--The amendments made by this section 
shall take effect on the first day of the first applicable pay 
period beginning on or after the end of the 30-day period 
beginning on the date of the enactment of this Act, and shall 
apply only to funds appropriated after the date of the 
enactment of this Act.]
    (b) Effective Date.--The amendments made by this section 
shall take effect on the date of enactment of this Act.

           *       *       *       *       *       *       *


                            BUDGETARY IMPACT

    Section 308(a)(1)(A) of the Congressional Budget and 
Impoundment Control Act of 1974 (Public Law 93-344), as 
amended, requires that the report accompanying a bill providing 
new budget authority contain a statement detailing how that 
authority compares with the reports submitted under section 302 
of the act for the most recently agreed to concurrent 
resolution on the budget for the fiscal year. All funds 
provided in this bill are either offset or are within the 
remaining limits of the Committee's allocations.

                    Five-Year Projection of Outlays

    In compliance with section 308(a)(1)(C) of the 
Congressional Budget Act of 1974 (Public Law 93-344), as 
amended, the following table contains 5-year projections 
associated with the budget authority provided in the 
accompanying bill:

                              [In millions]

Budget authority: Fiscal year 2001............................    $7,480
Outlays:
    Fiscal year 2001..........................................     2,227
    Fiscal year 2002..........................................     4,245
    Fiscal year 2003..........................................       804
    Fiscal year 2004..........................................        97
    Fiscal year 2005 and future years.........................       204

Note: The above table includes both mandatory and discretionary 
appropriations.
---------------------------------------------------------------------------

               Assistance to State and Local Governments

    In accordance with section 308(a)(1)(D) of the 
Congressional Budget Act of 1974 (Public Law 93-344), as 
amended, the financial assistance to State and local 
governments is as follows:

                              [In millions]

New budget authority..........................................      $303
Fiscal year 2001 outlays......................................       100

   COMPARATIVE STATEMENT OF NEW BUDGET (OBLIGATIONAL) AUTHORITY ESTIMATES AND AMOUNTS RECOMMENDED IN THE BILL
                                            [In thousands of dollars]
----------------------------------------------------------------------------------------------------------------
                                                                                                   Committee
                                                                                                 recommendation
Doc. No.                                                    Supplemental        Committee        compared with
                                                              estimate        recommendation      supplemental
                                                                                               estimate (+ or -)
----------------------------------------------------------------------------------------------------------------

              TITLE I--NATIONAL SECURITY MATTERS

                           CHAPTER 1

                     DEPARTMENT OF JUSTICE

                Radiation Exposure Compensation

      -- Payment to the radiation exposure             .................            84,000            +84,000
          compensation trust fund
                                                      ==========================================================
                           CHAPTER 2

                DEPARTMENT OF DEFENSE--MILITARY

                      Military Personnel
  107-80 Military Personnel, Army                               164,000            164,000   .................
  107-80 Military Personnel, Navy                                84,000             84,000   .................
  107-80 Military Personnel, Marine Corps                        69,000             69,000   .................
  107-80 Military Personnel, Air Force                          126,000            126,000   .................
  107-80 Reserve Personnel, Army                                 52,000             52,000   .................
  107-80 Reserve Personnel, Air Force                             2,000              2,000   .................
  107-80 National Guard Personnel, Army                           6,000              6,000   .................
  107-80 National Guard Personnel, Air Force                     12,000             12,000   .................
                                                      ----------------------------------------------------------
               Total, Military Personnel                        515,000            515,000   .................
                                                      ==========================================================
                   Operation and Maintenance

