{"database": "openregs", "table": "cfr_sections", "is_view": false, "human_description_en": "where part_number = 583 sorted by section_id", "rows": [["24:24:3.1.1.3.10.1.1.1", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "A", "Subpart A\u2014General", "", "\u00a7 583.1 Purpose and scope.", "HUD", "", "", "[58 FR 13871, Mar. 15, 1993, as amended at 61 FR 51175, Sept. 30, 1996]", "(a)  General.  The Supportive Housing Program is authorized by title IV of the Stewart B. McKinney Homeless Assistance Act (the McKinney Act) (42 U.S.C. 11381-11389). The Supportive Housing program is designed to promote the development of supportive housing and supportive services, including innovative approaches to assist homeless persons in the transition from homelessness, and to promote the provision of supportive housing to homeless persons to enable them to live as independently as possible.\n\n(b)  Components.  Funds under this part may be used for:\n\n(1) Transitional housing to facilitate the movement of homeless individuals and families to permanent housing;\n\n(2) Permanent housing that provides long-term housing for homeless persons with disabilities;\n\n(3) Housing that is, or is part of, a particularly innovative project for, or alternative methods of, meeting the immediate and long-term needs of homeless persons; or\n\n(4) Supportive services for homeless persons not provided in conjunction with supportive housing."], ["24:24:3.1.1.3.10.1.1.2", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "A", "Subpart A\u2014General", "", "\u00a7 583.5 Definitions.", "HUD", "", "", "[61 FR 51175, Sept. 30, 1996, as amended at 76 FR 76016, Dec. 5, 2011]", "As used in this part:\n\nApplicant  is defined in section 422(1) of the McKinney Act (42 U.S.C. 11382(1)). For purposes of this definition, governmental entities include those that have general governmental powers (such as a city or county), as well as those that have limited or special powers (such as public housing agencies).\n\nConsolidated plan  means the plan that a jurisdiction prepares and submits to HUD in accordance with 24 CFR part 91.\n\nDate of initial occupancy  means the date that the supportive housing is initially occupied by a homeless person for whom HUD provides assistance under this part. If the assistance is for an existing homeless facility, the  date of initial occupancy  is the date that services are first provided to the residents of supportive housing with funding under this part.\n\nDate of initial service provision  means the date that supportive services are initially provided with funds under this part to homeless persons who do not reside in supportive housing. This definition applies only to projects funded under this part that do not provide supportive housing.\n\nDevelopmental disability  means, as defined in section 102 of the Developmental Disabilities Assistance and Bill of Rights Act of 2000 (42 U.S.C. 15002):\n\n(1) A severe, chronic disability of an individual that\u2014\n\n(i) Is attributable to a mental or physical impairment or combination of mental and physical impairments;\n\n(ii) Is manifested before the individual attains age 22;\n\n(iii) Is likely to continue indefinitely;\n\n(iv) Results in substantial functional limitations in three or more of the following areas of major life activity:\n\n(A) Self-care;\n\n(B) Receptive and expressive language;\n\n(C) Learning;\n\n(D) Mobility;\n\n(E) Self-direction;\n\n(F) Capacity for independent living;\n\n(G) Economic self-sufficiency; and\n\n(v) Reflects the individual's need for a combination and sequence of special, interdisciplinary, or generic services, individualized supports, or other forms of assistance that are of lifelong or extended duration and are individually planned and coordinated.\n\n(2) An individual from birth to age 9, inclusive, who has a substantial developmental delay or specific congenital or acquired condition, may be considered to have a developmental disability without meeting three or more of the criteria described in paragraphs (1)(i) through (v) of the definition of \u201cdevelopmental disability\u201d in this section if the individual, without services and supports, has a high probability of meeting those criteria later in life.\n\nDisability  means:\n\n(1) A condition that:\n\n(i) Is expected to be long-continuing or of indefinite duration;\n\n(ii) Substantially impedes the individual's ability to live independently;\n\n(iii) Could be improved by the provision of more suitable housing conditions; and\n\n(iv) Is a physical, mental, or emotional impairment, including an impairment caused by alcohol or drug abuse, post-traumatic stress disorder, or brain injury;\n\n(2) A developmental disability, as defined in this section; or\n\n(3) The disease of acquired immunodeficiency syndrome (AIDS) or any conditions arising from the etiologic agent for acquired immunodeficiency syndrome, including infection with the human immunodeficiency virus (HIV).\n\nHomeless  means:\n\n(1) An individual or family who lacks a fixed, regular, and adequate nighttime residence, meaning:\n\n(i) An individual or family with a primary nighttime residence that is a public or private place not designed for or ordinarily used as a regular sleeping accommodation for human beings, including a car, park, abandoned building, bus or train station, airport, or camping ground;\n\n(ii) An individual or family living in a supervised publicly or privately operated shelter designated to provide temporary living arrangements (including congregate shelters, transitional housing, and hotels and motels paid for by charitable organizations or by federal, state, or local government programs for low-income individuals); or\n\n(iii) An individual who is exiting an institution where he or she resided for 90 days or less and who resided in an emergency shelter or place not meant for human habitation immediately before entering that institution;\n\n(2) An individual or family who will imminently lose their primary nighttime residence, provided that:\n\n(i) The primary nighttime residence will be lost within 14 days of the date of application for homeless assistance;\n\n(ii) No subsequent residence has been identified; and\n\n(iii) The individual or family lacks the resources or support networks, e.g., family, friends, faith-based or other social networks, needed to obtain other permanent housing;\n\n(3) Unaccompanied youth under 25 years of age, or families with children and youth, who do not otherwise qualify as homeless under this definition, but who:\n\n(i) Are defined as homeless under section 387 of the Runaway and Homeless Youth Act (42 U.S.C. 5732a), section 637 of the Head Start Act (42 U.S.C. 9832), section 41403 of the Violence Against Women Act of 1994 (42 U.S.C. 14043e-2), section 330(h) of the Public Health Service Act (42 U.S.C. 254b(h)), section 3 of the Food and Nutrition Act of 2008 (7 U.S.C. 2012), section 17(b) of the Child Nutrition Act of 1966 (42 U.S.C. 1786(b)), or section 725 of the McKinney-Vento Homeless Assistance Act (42 U.S.C. 11434a);\n\n(ii) Have not had a lease, ownership interest, or occupancy agreement in permanent housing at any time during the 60 days immediately preceding the date of application for homeless assistance;\n\n(iii) Have experienced persistent instability as measured by two moves or more during the 60-day period immediately preceding the date of applying for homeless assistance; and\n\n(iv) Can be expected to continue in such status for an extended period of time because of chronic disabilities, chronic physical health or mental health conditions, substance addiction, histories of domestic violence or childhood abuse (including neglect), the presence of a child or youth with a disability, or two or more barriers to employment, which include the lack of a high school degree or General Education Development (GED), illiteracy, low English proficiency, a history of incarceration or detention for criminal activity, and a history of unstable employment; or\n\n(4) Any individual or family who:\n\n(i) Is fleeing, or is attempting to flee, domestic violence, dating violence, sexual assault, stalking, or other dangerous or life-threatening conditions that relate to violence against the individual or a family member, including a child, that has either taken place within the individual's or family's primary nighttime residence or has made the individual or family afraid to return to their primary nighttime residence;\n\n(ii) Has no other residence; and\n\n(iii) Lacks the resources or support networks, e.g., family, friends, and faith-based or other social networks, to obtain other permanent housing.\n\nMetropolitan city  is defined in section 102(a)(4) of the Housing and Community Development Act of 1974 (42 U.S.C. 5302(a)(4)). In general, metropolitan cities are those cities that are eligible for an entitlement grant under 24 CFR part 570, subpart D.\n\nNew construction  means the building of a structure where none existed or an addition to an existing structure that increases the floor area by more than 100 percent.\n\nOperating costs  is defined in section 422(5) of the McKinney Act (42 U.S.C. 11382(5)).\n\nOutpatient health services  is defined in section 422(6) of the McKinney Act (42 U.S.C. 11382(6)).\n\nPermanent housing for homeless persons with disabilities  is defined in section 424(c) of the McKinney Act (42 U.S.C. 11384(c)).\n\nPrivate nonprofit organization  is defined in section 422(7) (A), (B), and (D) of the McKinney Act (42 U.S.C. 11382(7) (A), (B), and (D)). The organization must also have a functioning accounting system that is operated in accordance with generally accepted accounting principles, or designate an entity that will maintain a functioning accounting system for the organization in accordance with generally accepted accounting principles.\n\nProject  is defined in sections 422(8) and 424(d) of the McKinney Act (42 U.S.C. 11382(8), 11384(d)).\n\nRecipient  is defined in section 422(9) of the McKinney Act (42 U.S.C. 11382(9)).\n\nRehabilitation  means the improvement or repair of an existing structure or an addition to an existing structure that does not increase the floor area by more than 100 percent. Rehabilitation does not include minor or routine repairs.\n\nState  is defined in section 422(11) of the McKinney Act (42 U.S.C. 11382(11)).\n\nSupportive housing  is defined in section 424(a) of the McKinney Act (42 U.S.C. 11384(a)).\n\nSupportive services  is defined in section 425 of the McKinney Act (42 U.S.C. 11385).\n\nTransitional housing  is defined in section 424(b) of the McKinney Act (42 U.S.C. 11384(b)). See also \u00a7 583.300(j).\n\nTribe  is defined in section 102 of the Housing and Community Development Act of 1974 (42 U.S.C. 5302).\n\nUrban county  is defined in section 102(a)(6) of the Housing and Community Development Act of 1974 (42 U.S.C. 5302(a)(6)). In general, urban counties are those counties that are eligible for an entitlement grant under 24 CFR part 570, subpart D."], ["24:24:3.1.1.3.10.2.1.1", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "B", "Subpart B\u2014Assistance Provided", "", "\u00a7 583.100 Types and uses of assistance.", "HUD", "", "", "[58 FR 13871, Mar. 15, 1993, as amended at 59 FR 36891, July 19, 1994]", "(a)  Grant assistance.  Assistance in the form of grants is available for acquisition of structures, rehabilitation of structures, acquisition and rehabilitation of structures, new construction, leasing, operating costs for supportive housing, and supportive services, as described in \u00a7\u00a7 583.105 through 583.125. Applicants may apply for more than one type of assistance.\n\n(b)  Uses of grant assistance.  Grant assistance may be used to:\n\n(1) Establish new supportive housing facilities or new facilities to provide supportive services;\n\n(2) Expand existing facilities in order to increase the number of homeless persons served;\n\n(3) Bring existing facilities up to a level that meets State and local government health and safety standards;\n\n(4) Provide additional supportive services for residents of supportive housing or for homeless persons not residing in supportive housing;\n\n(5) Purchase HUD-owned single family properties currently leased by the applicant for use as a homeless facility under 24 CFR part 291; and\n\n(6) Continue funding supportive housing where the recipient has received funding under this part for leasing, supportive services, or operating costs.\n\n(c)  Structures used for multiple purposes.  Structures used to provide supportive housing or supportive services may also be used for other purposes, except that assistance under this part will be available only in proportion to the use of the structure for supportive housing or supportive services.\n\n(d)  Technical assistance.  HUD may offer technical assistance, as described in \u00a7 583.140."], ["24:24:3.1.1.3.10.2.1.10", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "B", "Subpart B\u2014Assistance Provided", "", "\u00a7 583.145 Matching requirements.", "HUD", "", "", "[58 FR 13871, Mar. 15, 1993, as amended at 73 FR 75326, Dec. 11, 2008]", "(a)  General.  The recipient must match the funds provided by HUD for grants for acquisition, rehabilitation, and new construction with an equal amount of funds from other sources.\n\n(b)  Cash resources.  The matching funds must be cash resources provided to the project by one or more of the following: the recipient, the Federal government, State and local governments, and private resources, in accordance with 42 U.S.C. 11386. This statute provides that a recipient may use funds from any source, including any other Federal source (but excluding the specific statutory subtitle from which Supportive Housing Program funds are provided), as well as State, local, and private sources, provided that funds from the other source are not statutorily prohibited to be used as a match. It is the responsibility of the recipient to ensure that any funds used to satisfy the matching requirements of this section are eligible under the laws governing the funds to be used as matching funds for a grant awarded under this program.\n\n(c)  Maintenance of effort.  State or local government funds used in the matching contribution are subject to the maintenance of effort requirements described at \u00a7 583.150(a)."], ["24:24:3.1.1.3.10.2.1.11", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "B", "Subpart B\u2014Assistance Provided", "", "\u00a7 583.150 Limitations on use of assistance.", "HUD", "", "", "[58 FR 13871, Mar. 15, 1993, as amended at 59 FR 36892, July 19, 1993; 68 FR 56407, Sept. 30, 2003; 80 FR 75940, Dec. 7, 2015]", "(a)  Maintenance of effort.  No assistance provided under this part (or any State or local government funds used to supplement this assistance) may be used to replace State or local funds previously used, or designated for use, to assist homeless persons.\n\n(b)  Faith-based activities.  (1) Organizations that are religious or faith-based are eligible, on the same basis as any other organization, to participate in the Supportive Housing Program. Neither the Federal government nor a State or local government receiving funds under Supportive Housing programs shall discriminate against an organization on the basis of the organization's religious character or affiliation.\n\n(2) Organizations that are directly funded under the Supportive Housing Program may not engage in inherently religious activities, such as worship, religious instruction, or proselytization as part of the programs or services funded under this part. If an organization conducts such activities, the activities must be offered separately, in time or location, from the programs or services funded under this part, and participation must be voluntary for the beneficiaries of the HUD-funded programs or services.\n\n(3) A religious organization that participates in the Supportive Housing Program will retain its independence from Federal, State, and local governments, and may continue to carry out its mission, including the definition, practice, and expression of its religious beliefs, provided that it does not use direct Supportive Housing Program funds to support any inherently religious activities, such as worship, religious instruction, or proselytization. Among other things, faith-based organizations may use space in their facilities to provide Supportive Housing Program-funded services, without removing religious art, icons, scriptures, or other religious symbols. In addition, a Supportive Housing Program-funded religious organization retains its authority over its internal governance, and it may retain religious terms in its organization's name, select its board members on a religious basis, and include religious references in its organization's mission statements and other governing documents.