(This measure has not been amended since it was introduced. The expanded summary of the House passed version is repeated here.)
Temporary Surface Transportation Extension Act of 2012 - Directs the Secretary of Transportation (DOT) to reduce the amount apportioned for a surface transportation program, project, or activity for FY2012 by amounts apportioned or allocated under the Surface Transportation Extension Act of 2012 for the period from October 1, 2011, through June 30, 2012.
Prescribes a special rule to provide that the amendments made by this Act shall cease to be effective upon enactment of the Moving Ahead for Progress in the 21st Century Act (MAP-21).
Title I: Federal-Aid Highways - (Sec. 101) Amends the Surface Transportation Extension Act of 2011, Part II to continue through July 6, 2012, and authorizes appropriations through that date for, specified federal-aid highway programs under the Safe, Accountable, Flexible, Efficient Transportation Equity Act: A Legacy for Users (SAFETEA-LU), the SAFETEA-LU Technical Corrections Act of 2008, the Intermodal Surface Transportation Efficiency Act of 1991 (ISTEA), and the Transportation Equity Act for the 21st Century. Includes among extended funds those for: (1) the surface transportation research, development, and deployment program; (2) training and education; (3) the Bureau of Transportation Statistics; (4) university transportation research; and (5) intelligent transportation systems (ITS) research.
Subjects funding for such programs generally to the same manner of distribution, administration, limitation, and availability for obligation, however, at 280/366 of the total amount, as funds authorized to be appropriated for such programs and activities out of the Highway Trust Fund (HTF) for FY2011.
Subjects contract authority, however, between October 1, 2011, and July 6, 2012, for such programs to a specified pro rata limitation on obligations included in any Act making appropriations for FY2012 or a portion of that fiscal year. Waives this obligation limitation, though, for emergency relief and for the equity bonus program.
Extends the allocation of certain transportation program funds to: (1) states for specific programs, including the Interstate and National Highway System program, the Congestion Mitigation and Air Quality Improvement program, the highway safety improvement program, the Surface Transportation program, and the Highway Bridge program; and (2) the territories and Puerto Rico. Prohibits use of program funds for a high-speed MAGLEV system between Las Vegas, Nevada, and Anaheim, California.
Authorizes appropriations from the HTF (other than the Mass Transit Account) for administrative expenses of the federal-aid highway program for the period from October 1, 2011, through July 6, 2012.
Terminates the surface transportation project delivery pilot program on September 30, 2012.
Title II: Extension of Highway Safety Programs - (Sec. 201) Amends SAFETEA-LU to extend, from October 1, 2011, through July 6, 2012, the authorization of appropriations for specified National Highway Traffic Safety Administration (NHTSA) safety programs, including: (1) highway safety research and development, (2) the occupant protection incentive grant program, (3) the safety belt performance grant program, (4) state traffic safety information system improvements, (5) the alcohol-impaired driving countermeasures incentive grant program, (6) the National Driver Register, (7) the high visibility enforcement program, (8) motorcyclist safety, (9) the child safety and child booster seat safety incentive grant program, and (10) NHTSA administrative expenses.
(Sec. 202) Extends for that same period the authorization of appropriations for Federal Motor Carrier Safety Administration (FMCSA) programs, including: (1) motor carrier safety grants, (2) FMCSA administrative expenses, (3) commercial driver's license program improvement grants, (4) border enforcement grants, (5) performance and registration information system management grants, (6) commercial vehicle information systems and networks deployment grants, (7) safety data improvement grants, (8) a set-aside for high priority activities that improve commercial motor vehicle safety and compliance with commercial motor vehicle safety regulations, (9) a set-aside for new entrant motor carrier audit grants, (10) FMCSA and NHTSA outreach and education, (11) the commercial motor vehicle operators grant program, (12) the FMCSA's Motor Carrier Safety Advisory Committee, and (13) the working group for development of practices and procedures to enhance federal-state relations.
(Sec. 203) Extends for the same period the funding for hazardous materials (hazmat) research projects.
Amends the Dingell-Johnson Sport Fish Restoration Act to continue, from October 1, 2011, through July 6, 2012, the authorized distribution of funds under such Act for coastal wetlands, recreational boating safety, projects under the Clean Vessel Act of 19921, boating infrastructure projects, and the National Outreach and Communications Program.
Extends the set-aside for administrative expenses for carrying out such projects.
Title III: Public Transportation Programs - (Sec. 301) Extends, from October 1, 2011, through July 6, 2012, the allocation of capital investment grant funds for federal transit programs, including the metropolitan planning program and the state planning and research program.
(Sec. 302) Extends the special rule authority of the Secretary to award urbanized area formula grants to finance the operating cost of equipment and facilities for use in public transportation in an urbanized area with a population of at least 200,000.