  107-80 Operation and Maintenance, Army                        655,800            784,500           +128,700
  107-80 Operation and Maintenance, Navy                        953,400          1,037,900            +84,500
  107-80 Operation and Maintenance, Marine Corps                 54,400             62,000             +7,600
  107-80 Operation and Maintenance, Air Force                   853,200            824,900            -28,300
  107-80 Operation and Maintenance, Defense-Wide                 93,800             62,050            -31,750
  107-80 Operation and Maintenance, Army Reserve                 20,500             20,500   .................
  107-80 Operation and Maintenance, Navy Reserve                 12,500             12,500   .................
  107-80 Operation and Maintenance, Marine Corps                  1,900              1,900   .................
          Reserve
  107-80 Operation and Maintenance, Air Force Reserve            34,000             34,000   .................
  107-80 Operation and Maintenance, Army National                42,900             42,900   .................
          Guard
  107-80 Operation and Maintenance, Air National                119,300            119,300   .................
          Guard
                                                      ----------------------------------------------------------
               Total, Operation and maintenance               2,841,700          3,002,450           +160,750
                                                      ==========================================================
                          Procurement

  107-80 Other Procurement, Army                                  3,000              3,000   .................
         Shipbuilding and Conversion, Navy:
             SCN, 1995/2001:
  107-80         Carrier Replacement Program                     84,000             84,000   .................
             SCN, 1996/2001:
  107-80         DDG-51 Destroyer Program                        41,000             41,000   .................
  107-80         LPD-17 Amphibious Transport Dock                65,000            140,000            +75,000
                  Ship Program
             SCN, 1998/2001:
  107-80         NSSN Program                                    32,000             32,000   .................
                                                      ----------------------------------------------------------
                   Subtotal, SCN                                222,000            297,000            +75,000

  107-80 Aircraft Procurement, Air Force                         84,000             78,000             -6,000
      -- Missile Procurement, Air Force                .................            15,500            +15,500
  107-80 Procurement of Ammunition, Air Force                    73,000             31,200            -41,800
  107-80 Other Procurement, Air Force                           162,900            165,650             +2,750
  107-80 Procurement, Defense-Wide                                5,800              5,800   .................
                                                      ----------------------------------------------------------
               Total, Procurement                               550,700            596,150            +45,450
                                                      ==========================================================
          Research, Development, Test and Evaluation

  107-80 Research, Development, Test and Evaluation,            108,000            123,000            +15,000
          Navy
  107-80 Research, Development, Test and Eval, Air              247,500            227,500            -20,000
          Force
  107-80 Research, Development, Test and Evaluation,             85,000             35,000            -50,000
          Defense-Wide
                                                      ----------------------------------------------------------
               Total, RDT&E                                     440,500            385,500            -55,000
                                                      ==========================================================
                Revolving and Management Funds

  107-80 Defense Working Capital Funds                          178,400            178,400   .................

             Other Department of Defense Programs

         Defense Heath Program:
  107-80     Operation and maintenance                        1,453,400          1,522,200            +68,800

                      General Provisions

  107-80 O&M, Navy: U.S.S. Cole repair                           44,000             44,000   .................
  107-80 Aircraft Procurement, Navy (Public Law 106-           -235,000   .................          +235,000
          259) (offset)
  107-80 Aircraft Procurement, Air Force (Public Law           -270,000   .................          +270,000
          106-259) (offset)
  107-84 Overseas Contingency Operations Transfer               -61,000   .................           +61,000
          Fund (Public Law 106-259) (offset)
      -- Rescissions                                   .................          -792,000           -792,000
                                                      ==========================================================
               Total, chapter 2 (net)                         5,457,700          5,451,700             -6,000
                   Appropriations                            (6,023,700)        (6,243,700)         (+220,000)
                   Rescissions                         .................         (-792,000)         (-792,000)
                   Offsets                                    (-566,000)  .................         (+566,000)
                                                      ==========================================================
                           CHAPTER 3

                     DEPARTMENT OF ENERGY

           National Nuclear Security Administration

  107-80 Weapons Activities                                     140,000            140,000   .................