\n\n(4) An organization that participates in the Supportive Housing Program shall not, in providing program assistance, discriminate against a program beneficiary or prospective program beneficiary on the basis of religion or religious belief.\n\n(5) Program funds may not be used for the acquisition, construction, or rehabilitation of structures to the extent that those structures are used for inherently religious activities. Program funds may be used for the acquisition, construction, or rehabilitation of structures only to the extent that those structures are used for conducting eligible activities under this part. Where a structure is used for both eligible and inherently religious activities, program funds may not exceed the cost of those portions of the acquisition, construction, or rehabilitation that are attributable to eligible activities in accordance with the cost accounting requirements applicable to Supportive Housing Program funds in this part. Sanctuaries, chapels, or other rooms that a Supportive Housing Program-funded religious congregation uses as its principal place of worship, however, are ineligible for Supportive Housing Program-funded improvements. Disposition of real property after the term of the grant, or any change in use of the property during the term of the grant, is subject to government-wide regulations governing real property disposition ( see  24 CFR parts 84 and 85 (as revised April 1, 2013)).\n\n(6) If a State or local government voluntarily contributes its own funds to supplement federally funded activities, the State or local government has the option to segregate the Federal funds or commingle them. However, if the funds are commingled, this section applies to all of the commingled funds.\n\n(c)  Participant control of site.  Where an applicant does not propose to have control of a site or sites but rather proposes to assist a homeless family or individual in obtaining a lease, which may include assistance with rent payments and receiving supportive services, after which time the family or individual remains in the same housing without further assistance under this part, that applicant may not request assistance for acquisition, rehabilitation, or new construction."], ["24:24:3.1.1.3.10.2.1.12", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "B", "Subpart B\u2014Assistance Provided", "", "\u00a7 583.155 Consolidated plan.", "HUD", "", "", "[60 FR 16380, Mar. 30, 1995]", "(a)  Applicants that are States or units of general local government.  The applicant must have a HUD-approved complete or abbreviated consolidated plan, in accordance with 24 CFR part 91, and must submit a certification that the application for funding is consistent with the HUD-approved consolidated plan. Funded applicants must certify in a grant agreement that they are following the HUD-approved consolidated plan.\n\n(b)  Applicants that are not States or units of general local government.  The applicant must submit a certification by the jurisdiction in which the proposed project will be located that the applicant's application for funding is consistent with the jurisdiction's HUD-approved consolidated plan. The certification must be made by the unit of general local government or the State, in accordance with the consistency certification provisions of the consolidated plan regulations, 24 CFR part 91, subpart F.\n\n(c)  Indian tribes and the Insular Areas of Guam, the U.S. Virgin Islands, American Samoa, and the Northern Mariana Islands.  These entities are not required to have a consolidated plan or to make consolidated plan certifications. An application by an Indian tribe or other applicant for a project that will be located on a reservation of an Indian tribe will not require a certification by the tribe or the State. However, where an Indian tribe is the applicant for a project that will not be located on a reservation, the requirement for a certification under paragraph (b) of this section will apply.\n\n(d)  Timing of consolidated plan certification submissions.  Unless otherwise set forth in the NOFA, the required certification that the application for funding is consistent with the HUD-approved consolidated plan must be submitted by the funding application submission deadline announced in the NOFA."], ["24:24:3.1.1.3.10.2.1.2", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "B", "Subpart B\u2014Assistance Provided", "", "\u00a7 583.105 Grants for acquisition and rehabilitation.", "HUD", "", "", "", "(a)  Use.  HUD will grant funds to recipients to:\n\n(1) Pay a portion of the cost of the acquisition of real property selected by the recipients for use in the provision of supportive housing or supportive services, including the repayment of any outstanding debt on a loan made to purchase property that has not been used previously as supportive housing or for supportive services;\n\n(2) Pay a portion of the cost of rehabilitation of structures, including cost-effective energy measures, selected by the recipients to provide supportive housing or supportive services; or\n\n(3) Pay a portion of the cost of acquisition and rehabilitation of structures, as described in paragraphs (a)(1) and (2) of this section.\n\n(b)  Amount.  The maximum grant available for acquisition, rehabilitation, or acquisition and rehabilitation is the lower of:\n\n(1) $200,000; or\n\n(2) The total cost of the acquisition, rehabilitation, or acquisition and rehabilitation minus the applicant's contribution toward the cost.\n\n(c)  Increased amounts.  In areas determined by HUD to have high acquisition and rehabilitation costs, grants of more than $200,000, but not more than $400,000, may be available."], ["24:24:3.1.1.3.10.2.1.3", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "B", "Subpart B\u2014Assistance Provided", "", "\u00a7 583.110 Grants for new construction.", "HUD", "", "", "", "(a)  Use.  HUD will grant funds to recipients to pay a portion of the cost of new construction, including cost-effective energy measures and the cost of land associated with that construction, for use in the provision of supportive housing. If the grant funds are used for new construction, the applicant must demonstrate that the costs associated with new construction are substantially less than the costs associated with rehabilitation or that there is a lack of available appropriate units that could be rehabilitated at a cost less than new construction. For purposes of this cost comparison, costs associated with rehabilitation or new construction may include the cost of real property acquisition.\n\n(b)  Amount.  The maximum grant available for new construction is the lower of:\n\n(1) $400,000; or\n\n(2) The total cost of the new construction, including the cost of land associated with that construction, minus the applicant's contribution toward the cost of same."], ["24:24:3.1.1.3.10.2.1.4", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "B", "Subpart B\u2014Assistance Provided", "", "\u00a7 583.115 Grants for leasing.", "HUD", "", "", "[58 FR 13871, Mar. 15, 1993, as amended at 59 FR 36891, July 19, 1994]", "(a)  General.  HUD will provide grants to pay (as described in \u00a7 583.130 of this part) for the actual costs of leasing a structure or structures, or portions thereof, used to provide supportive housing or supportive services for up to five years.\n\n(b)(1)  Leasing structures.  Where grants are used to pay rent for all or part of structures, the rent paid must be reasonable in relation to rents being charged in the area for comparable space. In addition, the rent paid may not exceed rents currently being charged by the same owner for comparable space.\n\n(2)  Leasing individual units.  Where grants are used to pay rent for individual housing units, the rent paid must be reasonable in relation to rents being charged for comparable units, taking into account the location, size, type, quality, amenities, facilities, and management services. In addition, the rents may not exceed rents currently being charged by the same owner for comparable unassisted units, and the portion of rents paid with grant funds may not exceed HUD-determined fair market rents. Recipients may use grant funds in an amount up to one month's rent to pay the non-recipient landlord for any damages to leased units by homeless participants."], ["24:24:3.1.1.3.10.2.1.5", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "B", "Subpart B\u2014Assistance Provided", "", "\u00a7 583.120 Grants for supportive services costs.", "HUD", "", "", "[58 FR 13871, Mar. 15, 1993, as amended at 59 FR 36891, July 19, 1994]", "(a)  General.  HUD will provide grants to pay (as described in \u00a7 583.130 of this part) for the actual costs of supportive services for homeless persons for up to five years. All or part of the supportive services may be provided directly by the recipient or by arrangement with public or private service providers.\n\n(b)  Supportive services costs.  Costs associated with providing supportive services include salaries paid to providers of supportive services and any other costs directly associated with providing such services. For a transitional housing project, supportive services costs also include the costs of services provided to former residents of transitional housing to assist their adjustment to independent living. Such services may be provided for up to six months after they leave the transitional housing facility."], ["24:24:3.1.1.3.10.2.1.6", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "B", "Subpart B\u2014Assistance Provided", "", "\u00a7 583.125 Grants for operating costs.", "HUD", "", "", "[58 FR 13871, Mar. 15, 1993, as amended at 61 FR 51175, Sept. 30, 1996; 65 FR 30823, May 12, 2000]", "(a)  General.  HUD will provide grants to pay a portion (as described in \u00a7 583.130) of the actual operating costs of supportive housing for up to five years.\n\n(b)  Operating costs.  Operating costs are those associated with the day-to-day operation of the supportive housing. They also include the actual expenses that a recipient incurs for conducting on-going assessments of the supportive services needed by residents and the availability of such services; relocation assistance under \u00a7 583.310, including payments and services; and insurance.\n\n(c)  Recipient match requirement for operating costs.  Assistance for operating costs will be available for up to 75 percent of the total cost in each year of the grant term. The recipient must pay the percentage of the actual operating costs not funded by HUD. At the end of each operating year, the recipient must demonstrate that it has met its match requirement of the costs for that year."], ["24:24:3.1.1.3.10.2.1.7", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "B", "Subpart B\u2014Assistance Provided", "", "\u00a7 583.130 Commitment of grant amounts for leasing, supportive services, and operating costs.", "HUD", "", "", "[59 FR 36891, July 19, 1994]", "Upon execution of a grant agreement covering assistance for leasing, supportive services, or operating costs, HUD will obligate amounts for a period not to exceed five operating years. The total amount obligated will be equal to an amount necessary for the specified years of operation, less the recipient's share of operating costs."], ["24:24:3.1.1.3.10.2.1.8", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "B", "Subpart B\u2014Assistance Provided", "", "\u00a7 583.135 Administrative costs.", "HUD", "", "", "[58 FR 13871, Mar. 15, 1993, as amended at 61 FR 51175, Sept. 30, 1996]", "(a)  General.  Up to five percent of any grant awarded under this part may be used for the purpose of paying costs of administering the assistance.\n\n(b)  Administrative costs.  Administrative costs include the costs associated with accounting for the use of grant funds, preparing reports for submission to HUD, obtaining program audits, similar costs related to administering the grant after the award, and staff salaries associated with these administrative costs. They do not include the costs of carrying out eligible activities under \u00a7\u00a7 583.105 through 583.125."], ["24:24:3.1.1.3.10.2.1.9", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "B", "Subpart B\u2014Assistance Provided", "", "\u00a7 583.140 Technical assistance.", "HUD", "", "", "[59 FR 36892, July 19, 1994]", "(a)  General.  HUD may set aside funds annually to provide technical assistance, either directly by HUD staff or indirectly through third-party providers, for any supportive housing project. This technical assistance is for the purpose of promoting the development of supportive housing and supportive services as part of a continuum of care approach, including innovative approaches to assist homeless persons in the transition from homelessness, and promoting the provision of supportive housing to homeless persons to enable them to live as independently as possible.\n\n(b)  Uses of technical assistance.  HUD may use these funds to provide technical assistance to prospective applicants, applicants, recipients, or other providers of supportive housing or services for homeless persons, for supportive housing projects. The assistance may include, but is not limited to, written information such as papers, monographs, manuals, guides, and brochures; person-to-person exchanges; and training and related costs.\n\n(c)  Selection of providers.  From time to time, as HUD determines the need, HUD may advertise and competitively select providers to deliver technical assistance. HUD may enter into contracts, grants, or cooperative agreements, when necessary, to implement the technical assistance."], ["24:24:3.1.1.3.10.3.1.1", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "C", "Subpart C\u2014Application and Grant Award Process", "", "\u00a7 583.200 Application and grant award.", "HUD", "", "", "[61 FR 51176, Sept. 30, 1996]", "When funds are made available for assistance, HUD will publish a notice of funding availability (NOFA) in the  Federal Register,  in accordance with the requirements of 24 CFR part 4. HUD will review and screen applications in accordance with the requirements in section 426 of the McKinney Act (42 U.S.C. 11386) and the guidelines, rating criteria, and procedures published in the NOFA."], ["24:24:3.1.1.3.10.3.1.2", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "C", "Subpart C\u2014Application and Grant Award Process", "", "\u00a7 583.230 Environmental review.", "HUD", "", "", "[68 FR 56131, Sept. 29, 2003]", "(a) Activities under this part are subject to HUD environmental regulations in part 58 of this title, except that HUD will perform an environmental review in accordance with part 50 of this title prior to its approval of any conditionally selected applications for Fiscal Year 2000 and prior years that were received directly from private nonprofit entities and governmental entities with special or limited purpose powers. For activities under a grant that generally would be subject to review under part 58, HUD may make a finding in accordance with \u00a7 58.11(d) and may itself perform the environmental review under the provisions of part 50 of this title if the recipient objects in writing to the responsible entity's performing the review under part 58. Irrespective of whether the responsible entity in accord with part 58 (or HUD in accord with part 50) performs the environmental review, the recipient shall supply all available, relevant information necessary for the responsible entity (or HUD, if applicable) to perform for each property any environmental review required by this part. The recipient also shall carry out mitigating measures required by the responsible entity (or HUD, if applicable) or select alternate eligible property. HUD may eliminate from consideration any application that would require an Environmental Impact Statement (EIS).