(Sec. 303) Allocates, from October 1, 2011, through July 6, 2012, certain amounts for formula and bus grants and capital investment grants for: (1) certain new fixed guideway capital projects; (2) new fixed guideway ferry systems and extension projects in Alaska and Hawaii; (3) payments to the Denali Commission for docks, waterfront development projects, and related transportation infrastructure; (4) ferry boats or ferry terminal facilities; (5) a set-aside for the national fuel cell bus technology development program; (6) projects in nonurbanized areas; (7) intermodal terminal projects; and (8) bus testing.
(Sec. 304) Extends the apportionment of nonurbanized area formula grants for public transportation on Indian reservations.
(Sec. 305) Extends, from October 1, 2011, through July 6, 2012, the apportionment of capital investment grant funds for certain fixed guideway modernization projects. Requires, however, the Secretary to apportion 76% of each dollar amount for such projects.
(Sec. 306) Extends for that same period the authorization of appropriations from the HTF Mass Transit Account for: (1) formula and bus grant projects, including allocations for specified projects; (2) capital investment grants; (3) transit research, including allocations for transit cooperative research programs, the National Transit Institute, the university centers program, transportation projects to comply with the Americans with Disabilities Act of 1990, the National Technical Assistance Center for senior transportation, and national research programs; and (4) administration expenses.
(Sec. 307) Extends, from October 1, 2011, through July 6, 2012, certain SAFETEA-LU programs, including: (1) the contracted paratransit pilot program, (2) the public-private partnership pilot program, (3) project authorizations for final design and construction and preliminary engineering of specified fixed guideway projects, and (4) the elderly individuals and individuals with disabilities pilot program.
Extends certain allocations for national research and technology programs.
Title IV: Highway Trust Fund Extension - (Sec. 401) Amends the Internal Revenue Code to extend through July 6, 2012, authority for expenditures from the: (1) HTF Highway and Mass Transit accounts, (2) Sport Fish Restoration and Boating Trust Fund, and (3) Leaking Underground Storage Tank Trust Fund.
(Sec. 402) Extends through July 6, 2012, excise taxes on: (1) fuel used by certain buses, (2) certain alcohol fuels, (3) gasoline (other than aviation gasoline) and diesel fuel or kerosene, (4) certain heavy trucks and trailers, and (5) tires. Extends the Leaking Underground Storage Tank Trust Fund tax.
Extends through July 6, 2012, the exemptions from excise taxes on: (1) certain sales, and (2) motor vehicles used by a state and local government.
Extends the transfer of: (1) certain highway excise taxes to the HTF, and (2) motorboat fuel taxes from the HTF into the land and water conservation fund.
Title V: Student Loans - (Sec. 501) Authorizes the Secretary of Education to delay the origination and disbursement of Direct Stafford loans to undergraduate students under the Higher Education Act of 1965 until enactment of MAP-21, except that the Secretary may only delay the origination and disbursement until July 6, 2012.
[112th Congress Public Law 140]
[From the U.S. Government Publishing Office]
[[Page 126 STAT. 391]]
Public Law 112-140
112th Congress
An Act
To provide an extension of Federal-aid highway, highway safety, motor
carrier safety, transit, and other programs funded out of the Highway
Trust Fund pending enactment of a multiyear law reauthorizing such
programs. <<NOTE: June 29, 2012 - [H.R. 6064]>>
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled, <<NOTE: Temporary
Surface Transportation Extension Act of 2012.>>
SECTION 1. SHORT TITLE; RECONCILIATION OF FUNDS; SPECIAL RULE FOR
EXECUTION OF AMENDMENTS IN MAP-21;
TABLE OF CONTENTS.
(a) <<NOTE: 23 USC 101 note.>> Short Title.--This Act may be cited
as the ``Temporary Surface Transportation Extension Act of 2012''.
(b) Reconciliation of Funds.--The Secretary of Transportation shall
reduce the amount apportioned or allocated for a program, project, or
activity under this Act in fiscal year 2012 by amounts apportioned or
allocated for the program, project, or activity pursuant to the Surface
Transportation Extension Act of 2012 (Public Law 112-102) for the period
beginning on October 1, 2011, and ending on June 30, 2012.
(c) <<NOTE: 23 USC 101 note.>> Special Rule for Execution of
Amendments in MAP-21.--On the date of enactment <<NOTE: Termination
date.>> of the MAP-21--
(1) this Act and the amendments made by this Act shall cease
to be effective;
(2) the text of the laws amended by this Act shall revert
back so as to read as the text read on the day before the date
of enactment of this Act; and
(3) the amendments made by the MAP-21 shall be executed as
if this Act had not been enacted.
(d) Table of Contents.--The table of contents for this Act is as
follows:
Sec. 1. Short title; reconciliation of funds; special rule for execution
of amendments in MAP-21; table of contents.
TITLE I--FEDERAL-AID HIGHWAYS
Sec. 101. Extension of Federal-aid highway programs.
TITLE II--EXTENSION OF HIGHWAY SAFETY PROGRAMS
Sec. 201. Extension of National Highway Traffic Safety Administration
highway safety programs.