               Other Defense Related Activities

  107-80 Defense Environmental Restoration and Waste            100,000             95,000             -5,000
          Management
  107-80 Defense Facilities Closure Projects                     21,000             21,000   .................
  107-80 Defense Environmental Management                        29,600             29,600   .................
          Privatization
      -- Other Defense activities                      .................             5,000             +5,000
                                                      ----------------------------------------------------------
               Total, chapter 3                                 290,600            290,600   .................
                                                      ==========================================================
                           CHAPTER 4

                     MILITARY CONSTRUCTION

  107-80 Military construction, Air Force                        18,000             18,000   .................
  107-80 Family Housing, Army                                    27,200             27,200   .................
  107-80 Family Housing, Navy and Marine Corps                   20,300             20,300   .................
  107-80 Family Housing, Air Force                               18,000             18,000   .................
  107-80 Base realignment and closure account, part               9,000              9,000   .................
          IV
                                                      ----------------------------------------------------------
               Total, chapter 4                                  92,500             92,500   .................
                                                      ==========================================================
               Total, title I, National Security              5,840,800          5,918,800            +78,000
                Matters (net)
                                                      ==========================================================
          TITLE II--OTHER SUPPLEMENTAL APPROPRIATIONS

                           CHAPTER 1

                   DEPARTMENT OF AGRICULTURE

          Animal and Plant Health Inspection Service

  107-80 Salaries and expenses                                   35,000             35,000   .................

                      Farm Service Agency

      -- Agricultural conservation program             .................           -45,000            -45,000
          (rescission)

                      General Provisions

  107-80 Klamath Basin                                           20,000   .................           -20,000
                                                      ----------------------------------------------------------
               Total, chapter 1 (net)                            55,000            -10,000            -65,000
                   Appropriations                               (55,000)           (35,000)          (-20,000)
                   Rescissions                         .................          (-45,000)          (-45,000)
                                                      ==========================================================
                           CHAPTER 2

                    DEPARTMENT OF COMMERCE

               National Oceanic and Atmospheric
                        Administration

      -- Coastal and Ocean activities                  .................             8,000             +8,000
      --     (Rescission)                              .................            -8,000             -8,000

                    Departmental Management

         Emergency Oil and Gas guaranteed loan
          program:
      --     (Rescission)                              .................          -110,000           -110,000

                        RELATED AGENCY

                 Small Business Administration

      -- Salaries and expenses                         .................            30,000            +30,000
      --     (Rescission)                              .................           -30,000            -30,000

         Business Loans Program Account:
      --     Guaranteed loans subsidy                  .................            22,000            +22,000
      --         (Rescission)                          .................           -22,000            -22,000
                                                      ==========================================================
                   Total, chapter 2 (net)              .................          -110,000           -110,000
                       Appropriations                  .................           (60,000)          (+60,000)
                       Rescissions                     .................         (-170,000)         (-170,000)
                                                      ==========================================================
                           CHAPTER 3

                  DISTRICT OF COLUMBIA FUNDS

                         General Fund

  107-81 Governmental direction and support (incl                (5,400)            (5,400)  .................
          rescission)
  107-81 Economic development and regulation                     (1,625)            (1,625)  .................
  107-81 Public safety and justice (including                    (8,770)            (8,770)  .................
          rescission)
  107-81 Public education system                                (13,000)           (13,000)  .................
  107-81 Human support services                                 (28,000)           (28,000)  .................
  107-81 Public works                                              (131)              (131)  .................
  107-81 Workforce investments                                  (40,500)           (40,500)  .................
  107-81 Wilson Building                                         (7,100)            (7,100)  .................
                                                      ----------------------------------------------------------
               Total, general fund (including                  (104,526)          (104,526)  .................
                transfer)
                                                      ==========================================================
                  Enterprise and Other Funds

  107-81 Water and Sewer Authority                               (2,151)            (2,151)  .................
                                                      ----------------------------------------------------------
               Total, chapter 3                                (106,677)          (106,677)  .................
                                                      ==========================================================
                           CHAPTER 4

                 DEPARTMENT OF DEFENSE--CIVIL

                    Department of the Army

                   Corps of Engineers--Civil

  107-80 Flood Control and Coastal Emergencies                   50,000             50,000   .................