\n\n(b) The recipient, its project partners and their contractors may not acquire, rehabilitate, convert, lease, repair, dispose of, demolish or construct property for a project under this part, or commit or expend HUD or local funds for such eligible activities under this part, until the responsible entity (as defined in \u00a7 58.2 of this title) has completed the environmental review procedures required by part 58 and the environmental certification and RROF have been approved or HUD has performed an environmental review under part 50 and the recipient has received HUD approval of the property. HUD will not release grant funds if the recipient or any other party commits grant funds ( i.e.,  incurs any costs or expenditures to be paid or reimbursed with such funds) before the recipient submits and HUD approves its RROF (where such submission is required)."], ["24:24:3.1.1.3.10.3.1.3", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "C", "Subpart C\u2014Application and Grant Award Process", "", "\u00a7 583.235 Renewal grants.", "HUD", "", "", "", "(a)  General.  Grants made under this part, and grants made under subtitles C and D (the Supportive Housing Demonstration and SAFAH, respectively) of the Stewart B. McKinney Homeless Assistance Act as in effect before October 28, 1992, may be renewed on a noncompetitive basis to continue ongoing leasing, operations, and supportive services for additional years beyond the initial funding period. To be considered for renewal funding for leasing, operating costs, or supportive services, recipients must submit a request for such funding in the form specified by HUD, must meet the requirements of this part, and must submit requests within the time period established by HUD.\n\n(b)  Assistance available.  The first renewal will be for a period of time not to exceed the difference between the end of the initial funding period and ten years from the date of initial occupancy or the date of initial service provision, as applicable. Any subsequent renewal will be for a period of time not to exceed five years. Assistance during each year of the renewal period, subject to maintenance of effort requirements under \u00a7 583.150(a) may be for:\n\n(1) Up to 50 percent of the actual operating and leasing costs in the final year of the initial funding period;\n\n(2) Up to the amount of HUD assistance for supportive services in the final year of the initial funding period; and\n\n(3) An allowance for cost increases.\n\n(c)  HUD review.  (1) HUD will review the request for renewal and will evaluate the recipient's performance in previous years against the plans and goals established in the initial application for assistance, as amended. HUD will approve the request for renewal unless the recipient proposes to serve a population that is not homeless, or the recipient has not shown adequate progress as evidenced by an unacceptably slow expenditure of funds, or the recipient has been unsuccessful in assisting participants in achieving and maintaining independent living. In determining the recipient's success in assisting participants to achieve and maintain independent living, consideration will be given to the level and type of problems of participants. For recipients with a poor record of success, HUD will also consider the recipient's willingness to accept technical assistance and to make changes suggested by technical assistance providers. Other factors which will affect HUD's decision to approve a renewal request include the following: a continuing history of inadequate financial management accounting practices, indications of mismanagement on the part of the recipient, a drastic reduction in the population served by the recipient, program changes made by the recipient without prior HUD approval, and loss of project site.\n\n(2) HUD reserves the right to reject a request from any organization with an outstanding obligation to HUD that is in arrears or for which a payment schedule has not been agreed to, or whose response to an audit finding is overdue or unsatisfactory.\n\n(3) HUD will notify the recipient in writing that the request has been approved or disapproved."], ["24:24:3.1.1.3.10.4.1.1", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "D", "Subpart D\u2014Program Requirements", "", "\u00a7 583.300 General operation.", "HUD", "", "", "[58 FR 13871, Mar. 15, 1993, as amended at 59 FR 36892, July 19, 1994; 61 FR 51176, Sept. 30, 1996]", "(a)  State and local requirements.  Each recipient of assistance under this part must provide housing or services that are in compliance with all applicable State and local housing codes, licensing requirements, and any other requirements in the jurisdiction in which the project is located regarding the condition of the structure and the operation of the housing or services.\n\n(b)  Habitability standards.  Except for such variations as are proposed by the recipient and approved by HUD, supportive housing must meet the following requirements:\n\n(1)  Structure and materials.  The structures must be structurally sound so as not to pose any threat to the health and safety of the occupants and so as to protect the residents from the elements.\n\n(2)  Access.  The housing must be accessible and capable of being utilized without unauthorized use of other private properties. Structures must provide alternate means of egress in case of fire.\n\n(3)  Space and security.  Each resident must be afforded adequate space and security for themselves and their belongings. Each resident must be provided an acceptable place to sleep.\n\n(4)  Interior air quality.  Every room or space must be provided with natural or mechanical ventilation. Structures must be free of pollutants in the air at levels that threaten the health of residents.\n\n(5)  Water supply.  The water supply must be free from contamination.\n\n(6)  Sanitary facilities.  Residents must have access to sufficient sanitary facilities that are in proper operating condition, may be used in privacy, and are adequate for personal cleanliness and the disposal of human waste.\n\n(7)  Thermal environment.  The housing must have adequate heating and/or cooling facilities in proper operating condition.\n\n(8)  Illumination and electricity.  The housing must have adequate natural or artificial illumination to permit normal indoor activities and to support the health and safety of residents. Sufficient electrical sources must be provided to permit use of essential electrical appliances while assuring safety from fire.\n\n(9)  Food preparation and refuse disposal.  All food preparation areas must contain suitable space and equipment to store, prepare, and serve food in a sanitary manner.\n\n(10)  Sanitary condition.  The housing and any equipment must be maintained in sanitary condition.\n\n(11)  Fire safety.  (i) Each unit must include at least one battery-operated or hard-wired smoke detector, in proper working condition, on each occupied level of the unit. Smoke detectors must be located, to the extent practicable, in a hallway adjacent to a bedroom. If the unit is occupied by hearing-impaired persons, smoke detectors must have an alarm system designed for hearing-impaired persons in each bedroom occupied by a hearing-impaired person.\n\n(ii) The public areas of all housing must be equipped with a sufficient number, but not less than one for each area, of battery-operated or hard-wired smoke detectors. Public areas include, but are not limited to, laundry rooms, community rooms, day care centers, hallways, stairwells, and other common areas.\n\n(c)  Meals.  Each recipient of assistance under this part who provides supportive housing for homeless persons with disabilities must provide meals or meal preparation facilities for residents.\n\n(d)  Ongoing assessment of supportive services.  Each recipient of assistance under this part must conduct an ongoing assessment of the supportive services required by the residents of the project and the availability of such services, and make adjustments as appropriate.\n\n(e)  Residential supervision.  Each recipient of assistance under this part must provide residential supervision as necessary to facilitate the adequate provision of supportive services to the residents of the housing throughout the term of the commitment to operate supportive housing. Residential supervision may include the employment of a full- or part-time residential supervisor with sufficient knowledge to provide or to supervise the provision of supportive services to the residents.\n\n(f)  Participation of homeless persons.  (1) Each recipient must provide for the participation of homeless persons as required in section 426(g) of the McKinney Act (42 U.S.C. 11386(g)). This requirement is waived if an applicant is unable to meet it and presents a plan for HUD approval to otherwise consult with homeless or formerly homeless persons in considering and making policies and decisions. See also \u00a7 583.330(e).\n\n(2) Each recipient of assistance under this part must, to the maximum extent practicable, involve homeless individuals and families, through employment, volunteer services, or otherwise, in constructing, rehabilitating, maintaining, and operating the project and in providing supportive services for the project.\n\n(g)  Records and reports.  Each recipient of assistance under this part must keep any records and make any reports (including those pertaining to race, ethnicity, gender, and disability status data) that HUD may require within the timeframe required.\n\n(h)  Confidentiality.  Each recipient that provides family violence prevention or treatment services must develop and implement procedures to ensure:\n\n(1) The confidentiality of records pertaining to any individual services; and\n\n(2) That the address or location of any project assisted will not be made public, except with written authorization of the person or persons responsible for the operation of the project.\n\n(i)  Termination of housing assistance.  The recipient may terminate assistance to a participant who violates program requirements. Recipients should terminate assistance only in the most severe cases. Recipients may resume assistance to a participant whose assistance was previously terminated. In terminating assistance to a participant, the recipient must provide a formal process that recognizes the rights of individuals receiving assistance to due process of law. This process, at a minimum, must consist of:\n\n(1) Written notice to the participant containing a clear statement of the reasons for termination;\n\n(2) A review of the decision, in which the participant is given the opportunity to present written or oral objections before a person other than the person (or a subordinate of that person) who made or approved the termination decision; and\n\n(3) Prompt written notice of the final decision to the participant.\n\n(j)  Limitation of stay in transitional housing.  A homeless individual or family may remain in transitional housing for a period longer than 24 months, if permanent housing for the individual or family has not been located or if the individual or family requires additional time to prepare for independent living. However, HUD may discontinue assistance for a transitional housing project if more than half of the homeless individuals or families remain in that project longer than 24 months.\n\n(k)  Outpatient health services.  Outpatient health services provided by the recipient must be approved as appropriate by HUD and the Department of Health and Human Services (HHS). Upon receipt of an application that proposes the provision of outpatient health services, HUD will consult with HHS with respect to the appropriateness of the proposed services.\n\n(l)  Annual assurances.  Recipients who receive assistance only for leasing, operating costs or supportive services costs must provide an annual assurance for each year such assistance is received that the project will be operated for the purpose specified in the application."], ["24:24:3.1.1.3.10.4.1.2", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "D", "Subpart D\u2014Program Requirements", "", "\u00a7 583.301 Recordkeeping.", "HUD", "", "", "[76 FR 76017, Dec. 5, 2011]", "(a) [Reserved]\n\n(b)  Homeless status.  The recipient must maintain and follow written intake procedures to ensure compliance with the homeless definition in \u00a7 583.5. The procedures must require documentation at intake of the evidence relied upon to establish and verify homeless status. The procedures must establish the order of priority for obtaining evidence as third-party documentation first, intake worker observations second, and certification from the person seeking assistance third. However, lack of third-party documentation must not prevent an individual or family from being immediately admitted to emergency shelter, receiving street outreach services, or being immediately admitted to shelter or receiving services provided by a victim service provider, as defined in section 401(32) of the McKinney-Vento Homeless Assistance Act, as amended by the HEARTH Act. Records contained in an HMIS or comparable database used by victim service or legal service providers are acceptable evidence of third-party documentation and intake worker observations if the HMIS retains an auditable history of all entries, including the person who entered the data, the date of entry, and the change made; and if the HMIS prevents overrides or changes of the dates on which entries are made.\n\n(1) If the individual or family qualifies as homeless under paragraph (1)(i) or (ii) of the homeless definition in \u00a7 583.5, acceptable evidence includes a written observation by an outreach worker of the conditions where the individual or family was living, a written referral by another housing or service provider, or a certification by the individual or head of household seeking assistance.\n\n(2) If the individual qualifies as homeless under paragraph (1)(iii) of the homeless definition in \u00a7 583.5, because he or she resided in an emergency shelter or place not meant for human habitation and is exiting an institution where he or she resided for 90 days or less, acceptable evidence includes the evidence described in paragraph (b)(1) of this section and one of the following:\n\n(i) Discharge paperwork or a written or oral referral from a social worker, case manager, or other appropriate official of the institution, stating the beginning and end dates of the time residing in the institution. All oral statements must be recorded by the intake worker; or\n\n(ii) Where the evidence in paragraph (b)(2)(i) of this section is not obtainable, a written record of the intake worker's due diligence in attempting to obtain the evidence described in paragraph (b)(2)(i) and a certification by the individual seeking assistance that states he or she is exiting or has just exited an institution where he or she resided for 90 days or less.\n\n(3) If the individual or family qualifies as homeless under paragraph (2) of the homeless definition in \u00a7 583.5, because the individual or family will imminently lose their housing, the evidence must include:\n\n(i)(A) A court order resulting from an eviction action that requires the individual or family to leave their residence within 14 days after the date of their application for homeless assistance; or the equivalent notice under applicable state law, a Notice to Quit, or a Notice to Terminate issued under state law;\n\n(B) For individuals and families whose primary nighttime residence is a hotel or motel room not paid for by charitable organizations or federal, state, or local government programs for low-income individuals, evidence that the individual or family lacks the resources necessary to reside there for more than 14 days after the date of application for homeless assistance; or\n\n(C) An oral statement by the individual or head of household that the owner or renter of the housing in which they currently reside will not allow them to stay for more than 14 days after the date of application for homeless assistance. The intake worker must record the statement and certify that it was found credible. To be found credible, the oral statement must either: Be verified by the owner or renter of the housing in which the individual or family resides at the time of application for homeless assistance and documented by a written certification by the owner or renter or by the intake worker's recording of the owner or renter's oral statement; or if the intake worker is unable to contact the owner or renter, be documented by a written certification by the intake worker of his or her due diligence in attempting to obtain the owner or renter's verification and the written certification by the individual or head of household seeking assistance that his or her statement was true and complete;\n\n(ii) Certification by the individual or head of household that no subsequent residence has been identified; and\n\n(iii) Certification or other written documentation that the individual or family lacks the resources and support networks needed to obtain other permanent housing.