Sec. 202. Extension of Federal Motor Carrier Safety Administration
programs.
Sec. 203. Additional programs.
TITLE III--PUBLIC TRANSPORTATION PROGRAMS
Sec. 301. Allocation of funds for planning programs.
Sec. 302. Special rule for urbanized area formula grants.
Sec. 303. Allocating amounts for capital investment grants.
Sec. 304. Apportionment of formula grants for other than urbanized
areas.
[[Page 126 STAT. 392]]
Sec. 305. Apportionment based on fixed guideway factors.
Sec. 306. Authorizations for public transportation.
Sec. 307. Amendments to SAFETEA-LU.
TITLE IV--HIGHWAY TRUST FUND EXTENSION
Sec. 401. Extension of trust fund expenditure authority.
Sec. 402. Extension of highway-related taxes.
TITLE V--STUDENT LOANS
Sec. 501. Temporary authority.
TITLE I--FEDERAL-AID HIGHWAYS
SEC. 101. EXTENSION OF FEDERAL-AID HIGHWAY PROGRAMS.
(a) In General.--Section 111 of the Surface Transportation Extension
Act of 2011, Part II (Public Law 112-30; 125 Stat. 343) is amended--
(1) by striking ``the period beginning on October 1, 2011,
and ending on June 30, 2012,'' each place it appears and
inserting ``the period beginning on October 1, 2011, and ending
on July 6, 2012,'';
(2) by striking ``\3/4\'' each place it appears and
inserting ``\280/366\''; and
(3) in subsection (a) by striking ``June 30, 2012'' and
inserting ``July 6, 2012''.
(b) Use of Funds.--Section 111(c)(3)(B)(ii) of the Surface
Transportation Extension Act of 2011, Part II (125 Stat. 343) is amended
by striking ``$479,250,000'' and inserting ``$485,640,000''.
(c) Extension of Authorizations Under Title V of SAFETEA-LU.--
Section 111(e)(2) of the Surface Transportation Extension Act of 2011,
Part II (125 Stat. 343) is amended by striking ``the period beginning on
October 1, 2011, and ending on June 30, 2012.'' and inserting ``the
period beginning on October 1, 2011, and ending on July 6, 2012.''.
(d) Administrative Expenses.--Section 112(a) of the Surface
Transportation Extension Act of 2011, Part II (125 Stat. 346) is amended
by striking ``$294,641,438 for the period beginning on October 1, 2011,
and ending on June 30, 2012.'' and inserting ``$314,493,723 for the
period beginning on October 1, 2011, and ending on July 6, 2012.''.
(e) Surface Transportation Project Delivery Pilot Program.--
(1) In general.--Section 327(i)(1) of title 23, United
States Code, is amended by striking ``the date that is 7 years
after the date of enactment of this section'' and inserting
``September 30, 2012''.
(2) <<NOTE: 23 USC 327 note.>> Effective date.--The
amendment made by paragraph (1) shall take effect as if included
in section 101 of the Surface Transportation Extension Act of
2012 and shall not be subject to the special rule in section
1(c) of this Act.
[[Page 126 STAT. 393]]
TITLE II--EXTENSION OF HIGHWAY SAFETY PROGRAMS
SEC. 201. EXTENSION OF NATIONAL HIGHWAY TRAFFIC SAFETY
ADMINISTRATION HIGHWAY SAFETY PROGRAMS.
(a) Chapter 4 Highway Safety Programs.--Section 2001(a)(1) of
SAFETEA-LU (119 Stat. 1519) is amended by striking ``$235,000,000 for
each of fiscal years 2009 through 2011, and $176,250,000 for the period
beginning on October 1, 2011, and ending on June 30, 2012.'' and
inserting ``$235,000,000 for each of fiscal years 2009 through 2011, and
$178,600,000 for the period beginning on October 1, 2011, and ending on
July 6, 2012.''.
(b) Highway Safety Research and Development.--Section 2001(a)(2) of
SAFETEA-LU (119 Stat. 1519) is amended by striking ``$108,244,000 for
fiscal year 2011, and $81,183,000 for the period beginning on October 1,
2011, and ending on June 30, 2012.'' and inserting ``$108,244,000 for
fiscal year 2011, and $82,265,440 for the period beginning on October 1,
2011, and ending on July 6, 2012.''.
(c) Occupant Protection Incentive Grants.--Section 2001(a)(3) of
SAFETEA-LU (119 Stat. 1519) is amended by striking ``$25,000,000 for
each of fiscal years 2006 through 2011, and $18,750,000 for the period
beginning on October 1, 2011, and ending on June 30, 2012.'' and
inserting ``$25,000,000 for each of fiscal years 2006 through 2011, and
$19,000,000 for the period beginning on October 1, 2011, and ending on
July 6, 2012.''.