                     DEPARTMENT OF ENERGY

                        Energy Programs

  107-80 Non-Defense Environmental Management                    11,400             11,400   .................
  107-80 Uranium Facilities Maintenance and                      18,000             18,000   .................
          Remediation
                                                      ----------------------------------------------------------
               Total, Department of Energy                       29,400             29,400   .................
                                                      ----------------------------------------------------------
               Total, chapter 4                                  79,400             79,400   .................
                                                      ==========================================================
                           CHAPTER 5

                 BILATERAL ECONOMIC ASSISTANCE

             Agency for International Development

      -- Child survival and disease programs fund      .................           100,000           +100,000
      --     (Rescission)                              .................           -10,000            -10,000
                                                      ----------------------------------------------------------
               Total, Agency for International         .................            90,000            +90,000
                Development
                                                      ==========================================================
               INTERNATIONAL ASSISTANCE PROGRAMS

               International Security Assistance

  107-80 Economic Support Fund (rescission)                     -20,000   .................           +20,000
                                                      ----------------------------------------------------------
               Total, chapter 5 (net)                           -20,000             90,000           +110,000
                   Appropriations                      .................          (100,000)         (+100,000)
                   Rescissions                                 (-20,000)          (-10,000)          (+10,000)
                                                      ==========================================================
                           CHAPTER 6

                  DEPARTMENT OF THE INTERIOR

                     National Park Service

      -- Operation of the National Park Service        .................             4,200             +4,200
      --     (Rescission)                              .................            -4,200             -4,200

                   Bureau of Indian Affairs

  107-80 Operation of Indian Programs                            50,000             50,000   .................

                        RELATED AGENCY

                   DEPARTMENT OF AGRICULTURE

                        Forest Service

      -- Capital Improvements and Maintenance          .................             5,000             +5,000
      --     (Rescission)                              .................            -5,000             -5,000
                                                      ----------------------------------------------------------
               Total, chapter 6 (net)                            50,000             50,000   .................
                   Appropriations                               (50,000)           (59,200)           (+9,200)
                   Rescissions                         .................           (-9,200)           (-9,200)
                                                      ==========================================================
                           CHAPTER 7

                      DEPARTMENT OF LABOR

            Employment and Training Administration

      -- Training and employment services              .................            45,000            +45,000
      --     (Rescission)                              .................          -262,500           -262,500
                                                      ----------------------------------------------------------
               Total, Employment and Training          .................          -217,500           -217,500
                Administration
                                                      ==========================================================
            DEPARTMENT OF HEALTH AND HUMAN SERVICES

         Health Resources and Services Administration

         Health Resources and Services Administration  .................             1,500             +1,500
      --     (Offset)                                  .................            -1,500             -1,500

          Substance Abuse and Mental Health Services
                        Administration

      -- Substance Abuse and Mental Health Services    .................             6,500             +6,500

           Administration for Children and Families

  107-80 Low Income Home Energy Assistance Program              150,000            300,000           +150,000
                                                      ----------------------------------------------------------
               Total, Department of Health and Human            150,000            306,500           +156,500
                Services
                                                      ==========================================================
                    DEPARTMENT OF EDUCATION

      -- Education for the disadvantaged               .................           161,000           +161,000
                                                      ----------------------------------------------------------
               Total, chapter 7 (net)                           150,000            250,000           +100,000
                   Appropriations                              (150,000)          (514,000)         (+364,000)
                   Rescissions                         .................         (-262,500)         (-262,500)
                   Offsets                             .................           (-1,500)           (-1,500)
                                                      ==========================================================
                           CHAPTER 8

                      LEGISLATIVE BRANCH

                   Congressional Operations

                   House of Representatives

                     Salaries and Expenses

  107-80 Members' Representational Allowances,                   47,214   .................           -47,214
          Standing Committees, Special and Select,
          Committee on Appropriations, Allowances and
          Expenses
  107-80 Salaries, Officers and Employees                        14,448   .................           -14,448
                                                      ----------------------------------------------------------
               Total, House of Representatives                   61,662   .................           -61,662
                                                      ==========================================================
                     Office of Compliance

  107-80 Salaries and expenses                                       35                 35   .................