\n\n(4) If the individual or family qualifies as homeless under paragraph (3) of the homeless definition in \u00a7 583.5, because the individual or family does not otherwise qualify as homeless under the homeless definition but is an unaccompanied youth under 25 years of age, or homeless family with one or more children or youth, and is defined as homeless under another Federal statute or section 725(2) of the McKinney-Vento Homeless Assistance Act (42 U.S.C. 11434a(2)), the evidence must include:\n\n(i) For paragraph (3)(i) of the homeless definition in \u00a7 583.5, certification of homeless status by the local private nonprofit organization or state or local governmental entity responsible for administering assistance under the Runaway and Homeless Youth Act (42 U.S.C. 5701  et seq. ), the Head Start Act (42 U.S.C. 9831  et seq. ), subtitle N of the Violence Against Women Act of 1994 (42 U.S.C. 14043e  et seq. ), section 330 of the Public Health Service Act (42 U.S.C. 254b), the Food and Nutrition Act of 2008 (7 U.S.C. 2011  et seq. ), section 17 of the Child Nutrition Act of 1966 (42 U.S.C. 1786), or subtitle B of title VII of the McKinney-Vento Homeless Assistance Act (42 U.S.C. 11431  et seq. ), as applicable;\n\n(ii) For paragraph (3)(ii) of the homeless definition in \u00a7 583.5, referral by a housing or service provider, written observation by an outreach worker, or certification by the homeless individual or head of household seeking assistance;\n\n(iii) For paragraph (3)(iii) of the homeless definition in \u00a7 583.5, certification by the individual or head of household and any available supporting documentation that the individual or family moved two or more times during the 60-day period immediately preceding the date for application of homeless assistance, including: Recorded statements or records obtained from each owner or renter of housing, provider of shelter or housing, or social worker, case worker, or other appropriate official of a hospital or institution in which the individual or family resided; or, where these statements or records are unobtainable, a written record of the intake worker's due diligence in attempting to obtain these statements or records. Where a move was due to the individual or family fleeing domestic violence, dating violence, sexual assault, or stalking, then the intake worker may alternatively obtain a written certification from the individual or head of household seeking assistance that they were fleeing that situation and that they resided at that address; and\n\n(iv) For paragraph (3)(iv) of the homeless definition in \u00a7 583.5, written diagnosis from a professional who is licensed by the state to diagnose and treat that condition (or intake staff-recorded observation of disability that within 45 days of the date of application for assistance is confirmed by a professional who is licensed by the state to diagnose and treat that condition); employment records; department of corrections records; literacy, English proficiency tests; or other reasonable documentation of the conditions required under paragraph (3)(iv) of the homeless definition.\n\n(5) If the individual or family qualifies under paragraph (4) of the homeless definition in \u00a7 583.5, because the individual or family is fleeing domestic violence, dating violence, sexual assault, stalking, or other dangerous or life-threatening conditions related to violence, then acceptable evidence includes an oral statement by the individual or head of household seeking assistance that they are fleeing that situation, that no subsequent residence has been identified, and that they lack the resources or support networks, e.g., family, friends, faith-based or other social networks, needed to obtain other housing. If the individual or family is receiving shelter or services provided by a victim service provider, as defined in section 401(32) of the McKinney-Vento Homeless Assistance Act, as amended by the HEARTH Act, the oral statement must be documented by either a certification by the individual or head of household; or a certification by the intake worker. Otherwise, the oral statement that the individual or head of household seeking assistance has not identified a subsequent residence and lacks the resources or support networks, e.g., family, friends, faith-based or other social networks, needed to obtain housing, must be documented by a certification by the individual or head of household that the oral statement is true and complete, and, where the safety of the individual or family would not be jeopardized, the domestic violence, dating violence, sexual assault, stalking, or other dangerous or life-threatening condition must be verified by a written observation by the intake worker; or a written referral by a housing or service provider, social worker, health-care provider, law enforcement agency, legal assistance provider, pastoral counselor, or any another organization from whom the individual or head of household has sought assistance for domestic violence, dating violence, sexual assault, or stalking. The written referral or observation need only include the minimum amount of information necessary to document that the individual or family is fleeing, or attempting to flee domestic violence, dating violence, sexual assault, and stalking.\n\n(c)  Disability. \u2014Each recipient of assistance under this part must maintain and follow written intake procedures to ensure that the assistance benefits persons with disabilities, as defined in \u00a7 583.5. In addition to the documentation required under paragraph (b) of this section, the procedures must require documentation at intake of the evidence relied upon to establish and verify the disability of the person applying for homeless assistance. The recipient must keep these records for 5 years after the end of the grant term. Acceptable evidence of the disability includes:\n\n(1) Written verification of the disability from a professional licensed by the state to diagnose and treat the disability and his or her certification that the disability is expected to be long-continuing or of indefinite duration and substantially impedes the individual's ability to live independently;\n\n(2) Written verification from the Social Security Administration;\n\n(3) The receipt of a disability check (e.g., Social Security Disability Insurance check or Veteran Disability Compensation);\n\n(4) Other documentation approved by HUD; or\n\n(5) Intake staff-recorded observation of disability that, no later than 45 days of the application for assistance, is confirmed and accompanied by evidence in paragraph (c)(1), (2), (3), or (4) of this section."], ["24:24:3.1.1.3.10.4.1.3", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "D", "Subpart D\u2014Program Requirements", "", "\u00a7 583.305 Term of commitment; repayment of grants; prevention of undue benefits.", "HUD", "", "", "[61 FR 51176, Sept. 30, 1996]", "(a)  Term of commitment and conversion.  Recipients must agree to operate the housing or provide supportive services in accordance with this part and with sections 423 (b)(1) and (b)(3) of the McKinney Act (42 U.S.C. 11383(b)(1), 11383(b)(3)).\n\n(b)  Repayment of grant and prevention of undue benefits.  In accordance with section 423(c) of the McKinney Act (42 U.S.C. 11383(c)), HUD will require recipients to repay the grant unless HUD has authorized conversion of the project under section 423(b)(3) of the McKinney Act (42 U.S.C. 11383(b)(3))."], ["24:24:3.1.1.3.10.4.1.4", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "D", "Subpart D\u2014Program Requirements", "", "\u00a7 583.310 Displacement, relocation, and acquisition.", "HUD", "", "", "[58 FR 13871, Mar. 15, 1993, as amended at 59 FR 36892, July 19, 1994]", "(a)  Minimizing displacement.  Consistent with the other goals and objectives of this part, recipients must assure that they have taken all reasonable steps to minimize the displacement of persons (families, individuals, businesses, nonprofit organizations, and farms) as a result of supportive housing assisted under this part.\n\n(b)  Relocation assistance for displaced persons.  A displaced person (defined in paragraph (f) of this section) must be provided relocation assistance at the levels described in, and in accordance with, the requirements of the Uniform Relocation Assistance and Real Property Acquisition Policies Act of 1970 (URA) (42 U.S.C. 4601-4655) and implementing regulations at 49 CFR part 24.\n\n(c)  Real property acquisition requirements.  The acquisition of real property for supportive housing is subject to the URA and the requirements described in 49 CFR part 24, subpart B.\n\n(d)  Responsibility of recipient.  (1) The recipient must certify ( i.e.,  provide assurance of compliance) that it will comply with the URA, the regulations at 49 CFR part 24, and the requirements of this section, and must ensure such compliance notwithstanding any third party's contractual obligation to the recipient to comply with these provisions.\n\n(2) The cost of required relocation assistance is an eligible project cost in the same manner and to the same extent as other project costs. Such costs also may be paid for with local public funds or funds available from other sources.\n\n(3) The recipient must maintain records in sufficient detail to demonstrate compliance with provisions of this section.\n\n(e)  Appeals.  A person who disagrees with the recipient's determination concerning whether the person qualifies as a \u201cdisplaced person,\u201d or the amount of relocation assistance for which the person is eligible, may file a written appeal of that determination with the recipient. A low-income person who is dissatisfied with the recipient's determination on his or her appeal may submit a written request for review of that determination to the HUD field office.\n\n(f)  Definition of displaced person.  (1) For purposes of this section, the term \u201cdisplaced person\u201d means a person (family, individual, business, nonprofit organization, or farm) that moves from real property, or moves personal property from real property permanently as a direct result of acquisition, rehabilitation, or demolition for supportive housing projects assisted under this part. The term \u201cdisplaced person\u201d includes, but may not be limited to:\n\n(i) A person that moves permanently from the real property after the property owner (or person in control of the site) issues a vacate notice, or refuses to renew an expiring lease in order to evade the responsibility to provide relocation assistance, if the move occurs on or after the date the recipient submits to HUD the application or application amendment designating the project site.\n\n(ii) Any person, including a person who moves before the date described in paragraph (f)(1)(i) of this section, if the recipient or HUD determines that the displacement resulted directly from acquisition, rehabilitation, or demolition for the assisted project.\n\n(iii) A tenant-occupant of a dwelling unit who moves permanently from the building/complex on or after the date of the \u201cinitiation of negotiations\u201d (see paragraph (g) of this section) if the move occurs before the tenant has been provided written notice offering him or her the opportunity to lease and occupy a suitable, decent, safe and sanitary dwelling in the same building/complex, under reasonable terms and conditions, upon completion of the project. Such reasonable terms and conditions must include a monthly rent and estimated average monthly utility costs that do not exceed the greater of:\n\n(A) The tenant's monthly rent before the initiation of negotiations and estimated average utility costs, or\n\n(B) 30 percent of gross household income. If the initial rent is at or near the maximum, there must be a reasonable basis for concluding at the time the project is initiated that future rent increases will be modest.\n\n(iv) A tenant of a dwelling who is required to relocate temporarily, but does not return to the building/complex, if either:\n\n(A) A tenant is not offered payment for all reasonable out-of-pocket expenses incurred in connection with the temporary relocation, or\n\n(B) Other conditions of the temporary relocation are not reasonable.\n\n(v) A tenant of a dwelling who moves from the building/complex permanently after he or she has been required to move to another unit in the same building/complex, if either:\n\n(A) The tenant is not offered reimbursement for all reasonable out-of-pocket expenses incurred in connection with the move; or\n\n(B) Other conditions of the move are not reasonable.\n\n(2) Notwithstanding the provisions of paragraph (f)(1) of this section, a person does not qualify as a \u201cdisplaced person\u201d (and is not eligible for relocation assistance under the URA or this section), if:\n\n(i) The person has been evicted for serious or repeated violation of the terms and conditions of the lease or occupancy agreement, violation of applicable Federal, State, or local or tribal law, or other good cause, and HUD determines that the eviction was not undertaken for the purpose of evading the obligation to provide relocation assistance;\n\n(ii) The person moved into the property after the submission of the application and, before signing a lease and commencing occupancy, was provided written notice of the project, its possible impact on the person (e.g., the person may be displaced, temporarily relocated, or suffer a rent increase) and the fact that the person would not qualify as a \u201cdisplaced person\u201d (or for any assistance provided under this section), if the project is approved;\n\n(iii) The person is ineligible under 49 CFR 24.2(g)(2); or\n\n(iv) HUD determines that the person was not displaced as a direct result of acquisition, rehabilitation, or demolition for the project.\n\n(3) The recipient may request, at any time, HUD's determination of whether a displacement is or would be covered under this section.\n\n(g)  Definition of initiation of negotiations.  For purposes of determining the formula for computing the replacement housing assistance to be provided to a residential tenant displaced as a direct result of privately undertaken rehabilitation, demolition, or acquisition of the real property, the term \u201cinitiation of negotiations\u201d means the execution of the agreement between the recipient and HUD.\n\n(h)  Definition of project.  For purposes of this section, the term \u201cproject\u201d means an undertaking paid for in whole or in part with assistance under this part. Two or more activities that are integrally related, each essential to the others, are considered a single project, whether or not all component activities receive assistance under this part."], ["24:24:3.1.1.3.10.4.1.5", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "D", "Subpart D\u2014Program Requirements", "", "\u00a7 583.315 Resident rent.", "HUD", "", "", "[58 FR 13871, Mar. 15, 1993, as amended at 59 FR 36892, July 19, 1994; 66 FR 6225, Jan. 19, 2001]", "(a)  Calculation of resident rent.  Each resident of supportive housing may be required to pay as rent an amount determined by the recipient which may not exceed the highest of:\n\n(1) 30 percent of the family's monthly adjusted income (adjustment factors include the number of people in the family, age of family members, medical expenses and child care expenses). The calculation of the family's monthly adjusted income must include the expense deductions provided in 24 CFR 5.611(a), and for persons with disabilities, the calculation of the family's monthly adjusted income also must include the disallowance of earned income as provided in 24 CFR 5.617, if applicable;\n\n(2) 10 percent of the family's monthly gross income; or\n\n(3) If the family is receiving payments for welfare assistance from a public agency and a part of the payments, adjusted in accordance with the family's actual housing costs, is specifically designated by the agency to meet the family's housing costs, the portion of the payment that is designated for housing costs.