(d) Safety Belt Performance Grants.--Section 2001(a)(4) of SAFETEA-
LU (119 Stat. 1519) is amended by striking ``$124,500,000 for fiscal
year 2011, and $36,375,000 for the period beginning on October 1, 2011,
and ending on June 30, 2012.'' and inserting ``$124,500,000 for fiscal
year 2011, and $36,860,000 for the period beginning on October 1, 2011,
and ending on July 6, 2012.''.
(e) State Traffic Safety Information System Improvements.--Section
2001(a)(5) of SAFETEA-LU (119 Stat. 1519) is amended by striking
``$34,500,000 for each of fiscal years 2006 through 2011 and $25,875,000
for the period beginning on October 1, 2011, and ending on June 30,
2012.'' and inserting ``$34,500,000 for each of fiscal years 2006
through 2011 and $26,220,000 for the period beginning on October 1,
2011, and ending on July 6, 2012.''.
(f) Alcohol-Impaired Driving Countermeasures Incentive Grant
Program.--Section 2001(a)(6) of SAFETEA-LU (119 Stat. 1519) is amended
by striking ``$139,000,000 for each of fiscal years fiscal years 2009
through 2011, and $104,250,000 for the period beginning on October 1,
2011, and ending on June 30, 2012.'' and inserting ``$139,000,000 for
each of fiscal years 2009 through 2011, and $105,640,000 for the period
beginning on October 1, 2011, and ending on July 6, 2012.''.
(g) National Driver Register.--Section 2001(a)(7) of SAFETEA-LU (119
Stat. 1520) is amended by striking ``$4,116,000 for fiscal year 2011,
and $3,087,000 for the period beginning on October 1, 2011, and ending
on June 30, 2012.'' and inserting ``$4,116,000 for fiscal year 2011, and
$3,128,160 for the period beginning on October 1, 2011, and ending on
July 6, 2012.''.
[[Page 126 STAT. 394]]
(h) High Visibility Enforcement Program.--Section 2001(a)(8) of
SAFETEA-LU (119 Stat. 1520) is amended by striking ``$29,000,000 for
each of fiscal years 2006 through 2011 and $21,750,000 for the period
beginning on October 1, 2011, and ending on June 30, 2012.'' and
inserting ``$29,000,000 for each of fiscal years 2006 through 2011 and
$22,040,000 for the period beginning on October 1, 2011, and ending on
July 6, 2012.''.
(i) Motorcyclist Safety.--Section 2001(a)(9) of SAFETEA-LU (119
Stat. 1520) is amended by striking ``$7,000,000 for each of fiscal years
2009 through 2011, and $5,250,000 for the period beginning on October 1,
2011, and ending on June 30, 2012.'' and inserting ``$7,000,000 for each
of fiscal years 2009 through 2011, and $5,320,000 for the period
beginning on October 1, 2011, and ending on July 6, 2012.''.
(j) Child Safety and Child Booster Seat Safety Incentive Grants.--
Section 2001(a)(10) of SAFETEA-LU (119 Stat. 1520) is amended by
striking ``$7,000,000 for each of fiscal years 2009 through 2011, and
$5,250,000 for the period beginning on October 1, 2011, and ending on
June 30, 2012.'' and inserting ``$7,000,000 for each of fiscal years
2009 through 2011, and $5,320,000 for the period beginning on October 1,
2011, and ending on July 6, 2012.''.
(k) Administrative Expenses.--Section 2001(a)(11) of SAFETEA-LU (119
Stat. 1520) is amended by striking ``$25,328,000 for fiscal year 2011,
and $18,996,000 for the period beginning on October 1, 2011, and ending
on June 30, 2012.'' and inserting ``$25,328,000 for fiscal year 2011,
and $19,249,280 for the period beginning on October 1, 2011, and ending
on July 6, 2012.''.
SEC. 202. EXTENSION OF FEDERAL MOTOR CARRIER SAFETY ADMINISTRATION
PROGRAMS.
(a) Motor Carrier Safety Grants.--Section 31104(a)(8) of title 49,
United States Code, is amended to read as follows:
``(8) $161,120,000 for the period beginning on October 1,
2011, and ending on July 6, 2012.''.
(b) Administrative Expenses.--Section 31104(i)(1)(H) of title 49,
United States Code, is amended to read as follows:
``(H) $185,549,440 for the period beginning on
October 1, 2011, and ending on July 6, 2012.''.