                  Government Printing Office

  107-80 Congressional Printing and Binding                       9,900              9,900   .................
  107-80 Government Printing Office Revolving Fund                6,000              6,000   .................
                                                      ----------------------------------------------------------
               Total, Government Printing Office                 15,900             15,900   .................
                                                      ==========================================================
                   General Accounting Office

   107-3 Salaries and expenses                                    2,600   .................            -2,600
                                                      ----------------------------------------------------------
               Total, chapter 8                                  80,197             15,935            -64,262
                                                      ==========================================================
                           CHAPTER 9

                 DEPARTMENT OF TRANSPORTATION

                          Coast Guard

  107-80 Operating Expenses                                      92,000             92,000   .................

                Federal Highway Administration

         Federal-aid highways (Highway Trust Fund):
      --     (Rescission of contract authority)        .................           -10,000            -10,000
                                                      ----------------------------------------------------------
               Total, chapter 9 (net)                            92,000             82,000            -10,000
                   Appropriations                               (92,000)           (92,000)  .................
                   Rescission of contract authority    .................          (-10,000)          (-10,000)
                                                      ==========================================================
                          CHAPTER 10

                  DEPARTMENT OF THE TREASURY

                     Departmental Offices

  107-80 Salaries and Expenses (Winter Olympics                  60,601             59,956               -645
          security)
  107-80 Tax Rebate Implementation                              115,776   .................          -115,776
                                                      ----------------------------------------------------------
               Total, Departmental Offices                      176,377             59,956           -116,421
                                                      ==========================================================
                 Financial Management Service

      -- Salaries and expenses                         .................            49,576            +49,576

                   Internal Revenue Service

      -- Processing, assistance, and management        .................            66,200            +66,200
                                                      ----------------------------------------------------------
               Total, chapter 10                                176,377            175,732               -645
                                                      ==========================================================
                          CHAPTER 11

                DEPARTMENT OF VETERANS AFFAIRS

               Veterans Benefits Administration

  107-80 Compensation and Pensions                              589,413            589,413   .................
  107-80 Readjustment Benefits                                  347,000            347,000   .................
                                                      ----------------------------------------------------------
               Total, Veterans Benefits                         936,413            936,413   .................
                Administration
                                                      ==========================================================
                  Departmental Administration

  107-80 General Operating Expenses (transfer from              (19,000)           (19,000)  .................
          Medical Care)

          DEPARTMENT OF HOUSING AND URBAN DEVELOPMENT

                Federal Housing Administration

  107-80 FHA--General and Special Risk Program                   40,000   .................           -40,000
          Account
                                                      ----------------------------------------------------------
               Total, chapter 11 (net)                          976,413            936,413            -40,000
                                                      ==========================================================
               Total, title II, Other Supplementals           1,639,387          1,559,480            -79,907
                (net)
                                                      ==========================================================
                      GENERAL PROVISIONS

      -- U.S.-China Security Review Commission         .................             1,700             +1,700
          (section 3002)
                                                      ==========================================================
               Grand total (net)                              7,480,187          7,479,980               -207
                   Appropriations                            (8,066,187)        (8,780,180)         (+713,993)
                   Rescissions                                 (-20,000)       (-1,288,700)       (-1,268,700)
                   Offsets                                    (-566,000)           (-1,500)         (+564,500)
                       (By transfer)                            (19,000)           (19,000)  .................
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