\n\n(b)  Use of rent.  Resident rent may be used in the operation of the project or may be reserved, in whole or in part, to assist residents of transitional housing in moving to permanent housing.\n\n(c)  Fees.  In addition to resident rent, recipients may charge residents reasonable fees for services not paid with grant funds."], ["24:24:3.1.1.3.10.4.1.6", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "D", "Subpart D\u2014Program Requirements", "", "\u00a7 583.320 Site control.", "HUD", "", "", "", "(a)  Site control.  (1) Where grant funds will be used for acquisition, rehabilitation, or new construction to provide supportive housing or supportive services, or where grant funds will be used for operating costs of supportive housing, or where grant funds will be used to provide supportive services except where an applicant will provide services at sites not operated by the applicant, an applicant must demonstrate site control before HUD will execute a grant agreement ( e.g.,  through a deed, lease, executed contract of sale). If such site control is not demonstrated within one year after initial notification of the award of assistance under this part, the grant will be deobligated as provided in paragraph (c) of this section.\n\n(2) Where grant funds will be used to lease all or part of a structure to provide supportive housing or supportive services, or where grant funds will be used to lease individual housing units for homeless persons who will eventually control the units, site control need not be demonstrated.\n\n(b)  Site change.  (1) A recipient may obtain ownership or control of a suitable site different from the one specified in its application. Retention of an assistance award is subject to the new site's meeting all requirements under this part for suitable sites.\n\n(2) If the acquisition, rehabilitation, acquisition and rehabilitation, or new construction costs for the substitute site are greater than the amount of the grant awarded for the site specified in the application, the recipient must provide for all additional costs. If the recipient is unable to demonstrate to HUD that it is able to provide for the difference in costs, HUD may deobligate the award of assistance.\n\n(c)  Failure to obtain site control within one year.  HUD will recapture or deobligate any award for assistance under this part if the recipient is not in control of a suitable site before the expiration of one year after initial notification of an award."], ["24:24:3.1.1.3.10.4.1.7", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "D", "Subpart D\u2014Program Requirements", "", "\u00a7 583.325 Nondiscrimination and equal opportunity requirements.", "HUD", "", "", "[58 FR 13871, Mar. 15, 1993, as amended at 59 FR 33894, June 30, 1994; 61 FR 5210, Feb. 9, 1996; 61 FR 51176, Sept. 30, 1996]", "(a)  General.  Notwithstanding the permissibility of proposals that serve designated populations of disabled homeless persons, recipients serving a designated population of disabled homeless persons are required, within the designated population, to comply with these requirements for nondiscrimination on the basis of race, color, religion, sex, national origin, age, familial status, and disability.\n\n(b)  Nondiscrimination and equal opportunity requirements.  The nondiscrimination and equal opportunity requirements set forth at part 5 of this title apply to this program. The Indian Civil Rights Act (25 U.S.C. 1301  et seq. ) applies to tribes when they exercise their powers of self-government, and to Indian housing authorities (IHAs) when established by the exercise of such powers. When an IHA is established under State law, the applicability of the Indian Civil Rights Act will be determined on a case-by-case basis. Projects subject to the Indian Civil Rights Act must be developed and operated in compliance with its provisions and all implementing HUD requirements, instead of title VI and the Fair Housing Act and their implementing regulations.\n\n(c)  Procedures.  (1) If the procedures that the recipient intends to use to make known the availability of the supportive housing are unlikely to reach persons of any particular race, color, religion, sex, age, national origin, familial status, or handicap who may qualify for admission to the housing, the recipient must establish additional procedures that will ensure that such persons can obtain information concerning availability of the housing.\n\n(2) The recipient must adopt procedures to make available information on the existence and locations of facilities and services that are accessible to persons with a handicap and maintain evidence of implementation of the procedures.\n\n(d)  Accessibility requirements.  The recipient must comply with the new construction accessibility requirements of the Fair Housing Act and section 504 of the Rehabilitation Act of 1973, and the reasonable accommodation and rehabilitation accessibility requirements of section 504 as follows:\n\n(1) All new construction must meet the accessibility requirements of 24 CFR 8.22 and, as applicable, 24 CFR 100.205.\n\n(2) Projects in which costs of rehabilitation are 75 percent or more of the replacement cost of the building must meet the requirements of 24 CFR 8.23(a). Other rehabilitation must meet the requirements of 24 CFR 8.23(b)."], ["24:24:3.1.1.3.10.4.1.8", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "D", "Subpart D\u2014Program Requirements", "", "\u00a7 583.330 Applicability of other Federal requirements.", "HUD", "", "", "[58 FR 13871, Mar. 15, 1993, as amended at 61 FR 5211, Feb. 9, 1996; 64 FR 50226, Sept. 15, 1999; 80 FR 75940, Dec. 7, 2015]", "In addition to the requirements set forth in 24 CFR part 5, use of assistance provided under this part must comply with the following Federal requirements:\n\n(a)  Flood insurance.  (1) The Flood Disaster Protection Act of 1973 (42 U.S.C. 4001-4128) prohibits the approval of applications for assistance for acquisition or construction (including rehabilitation) for supportive housing located in an area identified by the Federal Emergency Management Agency (FEMA) as having special flood hazards, unless:\n\n(i) The community in which the area is situated is participating in the National Flood Insurance Program (see 44 CFR parts 59 through 79), or less than a year has passed since FEMA notification regarding such hazards; and\n\n(ii) Flood insurance is obtained as a condition of approval of the application.\n\n(2) Applicants with supportive housing located in an area identified by FEMA as having special flood hazards and receiving assistance for acquisition or construction (including rehabilitation) are responsible for assuring that flood insurance under the National Flood Insurance Program is obtained and maintained.\n\n(b) The Coastal Barrier Resources Act of 1982 (16 U.S.C. 3501  et seq. ) may apply to proposals under this part, depending on the assistance requested.\n\n(c)  Uniform requirements.  The policies, guidelines, and requirements of 24 CFR part 85 (as revised April 1, 2013) apply to the award, acceptance, and use of assistance under the program by governmental entities, and 24 CFR part 84 (as revised April 1, 2013) apply to the acceptance and use of assistance by private nonprofit organizations, except where inconsistent with the provisions of the McKinney Act, other Federal statutes, or this part.\n\n(d)  Lead-based paint.  The Lead-Based Paint Poisoning Prevention Act (42 U.S.C. 4821-4846), the Residential Lead-Based Paint Hazard Reduction Act of 1992 (42 U.S.C. 4851-4856), and implementing regulations at part 35, subparts A, B, J, K, and R of this title apply to activities under this program.\n\n(e)  Conflicts of interest.  (1) In addition to the conflict of interest requirements in 24 CFR part 85 (as revised April 1, 2013), no person who is an employee, agent, consultant, officer, or elected or appointed official of the recipient and who exercises or has exercised any functions or responsibilities with respect to assisted activities, or who is in a position to participate in a decisionmaking process or gain inside information with regard to such activities, may obtain a personal or financial interest or benefit from the activity, or have an interest in any contract, subcontract, or agreement with respect thereto, or the proceeds thereunder, either for himself or herself or for those with whom he or she has family or business ties, during his or her tenure or for one year thereafter. Participation by homeless individuals who also are participants under the program in policy or decisionmaking under \u00a7 583.300(f) does not constitute a conflict of interest.\n\n(2) Upon the written request of the recipient, HUD may grant an exception to the provisions of paragraph (e)(1) of this section on a case-by-case basis when it determines that the exception will serve to further the purposes of the program and the effective and efficient administration of the recipient's project. An exception may be considered only after the recipient has provided the following:\n\n(i) For States and other governmental entities, a disclosure of the nature of the conflict, accompanied by an assurance that there has been public disclosure of the conflict and a description of how the public disclosure was made; and\n\n(ii) For all recipients, an opinion of the recipient's attorney that the interest for which the exception is sought would not violate State or local law.\n\n(3) In determining whether to grant a requested exception after the recipient has satisfactorily met the requirement of paragraph (e)(2) of this section, HUD will consider the cumulative effect of the following factors, where applicable:\n\n(i) Whether the exception would provide a significant cost benefit or an essential degree of expertise to the project which would otherwise not be available;\n\n(ii) Whether the person affected is a member of a group or class of eligible persons and the exception will permit such person to receive generally the same interests or benefits as are being made available or provided to the group or class;\n\n(iii) Whether the affected person has withdrawn from his or her functions or responsibilities, or the decisionmaking process with respect to the specific assisted activity in question;\n\n(iv) Whether the interest or benefit was present before the affected person was in a position as described in paragraph (e)(1) of this section;\n\n(v) Whether undue hardship will result either to the recipient or the person affected when weighed against the public interest served by avoiding the prohibited conflict; and\n\n(vi) Any other relevant considerations.\n\n(f)  Audit.  The financial management systems used by recipients under this program must provide for audits in accordance with 2 CFR part 200, subpart F. HUD may perform or require additional audits as it finds necessary or appropriate.\n\n(g) Davis-Bacon Act. The provisions of the Davis-Bacon Act do not apply to this program."], ["24:24:3.1.1.3.10.5.1.1", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "E", "Subpart E\u2014Administration", "", "\u00a7 583.400 Grant agreement.", "HUD", "", "", "", "(a)  General.  The duty to provide supportive housing or supportive services in accordance with the requirements of this part will be incorporated in a grant agreement executed by HUD and the recipient.\n\n(b)  Enforcement.  HUD will enforce the obligations in the grant agreement through such action as may be appropriate, including repayment of funds that have already been disbursed to the recipient."], ["24:24:3.1.1.3.10.5.1.2", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "E", "Subpart E\u2014Administration", "", "\u00a7 583.405 Program changes.", "HUD", "", "", "[58 FR 13871, Mar. 15, 1993, as amended at 61 FR 51176, Sept. 30, 1996]", "(a)  HUD approval.  (1) A recipient may not make any significant changes to an approved program without prior HUD approval. Significant changes include, but are not limited to, a change in the recipient, a change in the project site, additions or deletions in the types of activities listed in \u00a7 583.100 of this part approved for the program or a shift of more than 10 percent of funds from one approved type of activity to another, and a change in the category of participants to be served. Depending on the nature of the change, HUD may require a new certification of consistency with the consolidated plan (see \u00a7 583.155).\n\n(2) Approval for changes is contingent upon the application ranking remaining high enough after the approved change to have been competitively selected for funding in the year the application was selected.\n\n(b)  Documentation of other changes.  Any changes to an approved program that do not require prior HUD approval must be fully documented in the recipient's records."], ["24:24:3.1.1.3.10.5.1.3", 24, "Housing and Urban Development", "V", "C", "583", "PART 583\u2014SUPPORTIVE HOUSING PROGRAM", "E", "Subpart E\u2014Administration", "", "\u00a7 583.410 Obligation and deobligation of funds.", "HUD", "", "", "", "(a)  Obligation of funds.  When HUD and the applicant execute a grant agreement, funds are obligated to cover the amount of the approved assistance under subpart B of this part. The recipient will be expected to carry out the supportive housing or supportive services activities as proposed in the application.\n\n(b)  Increases.  After the initial obligation of funds, HUD will not make revisions to increase the amount obligated.\n\n(c)  Deobligation.  (1) HUD may deobligate all or parts of grants for acquisition, rehabilitation, acquisition and rehabilitation, or new construction:\n\n(i) If the actual total cost of acquisition, rehabilitation, acquisition and rehabilitation, or new construction is less than the total cost anticipated in the application; or\n\n(ii) If proposed activities for which funding was approved are not begun within three months or residents do not begin to occupy the facility within nine months after grant execution.\n\n(2) HUD may deobligate the amounts for annual leasing costs, operating costs or supportive services in any year:\n\n(i) If the actual leasing costs, operating costs or supportive services for that year are less than the total cost anticipated in the application; or\n\n(ii) If the proposed supportive housing operations are not begun within three months after the units are available for occupancy.\n\n(3) The grant agreement may set forth in detail other circumstances under which funds may be deobligated, and other sanctions may be imposed.\n\n(4) HUD may:\n\n(i) Readvertise the availability of funds that have been deobligated under this section in a notice of fund availability under \u00a7 583.200, or\n\n(ii) Award deobligated funds to applications previously submitted in response to the most recently published notice of fund availability, and in accordance with subpart C of this part."], ["49:49:7.1.1.1.12.0.1.1", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.1 Scope.", "NHTSA", "", "", "", "This part establishes requirements for the disclosure of information relating to the countries of origin of the equipment of new passenger motor vehicles."], ["49:49:7.1.1.1.12.0.1.10", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.10 Outside suppliers of passenger motor vehicle equipment.", "NHTSA", "", "", "[59 FR 37330, July 21, 1994, as amended at 64 FR 40781, July 28, 1999]", "(a) For each unique type of passenger motor vehicle equipment for which a manufacturer or allied supplier requests information, the outside supplier shall provide the manufacturer/allied supplier with a certificate providing the following information:\n\n(1) The name and address of the supplier;\n\n(2) A description of the unique type of equipment;\n\n(3) The price of the equipment to the manufacturer or allied supplier;\n\n(4) A statement that the equipment has, or does not have, at least 70 percent of its value added in the United States and Canada, determined under \u00a7 583.6(c);\n\n(5) For equipment which has less than 70 percent of its value added in the United States and Canada,\n\n(i) The country of origin of the equipment, determined under \u00a7 583.7(c); and\n\n(ii) The percent of its value added in the United States and Canada, to the nearest 5 percent, determined under \u00a7 583.6(c).