(c) Grant Programs.--Section 4101(c) of SAFETEA-LU (119 Stat. 1715)
is amended--
(1) in paragraph (1) by striking ``2011 and $22,500,000 for
the period beginning on October 1, 2011, and ending on June 30,
2012.'' and inserting ``2011 and $22,800,000 for the period
beginning on October 1, 2011, and ending on July 6, 2012.'';
(2) in paragraph (2) by striking ``2011 and $24,000,000 for
the period beginning on October 1, 2011, and ending on June 30,
2012.'' and inserting ``2011 and $24,320,000 for the period
beginning on October 1, 2011, and ending on July 6, 2012.'';
(3) in paragraph (3) by striking ``2011 and $3,750,000 for
the period beginning on October 1, 2011, and ending on June 30,
2012.'' and inserting ``2011 and $3,800,000 for the period
beginning on October 1, 2011, and ending on July 6, 2012.'';
(4) in paragraph (4) by striking ``2011 and $18,750,000 for
the period beginning on October 1, 2011, and ending on
[[Page 126 STAT. 395]]
June 30, 2012.'' and inserting ``2011 and $19,000,000 for the
period beginning on October 1, 2011, and ending on July 6,
2012.''; and
(5) in paragraph (5)--
(A) by striking ``2006 and'' and inserting
``2006,''; and
(B) by striking ``2011 and $2,250,000 for the period
beginning on October 1, 2011, and ending on June 30,
2012.'' and inserting ``2011, and $2,280,000 for the
period beginning on October 1, 2011, and ending on July
6, 2012.''.
(d) High-Priority Activities.--Section 31104(k)(2) of title 49,
United States Code, is amended by striking ``2011 and $11,250,000 for
the period beginning on October 1, 2011, and ending on June 30, 2012,''
and inserting ``2011 and $11,400,000 for the period beginning on October
1, 2011, and ending on July 6, 2012,''.
(e) New Entrant Audits.--Section 31144(g)(5)(B) of title 49, United
States Code, is amended by striking ``and up to $21,750,000 for the
period beginning on October 1, 2011, and ending on June 30, 2012,'' and
inserting ``and up to $22,040,000 for the period beginning on October 1,
2011, and ending on July 6, 2012,''.
(f) Outreach and Education.--Section 4127(e) of SAFETEA-LU (119
Stat. 1741) <<NOTE: 49 USC 31100 note.>> is amended by striking ``and
2011 (and $750,000 to the Federal Motor Carrier Safety Administration,
and $2,250,000 to the National Highway Traffic Safety Administration,
for the period beginning on October 1, 2011, and ending on June 30,
2012)'' and inserting ``and 2011 (and $760,000 to the Federal Motor
Carrier Safety Administration, and $2,280,000 to the National Highway
Traffic Safety Administration, for the period beginning on October 1,
2011, and ending on July 6, 2012)''.
(g) Grant Program for Commercial Motor Vehicle Operators.--Section
4134(c) of SAFETEA-LU (119 Stat. 1744) <<NOTE: 49 USC 31301 note.>> is
amended by striking ``2011 and $750,000 for the period beginning on
October 1, 2011, and ending on June 30, 2012,'' and inserting ``2011 and
$760,000 for the period beginning on October 1, 2011, and ending on July
6, 2012,''.
(h) Motor Carrier Safety Advisory Committee.--Section 4144(d) of
SAFETEA-LU (119 Stat. 1748) <<NOTE: 49 USC 31100 note.>> is amended by
striking ``June 30, 2012'' and inserting ``July 6, 2012''.
(i) Working Group for Development of Practices and Procedures To
Enhance Federal-State Relations.--Section 4213(d) of SAFETEA-LU (49
U.S.C. 14710 note; 119 Stat. 1759) is amended by striking ``June 30,
2012'' and inserting ``July 6, 2012''.
SEC. 203. ADDITIONAL PROGRAMS.
(a) Hazardous Materials Research Projects.--Section 7131(c) of
SAFETEA-LU (119 Stat. 1910) is amended by striking ``2011 and $870,000
for the period beginning on October 1, 2011, and ending on June 30,
2012,'' and inserting ``2011 and $881,600 for the period beginning on
October 1, 2011, and ending on July 6, 2012,''.
(b) Dingell-Johnson Sport Fish Restoration Act.--Section 4 of the
Dingell-Johnson Sport Fish Restoration Act (16 U.S.C. 777c) is amended--
(1) in subsection (a) by striking ``2011 and for the period
beginning on October 1, 2011, and ending on June 30, 2012,'' and
inserting ``2011 and for the period beginning on October 1,
2011, and ending on July 6, 2012,''; and
[[Page 126 STAT. 396]]
(2) in the first sentence of subsection (b)(1)(A) by
striking ``2011 and for the period beginning on October 1, 2011,
and ending on June 30, 2012,'' and inserting ``2011 and for the
period beginning on October 1, 2011, and ending on July 6,
2012,''.
TITLE III--PUBLIC TRANSPORTATION PROGRAMS
SEC. 301. ALLOCATION OF FUNDS FOR PLANNING PROGRAMS.
Section 5305(g) of title 49, United States Code, is amended by
striking ``2011 and for the period beginning on October 1, 2011, and
ending on June 30, 2012'' and inserting ``2011 and for the period
beginning on October 1, 2011, and ending on July 6, 2012''.
SEC. 302. SPECIAL RULE FOR URBANIZED AREA FORMULA GRANTS.
Section 5307(b)(2) of title 49, United States Code, is amended--
(1) by striking the paragraph heading and inserting
``Special rule for fiscal years 2005 through 2011 and the
period beginning on october 1, 2011, and ending on july 6,
2012.--'';
(2) in subparagraph (A) by striking ``2011 and the period
beginning on October 1, 2011, and ending on June 30, 2012,'' and
inserting ``2011 and the period beginning on October 1, 2011,
and ending on July 6, 2012,''; and
(3) in subparagraph (E)--
(A) by striking the subparagraph heading and
inserting ``Maximum amounts in fiscal years 2008 through
2011 and the period beginning on october 1, 2011, and
ending on july 6, 2012.--''; and
(B) in the matter preceding clause (i) by striking
``2011 and during the period beginning on October 1,
2011, and ending on June 30, 2012'' and inserting ``2011
and during the period beginning on October 1, 2011, and
ending on July 6, 2012''.
SEC. 303. ALLOCATING AMOUNTS FOR CAPITAL INVESTMENT GRANTS.
Section 5309(m) of title 49, United States Code, is amended--
(1) in paragraph (2)--
(A) by striking the paragraph heading and inserting
``Fiscal years 2006 through 2011 and the period
beginning on october 1, 2011, and ending on july 6,
2012.--'';
(B) in the matter preceding subparagraph (A) by
striking ``2011 and the period beginning on October 1,
2011, and ending on June 30, 2012,'' and inserting
``2011 and the period beginning on October 1, 2011, and
ending on July 6, 2012,''; and
(C) in subparagraph (A)(i) by striking ``2011 and
$150,000,000 for the period beginning on October 1,
2011, and ending on June 30, 2012,'' and inserting
``2011 and $152,000,000 for the period beginning on
October 1, 2011, and ending on July 6, 2012,'';
(2) in paragraph (6)--
(A) in subparagraph (B) by striking ``2011 and
$11,250,000 shall be available for the period beginning
[[Page 126 STAT. 397]]
on October 1, 2011, and ending on June 30, 2012,'' and
inserting ``2011 and $11,400,000 shall be available for
the period beginning on October 1, 2011, and ending on
July 6, 2012,''; and
(B) in subparagraph (C) by striking ``though 2011
and $3,750,000 shall be available for the period
beginning on October 1, 2011, and ending on June 30,
2012,'' and inserting ``through 2011 and $3,800,000
shall be available for the period beginning on October
1, 2011, and ending on July 6, 2012,''; and
(3) in paragraph (7)--
(A) in subparagraph (A)--
(i) in the matter preceding clause (i)--
(I) in the first sentence by
striking ``2011 and $7,500,000 shall be
available for the period beginning on
October 1, 2011, and ending on June 30,
2012,'' and inserting ``2011 and
$7,600,000 shall be available for the
period beginning on October 1, 2011, and
ending on July 6, 2012,''; and
(II) in the second sentence by
striking ``shall be set aside for:'' and
inserting ``shall be set aside:'';
(ii) in clause (i) by striking ``for each
fiscal year and $1,875,000 for the period
beginning on October 1, 2011, and ending on June
30, 2012,'' and inserting ``for each fiscal year
and $1,900,000 for the period beginning on October
1, 2011, and ending on July 6, 2012,'';
(iii) in clause (ii) by striking ``for each
fiscal year and $1,875,000 for the period
beginning on October 1, 2011, and ending on June
30, 2012,'' and inserting ``for each fiscal year
and $1,900,000 for the period beginning on October
1, 2011, and ending on July 6, 2012,'';
(iv) in clause (iii) by striking ``for each
fiscal year and $750,000 for the period beginning
on October 1, 2011, and ending on June 30, 2012,''
and inserting ``for each fiscal year and $760,000
for the period beginning on October 1, 2011, and
ending on July 6, 2012,'';
(v) in clause (iv) by striking ``for each
fiscal year and $750,000 for the period beginning
on October 1, 2011, and ending on June 30, 2012,''
and inserting ``for each fiscal year and $760,000
for the period beginning on October 1, 2011, and
ending on July 6, 2012,'';
(vi) in clause (v) by striking ``for each
fiscal year and $750,000 for the period beginning
on October 1, 2011, and ending on June 30, 2012,''
and inserting ``for each fiscal year and $760,000
for the period beginning on October 1, 2011, and
ending on July 6, 2012,'';
(vii) in clause (vi) by striking ``for each
fiscal year and $750,000 for the period beginning
on October 1, 2011, and ending on June 30, 2012,''
and inserting ``for each fiscal year and $760,000
for the period beginning on October 1, 2011, and
ending on July 6, 2012,'';
(viii) in clause (vii) by striking ``for each
fiscal year and $487,500 for the period beginning
on October 1, 2011, and ending on June 30, 2012,''
and inserting
[[Page 126 STAT. 398]]
``for each fiscal year and $494,000 for the period
beginning on October 1, 2011, and ending on July
6, 2012,''; and
(ix) in clause (viii) by striking ``for each
fiscal year and $262,500 for the period beginning
on October 1, 2011, and ending on June 30, 2012,''
and inserting ``for each fiscal year and $266,000
for the period beginning on October 1, 2011, and
ending on July 6, 2012,'';
(B) in subparagraph (B) by striking clause (vii) and
inserting the following:
``(vii) $10,260,000 for the period beginning
on October 1, 2011, and ending on July 6, 2012.'';
(C) in subparagraph (C) by striking ``and during the
period beginning on October 1, 2011, and ending on June
30, 2012,'' and inserting ``and during the period
beginning on October 1, 2011, and ending on July 6,
2012,'';
(D) in subparagraph (D) by striking ``and not less
than $26,250,000 shall be available for the period
beginning on October 1, 2011, and ending on June 30,
2012,'' and inserting ``and not less than $26,600,000
shall be available for the period beginning on October
1, 2011, and ending on July 6, 2012,''; and
(E) in subparagraph (E) by striking ``and $2,250,000
shall be available for the period beginning on October
1, 2011, and ending on June 30, 2012,'' and inserting
``and $2,280,000 shall be available for the period
beginning on October 1, 2011, and ending on July 6,
2012,''.