\n\n(6) For equipment that may be used in an engine or transmission, the country of origin of the equipment, determined under \u00a7 583.8(c);\n\n(7) A certification for the information, pursuant to \u00a7 583.13, and the date (at least giving the month and year) of the certification.\n\n(8) A single certificate may cover multiple items of equipment.\n\n(b) The information and certification required by paragraph (a) of this section shall be provided to the manufacturer or allied supplier no later than 45 days after receipt of the request, or the date specified by the manufacturer/allied supplier, whichever is later. (A manufacturer or allied supplier may request that the outside supplier voluntarily provide the information and certification at an earlier date.)\n\n(c)(1) Except as provided in paragraph (c)(2) of this section, the information provided in the certificate shall be the supplier's best estimates of price, content, and country of origin for the unique type of equipment expected to be supplied during the 12 month period beginning on the first July 1 after receipt of the request. If the unique type of equipment supplied by the supplier is expected to vary with respect to price, content, and country of origin during that period, the supplier shall base its estimates on expected averages for these factors.\n\n(2) The 12 month period specified in (c)(1) may be varied in time and length by the manufacturer or allied supplier if it determines that the alteration is not likely to result in less accurate information being provided to consumers on the label required by this part.\n\n(d) For outside suppliers of engines and transmissions, the information and certification required by this section is in addition to that required by \u00a7 583.12."], ["49:49:7.1.1.1.12.0.1.11", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.11 Allied suppliers of passenger motor vehicle equipment.", "NHTSA", "", "", "", "(a) For each unique type of passenger motor vehicle equipment which an allied supplier supplies to the manufacturer with which it is allied, the allied supplier shall provide the manufacturer with a certificate providing the following information:\n\n(1) The name and address of the supplier;\n\n(2) A description of the unique type of equipment;\n\n(3) The price of the equipment to the manufacturer;\n\n(4) The percentage U.S./Canadian content of the equipment, determined under \u00a7 583.6(c);\n\n(5) The country of origin of the equipment, determined under \u00a7 583.7(c);\n\n(6) For equipment that may be used in an engine or transmission, the country of origin of the equipment, determined under \u00a7 583.8(c);\n\n(7) A certification for the information, pursuant to \u00a7 583.13, and the date (at least giving the month and year) of the certification.\n\n(8) A single certificate may cover multiple items of equipment.\n\n(b)(1) Except as provided in paragraph (b)(2) of this section, the information provided in the certificate shall be the supplier's best estimates of price, content, and country of origin for the unique type of equipment expected to be supplied during the 12 month period beginning on the first July 1 after receipt of the request. If the unique type of equipment supplied by the supplier is expected to vary with respect to price, content, and country of origin during that period, the supplier shall base its estimates on expected averages for these factors.\n\n(2) The 12 month period specified in (b)(1) may be varied in time and length by the manufacturer if it determines that the alteration is not likely to result in less accurate information being provided to consumers on the label required by this part.\n\n(c) [Reserved]\n\n(d) For allied suppliers of engines and transmissions, the information and certification required by this section is in addition to that required by \u00a7 583.12."], ["49:49:7.1.1.1.12.0.1.12", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.12 Suppliers of engines and transmissions.", "NHTSA", "", "", "", "(a) For each engine or transmission for which a manufacturer or allied supplier requests information, the supplier of such engine or transmission shall provide the manufacturer or allied supplier with a certificate providing the following information:\n\n(1) The name and address of the supplier;\n\n(2) A description of the engine or transmission;\n\n(3) The country of origin of the engine or transmission, determined under \u00a7 583.8;\n\n(4) A certification for the information, pursuant to \u00a7 583.13, and the date (at least giving the month and year) of the certification.\n\n(b) The information provided in the certificate shall be the supplier's best estimate of country of origin for the unique type of engine or transmission. If the unique type of equipment used in the engine or transmission is expected to vary with respect to price, content, and country of origin during that period, the supplier shall base its country of origin determination on expected averages for these factors.\n\n(c) The information and certification required by paragraph (a) of this section shall be provided by outside suppliers to the manufacturer or allied supplier no later than 45 days after receipt of the request, or the date specified by the manufacturer/allied supplier, whichever is later. (A manufacturer or allied supplier may request that the outside supplier voluntarily provide the information and certification at an earlier date.)\n\n(d) In the event that, during a model year, a supplier of engines or transmissions produces an engine of a new displacement or transmission of a new type or produces the same engine displacement or transmission in a different plant, the supplier shall notify the manufacturer of the origin of the new engine or transmission prior to shipment of the first engine or transmission that will be installed in a passenger motor vehicle intended for public sale.\n\n(e) A single certificate may cover multiple engines or transmissions. If a certificate provided in advance of the delivery of an engine or transmission becomes inaccurate because of changed circumstances, a corrected certificate shall be provided no later than the time of delivery of the engine or transmission.\n\n(f) For suppliers of engines and transmissions, the information and certification required by this section is in addition to that required by \u00a7\u00a7 583.10 and 583.11."], ["49:49:7.1.1.1.12.0.1.13", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.13 Supplier certification and certificates.", "NHTSA", "", "", "", "Each supplier shall certify the information on each certificate provided under \u00a7\u00a7 583.10, 583.11, and 583.12 by including the following phrase on the certificate: \u201cThis information is certified in accordance with DOT regulations.\u201d The phrase shall immediately precede the other information on the certificate. The certificate may be submitted to a manufacturer or allied supplier in any mode (e.g., paper, electronic) provided the mode contains all information in the certificate."], ["49:49:7.1.1.1.12.0.1.14", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.14 Currency conversion rate.", "NHTSA", "", "", "", "For purposes of calculations of content value under this part, manufacturers and suppliers shall calculate exchange rates using the methodology set forth in this section.\n\n(a)  Manufacturers.  (1) Unless a manufacturer has had a petition approved by the Environmental Protection Agency under 40 CFR 600.511-80(b)(1), for all calculations made by the manufacturer as a basis for the information provided on the label required by \u00a7 583.5, manufacturers shall take the mean of the exchange rates in effect at the end of each quarter set by the Federal Reserve Bank of New York for twelve calendar quarters prior to and including the calendar quarter ending one year prior to the date that the manufacturer submits information for a carline under \u00a7 583.17.\n\n(2) A manufacturer that has had a petition approved by the Environmental Protection Agency under 40 CFR 600.511-80(b)(1), which provides for a different method of determining exchange rates, shall use the same method as a basis for the information provided on the label required by \u00a7 583.5, and shall inform the Administrator of the exchange rate method it is using at the time the information required by \u00a7 583.5 is submitted.\n\n(b)  Suppliers.  For all calculations underlying the information provided on each certificate required by \u00a7\u00a7 583.10, 583.11, and 583.12, suppliers shall take the mean of the exchange rates in effect at the end of each quarter set by the Federal Reserve Bank of New York for twelve calendar quarters prior to and including the calendar quarter ending one year prior to the date of such certificate."], ["49:49:7.1.1.1.12.0.1.15", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.15 Joint ownership.", "NHTSA", "", "", "", "(a) A carline jointly owned and/or produced by more than one manufacturer shall be attributed to the single manufacturer that markets the carline, subject to paragraph (b) of this section.\n\n(b)(1) The joint owners of a carline may designate, by written agreement, the manufacturer of record of that carline.\n\n(2) The manufacturer of record is responsible for compliance with all the manufacturer requirements in this part with respect to the jointly owned carline. However, carline determinations must be consistent with \u00a7 583.4(3).\n\n(3) A designation under this section of a manufacturer of record is effective beginning with the first model year beginning after the conclusion of the written agreement, or, if the joint owners so agree in writing, with a specified later model year.\n\n(4) Each manufacturer of record shall send to the Administrator written notification of its designation as such not later than 30 days after the conclusion of the written agreement, and state the carline of which it is considered the manufacturer, the names of the other persons which jointly own the carline, and the name of the person, if any, formerly considered to be the manufacturer of record.\n\n(5) The joint owners of a carline may change the manufacturer of record for a future model year by concluding a written agreement before the beginning of that model year.\n\n(6) The allied suppliers for the jointly owned carline are the suppliers that are wholly owned by any of the manufacturers of the jointly owned carline."], ["49:49:7.1.1.1.12.0.1.16", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.16 Maintenance of records.", "NHTSA", "", "", "", "(a)  General.  Each manufacturer of new passenger motor vehicles and each supplier of passenger motor vehicle equipment subject to this part shall establish, maintain, and retain in organized and indexed form, records as specified in this section. All records, including the certificates provided by suppliers, may be stored in any mode provided the mode contains all information in the records and certificates.\n\n(b)  Manufacturers.  Each manufacturer shall maintain all records which provide a basis for the information it provides on the labels required by \u00a7 583.5, including, but not limited to, certificates from suppliers, parts lists, calculations of content, and relevant contracts with suppliers. The records shall be maintained for five years after December 31 of the model year to which the records relate.\n\n(c)  Suppliers.  Each supplier shall maintain all records which form a basis for the information it provides on the certificates required by \u00a7\u00a7 583.10, 583.11, and 583.12, including, but not limited to, calculations of content, certificates from suppliers, and relevant contracts with manufacturers and suppliers. The records shall be maintained for six years after December 31 of the calendar year set forth in the date of each certificate."], ["49:49:7.1.1.1.12.0.1.17", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.17 Reporting.", "NHTSA", "", "", "", "For each model year, manufacturers shall submit to the Administrator 3 copies of the information required by \u00a7 583.5(a) to be placed on a label for each carline. The information for each carline shall be submitted not later than the date the first vehicle of the carline is offered for sale to the ultimate purchaser."], ["49:49:7.1.1.1.12.0.1.2", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.2 Purpose.", "NHTSA", "", "", "", "The purpose of this part is to aid potential purchasers in the selection of new passenger motor vehicles by providing them with information about the value of the U.S./Canadian and foreign parts content of each vehicle, the countries of origin of the engine and transmission, and the site of the vehicle's final assembly."], ["49:49:7.1.1.1.12.0.1.3", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.3 Applicability.", "NHTSA", "", "", "", "This part applies to manufacturers of new passenger motor vehicles manufactured or imported for sale in the United States, suppliers of passenger motor vehicle equipment, and dealers of new passenger motor vehicles."], ["49:49:7.1.1.1.12.0.1.4", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.4 Definitions.", "NHTSA", "", "", "[59 FR 37330, July 21, 1994, as amended at 64 FR 40780, July 28, 1999]", "(a)  Statutory terms.  The terms  allied supplier, carline, country of origin, dealer, foreign content, manufacturer, new passenger motor vehicle, of U.S./Canadian origin, outside supplier, passenger motor vehicle, passenger motor vehicle equipment, percentage (by value), State,  and  value added in the United States and Canada,  defined in 49 U.S.C. 32304(a), are used in accordance with their statutory meanings except as further defined in paragraph (b) of this section.\n\n(b)  Other terms and further definitions.\n\n(1)  Administrator  means the Administrator of the National Highway Traffic Safety Administration.\n\n(2)  Allied supplier  means a supplier of passenger motor vehicle equipment that is wholly owned by the manufacturer, or in the case of a joint venture vehicle assembly arrangement, any supplier that is wholly owned by one member of the joint venture arrangement. A supplier is considered to be wholly owned by the manufacturer if a common parent company owns both the manufacturer and the supplier, or if a group of related companies own both the manufacturer and the supplier and no outside interests (interests other than the manufacturer itself or companies which own the manufacturer) own the supplier.\n\n(3)  Carline  means a name denoting a group of vehicles which has a degree of commonality in construction (e.g., body, chassis). Carline does not consider any level of decor or opulence and is not generally distinguished by such characteristics as roof line, number of doors, seats, or windows, except for light duty trucks. Carline is not distinguished by country of manufacture, final assembly point, engine type, or driveline. Light duty trucks are considered to be different carlines than passenger cars. A carline includes all motor vehicles of a given nameplate. Special purpose vehicles, vans, and pickup trucks are classified as separate carlines.\n\n(4)  Final assembly  means all operations involved in the assembly of a vehicle, performed at the final assembly point including but not limited to assembly of body panels, painting, final chassis assembly, trim installation, except engine and transmission fabrication and assembly and the fabrication of motor vehicle equipment components produced at the same final assembly point using forming processes such as stamping, machining or molding processes.\n\n(5)  Final assembly point  means the plant, factory, or other place, which is a building or series of buildings in close proximity, where a new passenger motor vehicle is produced or assembled from passenger motor vehicle equipment and from which such vehicle is delivered to a dealer or importer in such a condition that all component parts necessary to the mechanical operation of such automobile are included with such vehicle whether or not such component parts are permanently installed in or on such vehicle. For multi-stage vehicles, the final assembly point is the location where the first stage vehicle is assembled.