SEC. 304. APPORTIONMENT OF FORMULA GRANTS FOR OTHER THAN URBANIZED
AREAS.
Section 5311(c)(1)(G) of title 49, United States Code, is amended to
read as follows:
``(G) $11,400,000 for the period beginning on
October 1, 2011, and ending on July 6, 2012.''.
SEC. 305. APPORTIONMENT BASED ON FIXED GUIDEWAY FACTORS.
Section 5337(g) of title 49, United States Code, is amended to read
as follows:
``(g) <<NOTE: Time period.>> Special Rule for October 1, 2011,
Through July 6, 2012.--The Secretary shall apportion amounts made
available for fixed guideway modernization under section 5309 for the
period beginning on October 1, 2011, and ending on July 6, 2012, in
accordance with subsection (a), except that the Secretary shall
apportion 76 percent of each dollar amount specified in subsection
(a).''.
SEC. 306. AUTHORIZATIONS FOR PUBLIC TRANSPORTATION.
(a) Formula and Bus Grants.--Section 5338(b) of title 49, United
States Code, is amended--
(1) in paragraph (1) by striking subparagraph (G) and
inserting the following:
``(G) $6,354,029,400 for the period beginning on
October 1, 2011, and ending on July 6, 2012.''; and
(2) in paragraph (2)--
(A) in subparagraph (A) by striking ``$113,500,000
for each of fiscal years 2009 through 2011, and
$85,125,000 for the period beginning on October 1, 2011,
and ending on June 30, 2012,'' and inserting
``$113,500,000 for each
[[Page 126 STAT. 399]]
of fiscal years 2009 through 2011, and $86,260,000 for
the period beginning on October 1, 2011, and ending on
July 6, 2012,'';
(B) in subparagraph (B) by striking ``$4,160,365,000
for each of fiscal years 2009 through 2011, and
$3,120,273,750 for the period beginning on October 1,
2011, and ending on June 30, 2012,'' and inserting
``$4,160,365,000 for each of fiscal years 2009 through
2011, and $3,161,877,400 for the period beginning on
October 1, 2011, and ending on July 6, 2012,'';
(C) in subparagraph (C) by striking ``$51,500,000
for each of fiscal years 2009 through 2011, and
$38,625,000 for the period beginning on October 1, 2011,
and ending on June 30, 2012,'' and inserting
``$51,500,000 for each of fiscal years 2009 through
2011, and $39,140,000 for the period beginning on
October 1, 2011, and ending on July 6, 2012,'';
(D) in subparagraph (D) by striking ``$1,666,500,000
for each of fiscal years 2009 through 2011, and
$1,249,875,000 for the period beginning on October 1,
2011, and ending on June 30, 2012,'' and inserting
``$1,666,500,000 for each of fiscal years 2009 through
2011, and $1,266,540,000 for the period beginning on
October 1, 2011, and ending on July 6, 2012,'';
(E) in subparagraph (E) by striking ``$984,000,000
for each of fiscal years 2009 through 2011, and
$738,000,000 for the period beginning on October 1,
2011, and ending on June 30, 2012,'' and inserting
``$984,000,000 for each of fiscal years 2009 through
2011, and $747,840,000 for the period beginning on
October 1, 2011, and ending on July 6, 2012,'';
(F) in subparagraph (F) by striking ``$133,500,000
for each of fiscal years 2009 through 2011, and
$100,125,000 for the period beginning on October 1,
2011, and ending on June 30, 2012,'' and inserting
``$133,500,000 for each of fiscal years 2009 through
2011, and $101,460,000 for the period beginning on
October 1, 2011, and ending on July 6, 2012,'';
(G) in subparagraph (G) by striking ``$465,000,000
for each of fiscal years 2009 through 2011, and
$348,750,000 for the period beginning on October 1,
2011, and ending on June 30, 2012,'' and inserting
``$465,000,000 for each of fiscal years 2009 through
2011, and $353,400,000 for the period beginning on
October 1, 2011, and ending on July 6, 2012,'';
(H) in subparagraph (H) by striking ``$164,500,000
for each of fiscal years 2009 through 2011, and
$123,375,000 for the period beginning on October 1,
2011, and ending on June 30, 2012,'' and inserting
``$164,500,000 for each of fiscal years 2009 through
2011, and $125,020,000 for the period beginning on
October 1, 2011, and ending on July 6, 2012,'';
(I) in subparagraph (I) by striking ``$92,500,000
for each of fiscal years 2009 through 2011, and