\n\n(6)  Outside supplier  means:\n\n(i) A non-allied supplier of passenger motor vehicle equipment to a manufacturer's allied supplier and\n\n(ii) Anyone other than an allied supplier who ships directly to the manufacturer's final assembly point.\n\n(7)  Passenger motor vehicle equipment  means any system, subassembly, or component received at the final assembly point for installation on, or attachment to, such vehicle at the time of its initial shipment by the manufacturer to a dealer for sale to an ultimate purchaser. Passenger motor vehicle equipment also includes any system, subassembly, or component received by an allied supplier from an outside supplier for incorporation into equipment supplied by the allied supplier to the manufacturer with which it is allied.\n\n(8)  Person  means an individual, partnership, corporation, business trust, or any organized group of persons.\n\n(9)  Ultimate purchaser  means with respect to any new passenger motor vehicle, the first person, other than a dealer purchasing in its capacity as a dealer, who in good faith purchases such new passenger motor vehicle for purposes other than resale."], ["49:49:7.1.1.1.12.0.1.5", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.5 Label requirements.", "NHTSA", "", "", "[59 FR 37330, July 21, 1994, as amended at 60 FR 14229, Mar. 16, 1995; 60 FR 47893, Sept. 15, 1995; 64 FR 40780, July 28, 1999]", "(a) Except as provided in paragraphs (f) and (g) of this section, each manufacturer of new passenger motor vehicles shall cause to be affixed to each passenger motor vehicle manufactured on or after October 1, 1994, a label that provides the following information:\n\n(1)  U.S./Canadian parts content.  The overall percentage, by value, of the passenger motor vehicle equipment that was installed on vehicles within the carline of which the vehicle is part, and that originated in the United States and/or Canada (the procedure for determining U.S./Canadian Parts Content is set forth in \u00a7 583.6);\n\n(2)  Major sources of foreign parts content.  The names of any countries other than the United States and Canada which contributed at least 15 percent of the average overall percentage, by value, of the passenger motor vehicle equipment installed on vehicles within the carline of which the vehicle is part, and the percentages attributable to each such country (if there are more than two such countries, the manufacturer need only provide the information for the two countries with the highest percentages; the procedure for determining major foreign sources of passenger motor vehicle equipment is set forth in \u00a7 583.7);\n\n(3)  Final assembly point.  The city, state (in the case of vehicles assembled in the United States), and country of the final assembly point of the passenger motor vehicle;\n\n(4)  Country of origin for the engine.  The country of origin of the passenger motor vehicle's engine (the procedure for making this country of origin determination is set forth in \u00a7 583.8);\n\n(5)  Country of origin for the transmission.  The country of origin of the passenger motor vehicle's transmission (the procedure for making this country of origin determination is set forth in \u00a7 583.8);\n\n(6)  Explanatory note.  A statement which explains that parts content does not include final assembly, distribution, or other non-parts costs.\n\n(b) Except as provided in paragraphs (e), (f) and (g) of this section, the label required under paragraph (a) of this section shall read as follows, with the specified information inserted in the places indicated (except that if there are no major sources of foreign parts content, omit the section \u201cMajor Sources of Foreign Parts Content\u201d):\n\nParts Content Information\n \n For vehicles in this carline: \n \n U.S./Canadian Parts Content: (insert number) %\n \n Major Sources of Foreign Parts Content:\n \n (Name of country with highest percentage): (insert number) %\n \n (Name of country with second highest percentage): (insert number) %\n\nFor vehicles in this carline:\n\nU.S./Canadian Parts Content: (insert number) %\n\nMajor Sources of Foreign Parts Content:\n\nParts content does not include final assembly, distribution, or other non-parts costs.\n\nFor this vehicle: \n \n Final Assembly Point: (city, state, country)\n \n Country of Origin:\n \n Engine: (name of country)\n \n Transmission: (name of country)\n\nFor this vehicle:\n\nFinal Assembly Point: (city, state, country)\n\nCountry of Origin:\n\nEngine: (name of country)\n\nTransmission: (name of country)\n\n(c) The percentages required to be provided under paragraph (a) of this section may be rounded by the manufacturer to the nearest 5 percent.\n\n(d) The label required by paragraph (a) of this section shall:\n\n(1) Be placed in a prominent location on each vehicle where it can be read from the exterior of the vehicle with the doors closed, and may be either part of the Monroney price information label required by 15 U.S.C. 1232, part of the fuel economy label required by 15 U.S.C. 2006, or a separate label. A separate label may include other consumer information.\n\n(2)(i) Be printed in letters that have a color that contrasts with the background of the label; and\n\n(ii) Have the information required by paragraphs (a)(1) through (5) of this section vertically centered on the label in boldface capital letters and numerals of 12 point size or larger; and\n\n(iii) Have the information required by paragraph (a)(6) of this section in type that is two points smaller than the information required by paragraphs (a)(1) through (5) of this section.\n\n(3) In the case of a label that is included as part of the Monroney price information label or fuel economy label, or a separate label that includes other consumer information, be separated from all other information on those labels by a solid line that is a minimum of three points in width.\n\n(4) The information required by paragraphs (a)(1) through (6) of this section shall be immediately preceded by the words, \u201cPARTS CONTENT INFORMATION,\u201d in boldface, capital letters that are 12 point size or larger.\n\n(e)  Carlines assembled in the U.S./Canada and in one or more other countries.  (1) If a carline is assembled in the U.S. and/or Canada, and in one or more other countries, the manufacturer may, at its option, add the following additional information at the end of the explanatory note specified in (a)(6), with the specified information inserted in the places indicated:\n\nThis carline is assembled in the U.S. and/or Canada, and in [insert name of each other country]. The U.S./Canadian parts content for the portion of the carline assembled in [insert name of country, treating the U.S. and Canada together, i.e., U.S./Canada] is [____]%.\n\nThis carline is assembled in the U.S. and/or Canada, and in [insert name of each other country]. The U.S./Canadian parts content for the portion of the carline assembled in [insert name of country, treating the U.S. and Canada together, i.e., U.S./Canada] is [____]%.\n\n(2) A manufacturer selecting this option shall divide the carline for purposes of this additional information into the following portions: the portion assembled in the U.S./Canada and the portions assembled in each other country.\n\n(3) A manufacturer selecting this option for a particular carline shall provide the specified additional information on the labels of all vehicles within the carline, providing the U.S./Canadian content that corresponds to the U.S./Canadian content of the manufacturing location shown as the final assembly point (with all U.S. and Canadian locations considered as a single assembly point) on the label.\n\n(f) A final stage manufacturer of vehicles assembled in multiple stages need not provide the U.S./Canadian Parts Content or Major Foreign Sources items of the label otherwise required under paragraphs (a)(1) and (2) of this section.\n\n(g) A manufacturer that produces a total of fewer than 1000 passenger motor vehicles in a model year need not provide the U.S./Canadian Parts Content or Major Foreign Sources items of the label otherwise required under paragraphs (a)(1) and (2) of this section.\n\n(h)  Requests for information and certifications relevant to information on the label.  (1) Each manufacturer and allied supplier shall request its suppliers to provide directly to it the information and certifications specified by this part which are necessary for the manufacturer/allied supplier to carry out its responsibilities under this part. The information shall be requested sufficiently early to enable the manufacturer to meet the timing requirements specified by this part.\n\n(2) For requests made by manufacturers or allied suppliers to outside suppliers:\n\n(i) The requester shall indicate that the request is being made pursuant to 49 CFR part 583, and that the regulation is administered by the National Highway Traffic Safety Administration;\n\n(ii) The requester shall indicate that 49 CFR part 583 requires outside suppliers to provide specified information upon the request of a manufacturer or allied supplier to which it supplies passenger motor vehicle equipment and that, to the best of the requester's knowledge, the outside supplier is required to provide the requested information;\n\n(iii) If any information other than that required by 49 CFR part 583 is requested, the requester shall indicate which information is required by 49 CFR part 583 and which is not;\n\n(iv) The requester shall indicate that 49 CFR part 583 specifies that while information may be requested by an earlier date, the outside supplier is not required to provide the information until the date specified by the requester or the date 45 days after receipt of the request, whichever is later.\n\n(i)  Carlines assembled in more than one assembly plant.  (1) If a carline is assembled in more than one assembly plant, the manufacturer may, at its option, add the following additional information at the end of the explanatory note specified in paragraph (a)(6) of this section, with the specified information inserted in the places indicated:\n\nTwo or more assembly plants produce the vehicles in this carline. The vehicles assembled at the plant where this vehicle was assembled have a U.S./Canadian parts content of [__]%.\n\nTwo or more assembly plants produce the vehicles in this carline. The vehicles assembled at the plant where this vehicle was assembled have a U.S./Canadian parts content of [__]%.\n\n(2) A manufacturer selecting this option shall divide the carline for purposes of this additional information into portions representing each assembly plant.\n\n(3) A manufacturer selecting this option for a particular carline shall provide the specified additional information on the labels of all vehicles within the carline."], ["49:49:7.1.1.1.12.0.1.6", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.6 Procedure for determining U.S./Canadian parts content.", "NHTSA", "", "", "[60 FR 47894, Sept. 15, 1995; as amended at 61 FR 46390, Sept. 3, 1996; 62 FR 33761, June 23, 1997; 64 FR 40780, July 28, 1999]", "(a) Each manufacturer, except as specified in \u00a7 583.5 (f) and (g), shall determine the percentage U.S./Canadian Parts Content for each carline on a model year basis. This determination shall be made before the beginning of each model year. Items of equipment produced at the final assembly point (but not as part of final assembly) are treated in the same manner as if they were supplied by an allied supplier. All value otherwise added at the final assembly point and beyond, including all final assembly costs, is excluded from the calculation of U.S./Canadian parts content. The country of origin of nuts, bolts, clips, screws, pins, braces, gasoline, oil, blackout, phosphate rinse, windshield washer fluid, fasteners, tire assembly fluid, rivets, adhesives, grommets, and wheel weights, used in final assembly of the vehicle, is considered to be the country where final assembly of the vehicle takes place.\n\n(b)  Determining the value of items of equipment.  (1) For items of equipment received at the final assembly point, the value is the price paid by the manufacturer for the equipment as delivered to the final assembly point.\n\n(2) For items of equipment produced at the final assembly point (but not as part of final assembly), the value is the fair market price that a manufacturer of similar size and location would pay a supplier for such equipment.\n\n(3) For items of equipment received at the factory or plant of an allied supplier, the value is the price paid by the allied supplier for the equipment as delivered to its factory or plant.\n\n(c)  Determining the U.S./Canadian percentage of the value of items of equipment.  (1) Equipment supplied by an outside supplier to a manufacturer or allied supplier is considered:\n\n(i) 100 percent U.S./Canadian, if 70 percent or more of its value is added in the United States and/or Canada; and\n\n(ii) To otherwise have the actual percent of its value added in the United States and/or Canada, rounded to the nearest five percent.\n\n(2) The extent to which an item of equipment supplied by an allied supplier is considered U.S./Canadian is determined by dividing the value added in the United States and/or Canada by the total value of the equipment. The resulting number is multiplied by 100 to determine the percentage U.S./Canadian content of the equipment.\n\n(3) In determining the value added in the United States and/or Canada of equipment supplied by an allied supplier, any equipment that is delivered to the allied supplier by an outside supplier and is incorporated into the allied supplier's equipment, is considered:\n\n(i) 100 percent U.S./Canadian, if at least 70 percent of its value is added in the United States and/or Canada; and\n\n(ii) To otherwise have the actual percent of its value added in the United States and/or Canada, rounded to the nearest five percent.\n\n(4)(i) Value added in the United States and/or Canada by an allied supplier or outside supplier includes\u2014\n\n(A) The value added in the U.S. and/or Canada for materials used by the supplier, determined according to (4)(ii) for outside suppliers and (4)(iii) for allied suppliers, plus,\n\n(B) For passenger motor vehicle equipment assembled or produced in the U.S. or Canada, the value of the difference between the price paid by the manufacturer or allied supplier for the equipment, as delivered to its factory or plant, and the total value of the materials in the equipment.\n\n(ii) Outside suppliers of passenger motor vehicle equipment will determine the value added in the U.S. and/or Canada for materials in the equipment as specified in paragraphs (A) and (B).\n\n(A)( 1 ) For any material used by the supplier which was produced or assembled in the U.S. or Canada, the supplier will subtract from the total value of the material any value that was not added in the U.S. and/or Canada. The determination of the value that was not added in the U.S. and/or Canada shall be a good faith estimate based on information that is available to the supplier, e.g., information in its records, information it can obtain from its suppliers, the supplier's knowledge of manufacturing processes, etc.\n\n( 2 ) The supplier shall consider the amount of value added and the location in which that value was added\u2014\n\n( i ) At each earlier stage, counting from the time of receipt of a material by the supplier, back to and including the two closest stages each of which represented a substantial transformation into a new and different product with a different name, character and use.\n\n( ii ) The value of materials used to produce a product in the earliest of these two substantial transformation stages shall be treated as value added in the country in which that stage occurred.\n\n(B) For any material used by the supplier which was imported into the United States or Canada from a third country, the value added in the United States and/or Canada is presumed to be zero. However, if documentation is available to the supplier which identifies value added in the United States and/or Canada for that material (determined according to the principles set forth in (A), such value added in the United States and/or Canada is counted.\n\n(iii) Allied suppliers of passenger motor vehicle equipment shall determine the value that is added in the U.S. and/or Canada for materials in the equipment in accordance with (c)(3).\n\n(iv) For the minor items listed in the \u00a7 583.4 definition of \u201cpassenger motor vehicle equipment\u201d as being excluded from that term, outside and allied suppliers may, to the extent that they incorporate such items into their equipment, treat the cost of the minor items as value added in the country of assembly.\n\n(v) For passenger motor vehicle equipment which is imported into the territorial boundaries of the United States or Canada from a third country, the value added in the United States and/or Canada is presumed to be zero. However, if documentation is available to the supplier which identifies value added in the United States and/or Canada for that equipment (determined according to the principles set forth in the rest of (c)(4)), such value added in the United States and/or Canada is counted.\n\n(vi) The payment of duty does not result in value added in the United States and/or Canada.\n\n(5) Except as provided in paragraph (c)(6) of this section, if a manufacturer or allied supplier does not receive information from one or more of its suppliers concerning the U.S./Canadian content of particular equipment, the U.S./Canadian content of that equipment is considered zero. This provision does not affect the obligation of manufacturers and allied suppliers to request this information from their suppliers or the obligation of the suppliers to provide the information.\n\n(6) If a manufacturer or allied supplier requests information in a timely manner from one or more of its outside suppliers concerning the U.S./Canadian content of particular equipment, but does not receive that information despite a good faith effort to obtain it, the manufacturer or allied supplier may make its own good faith value added determinations, subject to the following provisions:\n\n(i) The manufacturer or allied supplier shall make the same value added determinations as would be made by the outside supplier;\n\n(ii) The manufacturer or allied supplier shall consider the amount of value added and the location in which the value was added for all of the stages that the outside supplier would be required to consider;\n\n(iii) The manufacturer or allied supplier may determine that particular value is added in the United States and/or Canada only if it has a good faith basis to make that determination;\n\n(iv) A manufacturer and its allied suppliers may, on a combined basis, make value added determinations for no more than 10 percent, by value, of a carline's total parts content from outside suppliers;\n\n(v) Value added determinations made by a manufacturer or allied supplier under this paragraph shall have the same effect as if they were made by the outside supplier;\n\n(vi) This provision does not affect the obligation of outside suppliers to provide the requested information.\n\n(d)  Determination of the U.S./Canadian percentage of the total value of a carline's passenger motor vehicle equipment.  The percentage of the value of a carline's passenger motor vehicle equipment that is U.S./Canadian is determined by\u2014\n\n(1) Adding the total value of all of the equipment (regardless of country of origin) expected to be installed in that carline during the next model year;\n\n(2) Dividing the value of the U.S./Canadian content of such equipment by the amount calculated in paragraph (d)(1) of this section, and\n\n(3) Multiplying the resulting number by 100.\n\n(e)  Alternative calculation procedures.  (1) A manufacturer may submit a petition to use calculation procedures based on representative or statistical sampling, as an alternative to the calculation procedures specified in this section to determine U.S./Canadian parts content and major sources of foreign parts content.\n\n(2) Each petition must\u2014\n\n(i) Be submitted at least 120 days before the manufacturer would use the alternative procedure;\n\n(ii) Be written in the English language;\n\n(iii) Be submitted in three copies to: Administrator, National Highway Traffic Safety Administration, 400 Seventh Street SW., Washington, DC 20590;\n\n(iv) State the full name and address of the manufacturer;\n\n(v) Set forth in full the data, views and arguments of the manufacturer that would support granting the petition, including\u2014\n\n(A) the alternative procedure, and\n\n(B) analysis demonstrating that the alternative procedure will produce substantially equivalent results to the procedure set forth in this section;\n\n(vi) Specify and segregate any part of the information and data submitted in the petition that is requested to be withheld from public disclosure in accordance with part 512 of this chapter (the basic alternative procedure and basic supporting analysis must be provided as public information, but confidential business information may also be used in support of the petition).\n\n(3) The NHTSA publishes in the  Federal Register,  affording opportunity for comment, a notice of each petition containing the information required by this part. A copy of the petition is placed in the public docket. However, if NHTSA finds that a petition does not contain the information required by this part, it so informs the petitioner, pointing out the areas of insufficiency and stating that the petition will not receive further consideration until the required information is submitted.\n\n(4) If the Administrator determines that the petition does not contain adequate justification, he or she denies it and notifies the petitioner in writing, explaining the reasons for the denial. A copy of the letter is placed in the public docket.\n\n(5) If the Administrator determines that the petition contains adequate justification, he or she grants it, and notifies the petitioner in writing. A copy of the letter is placed in the public docket.\n\n(6) The Administrator may attach such conditions as he or she deems appropriate to a grant of a petition, which the manufacturer must follow in order to use the alternative procedure."], ["49:49:7.1.1.1.12.0.1.7", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.7 Procedure for determining major foreign sources of passenger motor vehicle equipment.", "NHTSA", "", "", "[59 FR 37330, July 21, 1994, as amended at 60 FR 47895, Sept. 15, 1995; 64 FR 40781, July 28, 1999]", "(a) Each manufacturer, except as specified in \u00a7 583.5(f) and (g), shall determine the countries, if any, which are major foreign sources of passenger motor vehicle equipment and the percentages attributable to each such country for each carline on a model year basis, before the beginning of each model year. The manufacturer need only determine this information for the two such countries with the highest percentages. Items of equipment produced at the final assembly point (but not as part of final assembly) are treated in the same manner as if they were supplied by an allied supplier. In making determinations under this section, the U.S. and Canada are treated together as if they were one (non-foreign) country. The country of origin of nuts, bolts, clips, screws, pins, braces, gasoline, oil, blackout, phosphate rinse, windshield washer fluid, fasteners, tire assembly fluid, rivets, adhesives, grommets, and wheel weights, used in final assembly of the vehicle, is considered to be the country where final assembly of the vehicle takes place.\n\n(b)  Determining the value of items of equipment.  The value of each item of equipment is determined in the manner specified in \u00a7 583.6(b).\n\n(c)  Determining the country of origin of items of equipment.  (1) Except as provided in (c)(2), the country of origin of each item is the country which contributes the greatest amount of value added to that item (treating the U.S. and Canada together).\n\n(2) Instead of making country of origin determinations in the manner specified in (c)(1), a manufacturer may, at its option, use any other methodology that is used for customs purposes (U.S. or foreign), so long as a consistent methodology is employed for all items of equipment, and the U.S. and Canada are treated together.\n\n(d)  Determination of the percentage of the total value of a carline's passenger motor vehicle equipment which is attributable to individual countries other than the U.S. and Canada.  The percentage of the value of a carline's passenger motor vehicle equipment that is attributable to each country other than the U.S. and Canada is determined on a model year basis by\u2014\n\n(1) Adding up the total value of all of the passenger motor vehicle equipment (regardless of country of origin) expected to be installed in that carline during the next model year;\n\n(2) Adding up the value of such equipment which originated in each country other than the U.S. or Canada;\n\n(3) Dividing the amount calculated in paragraph (d)(2) of this section for each country by the amount calculated in paragraph (d)(1) of this section, and multiplying each result by 100.\n\n(e) A country is a major foreign source of passenger motor vehicle equipment for a carline only if the country is one other than the U.S. or Canada and if 15 or more percent of the total value of the carline's passenger motor vehicle equipment is attributable to the country.\n\n(f) In determining the percentage of the total value of a carline's passenger motor vehicle equipment which is attributable to individual countries other than the U.S. and Canada, no value which is counted as U.S./Canadian parts content is also counted as being value which originated in a country other than the U.S. or Canada."], ["49:49:7.1.1.1.12.0.1.8", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.8 Procedure for determining country of origin for engines and transmissions (for purposes of determining the information specified by \u00a7\u00a7 583.5(a)(4) and 583.5(a)(5) only).", "NHTSA", "", "", "[59 FR 37330, July 21, 1994, as amended at 60 FR 47895, Sept. 15, 1995; 64 FR 40781, July 28, 1999]", "(a) Each supplier of an engine or transmission shall determine the country of origin once a year for each engine and transmission. The origin of engines shall be calculated for engines of the same displacement produced at the same plant. The origin for transmissions shall be calculated for transmissions of the same type produced at the same plant. Transmissions are of the same type if they have the same attributes including: Drive line application, number of forward gears, controls, and layout. The U.S. and Canada are treated separately in making such determination.\n\n(b) The value of an engine or transmission is determined by first adding the prices paid by the manufacturer of the engine/transmission for each component comprising the engine/transmission, as delivered to the assembly plant of the engine/transmission, and the fair market value of each individual part produced at the plant. The assembly and labor costs incurred for the final assembly of the engine/transmission are then added to determine the value of the engine or transmission.\n\n(c)  Determining the country of origin of components.  (1) Except as provided in (c)(2), the country of origin of each item of equipment is the country which contributes the greatest amount of value added to that item (the U.S. and Canada are treated separately).\n\n(2) Instead of making country of origin determinations in the manner specified in (c)(1), a manufacturer may, at its option, use any other methodology that is used for customs purposes (U.S. or foreign), so long as a consistent methodology is employed for all components.\n\n(d)  Determination of the total value of an engine/transmission which is attributable to individual countries.  The value of an engine/transmission that is attributable to each country is determined by adding the total value of all of the components installed in that engine/transmission which originated in that country. For the country where final assembly of the engine/transmission takes place, the assembly and labor costs incurred for such final assembly are also added.\n\n(e) The country of origin of each engine and the country of origin of each transmission is the country which contributes the greatest amount of value added to that item of equipment (the U.S. and Canada are treated separately)."], ["49:49:7.1.1.1.12.0.1.9", 49, "Transportation", "V", "", "583", "PART 583\u2014AUTOMOBILE PARTS CONTENT LABELING", "", "", "", "\u00a7 583.9 Attachment and maintenance of label.", "NHTSA", "", "", "", "(a)  Attachment of the label.  (1) Except as provided in (a)(2), each manufacturer shall cause the label required by \u00a7 583.5 to be affixed to each new passenger motor vehicle before the vehicle is delivered to a dealer.\n\n(2) For vehicles which are delivered to a dealer prior to the introduction date for the model in question, each manufacturer shall cause the label required by \u00a7 583.5 to be affixed to the vehicle prior to such introduction date.\n\n(b)  Maintenance of the label.  (1) Each dealer shall cause to be maintained each label on the new passenger motor vehicles it receives until after such time as a vehicle has been sold to a consumer for purposes other than resale.\n\n(2) If the manufacturer of a passenger motor vehicle provides a substitute label containing corrected information, the dealer shall replace the original label with the substitute label.\n\n(3) If a label becomes damaged so that the information it contains is not legible, the dealer shall replace it with an identical, undamaged label."]], "truncated": false, "filtered_table_rows_count": 45, "expanded_columns": [], "expandable_columns": [], "columns": ["section_id", "title_number", "title_name", "chapter", "subchapter", "part_number", "part_name", "subpart", "subpart_name", "section_number", "section_heading", "agency", "authority", "source_citation", "amendment_citations", "full_text"], "primary_keys": ["section_id"], "units": {}, "query": {"sql": "select section_id, title_number, title_name, chapter, subchapter, part_number, part_name, subpart, subpart_name, section_number, section_heading, agency, authority, source_citation, amendment_citations, full_text from cfr_sections where \"part_number\" = :p0 order by section_id limit 101", "params": {"p0": "583"}}, "facet_results": {"title_number": {"name": "title_number", "type": "column", "hideable": false, "toggle_url": "/openregs/cfr_sections.json?part_number=583", "results": [{"value": 24, "label": 24, "count": 28, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=583&title_number=24", "selected": false}, {"value": 49, "label": 49, "count": 17, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=583&title_number=49", "selected": false}], "truncated": false}, "agency": {"name": "agency", "type": "column", "hideable": false, "toggle_url": "/openregs/cfr_sections.json?part_number=583", "results": [{"value": "HUD", "label": "HUD", "count": 28, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=583&agency=HUD", "selected": false}, {"value": "NHTSA", "label": "NHTSA", "count": 17, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=583&agency=NHTSA", "selected": false}], "truncated": false}, "part_number": {"name": "part_number", "type": "column", "hideable": false, "toggle_url": "/openregs/cfr_sections.json?part_number=583", "results": [{"value": "583", "label": "583", "count": 45, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json", "selected": true}], "truncated": false}}, "suggested_facets": [{"name": "title_name", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=583&_facet=title_name"}, {"name": "subchapter", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=583&_facet=subchapter"}, {"name": "part_name", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=583&_facet=part_name"}, {"name": "subpart", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=583&_facet=subpart"}, {"name": "subpart_name", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=583&_facet=subpart_name"}, {"name": "amendment_citations", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=583&_facet=amendment_citations"}], "next": null, "next_url": null, "private": false, "allow_execute_sql": true, "query_ms": 3446.9847430009395, "source": "Federal Register API & Regulations.gov API", "source_url": "https://www.federalregister.gov/developers/api/v1", "license": "Public Domain (U.S. Government data)", "license_url": "https://www.regulations.gov/faq"}