$69,375,000 for the period beginning on October 1, 2011,
and ending on June 30, 2012,'' and inserting
``$92,500,000 for each of fiscal years 2009 through
2011, and $70,300,000 for
[[Page 126 STAT. 400]]
the period beginning on October 1, 2011, and ending on
July 6, 2012,'';
(J) in subparagraph (J) by striking ``$26,900,000
for each of fiscal years 2009 through 2011, and
$20,175,000 for the period beginning on October 1, 2011,
and ending on June 30, 2012,'' and inserting
``$26,900,000 for each of fiscal years 2009 through
2011, and $20,444,000 for the period beginning on
October 1, 2011, and ending on July 6, 2012,'';
(K) in subparagraph (K) by striking ``$3,500,000 for
each of fiscal years 2006 through 2011 and $2,625,000
for the period beginning on October 1, 2011, and ending
on June 30, 2012,'' and inserting ``$3,500,000 for each
of fiscal years 2006 through 2011 and $2,660,000 for the
period beginning on October 1, 2011, and ending on July
6, 2012,'';
(L) in subparagraph (L) by striking ``$25,000,000
for each of fiscal years 2006 through 2011 and
$18,750,000 for the period beginning on October 1, 2011,
and ending on June 30, 2012,'' and inserting
``$25,000,000 for each of fiscal years 2006 through 2011
and $19,000,000 for the period beginning on October 1,
2011, and ending on July 6, 2012,'';
(M) in subparagraph (M) by striking ``$465,000,000
for each of fiscal years 2009 through 2011, and
$348,750,000 for the period beginning on October 1,
2011, and ending on June 30, 2012,'' and inserting
``$465,000,000 for each of fiscal years 2009 through
2011, and $353,400,000 for the period beginning on
October 1, 2011, and ending on July 6, 2012,''; and
(N) in subparagraph (N) by striking ``$8,800,000 for
each of fiscal years 2009 through 2011, and $6,600,000
for the period beginning on October 1, 2011, and ending
on June 30, 2012,'' and inserting ``$8,800,000 for each
of fiscal years 2009 through 2011, and $6,688,000 for
the period beginning on October 1, 2011, and ending on
July 6, 2012,''.
(b) Capital Investment Grants.--Section 5338(c)(7) of title 49,
United States Code, is amended to read as follows:
``(7) $1,485,800,000 for the period beginning on October 1,
2011, and ending on July 6, 2012.''.
(c) Research and University Research Centers.--Section 5338(d) of
title 49, United States Code, is amended--
(1) in paragraph (1), in the matter preceding subparagraph
(A), by striking ``2011, and $33,000,000 for the period
beginning on October 1, 2011, and ending on June 30, 2012,'' and
inserting ``2011, and $33,440,000 for the period beginning on
October 1, 2011, and ending on July 6, 2012,''; and
(2) by striking paragraph (3) and inserting the following:
``(3) Additional authorizations.--
``(A) Research.--Of amounts authorized to be
appropriated under paragraph (1) for the period
beginning on October 1, 2011, and ending on July 6,
2012, the Secretary shall allocate for each of the
activities and projects described in subparagraphs (A)
through (F) of paragraph (1) an amount equal to 48
percent of the amount allocated for fiscal year 2009
under each such subparagraph.
[[Page 126 STAT. 401]]
``(B) University centers program.--
``(i) October 1, 2011, through july 6, 2012.--
Of the amounts allocated under subparagraph (A)
for the university centers program under section
5506 for the period beginning on October 1, 2011,
and ending on July 6, 2012, the Secretary shall
allocate for each program described in clauses (i)
through (iii) and (v) through (viii) of paragraph
(2)(A) an amount equal to 48 percent of the amount
allocated for fiscal year 2009 under each such
clause.
``(ii) Funding.--If the Secretary determines
that a project or activity described in paragraph
(2) received sufficient funds in fiscal year 2011,
or a previous fiscal year, to carry out the
purpose for which the project or activity was
authorized, the Secretary may not allocate any
amounts under clause (i) for the project or
activity for fiscal year 2012 or any subsequent
fiscal year.''.
(d) Administration.--Section 5338(e)(7) of title 49, United States
Code, is amended to read as follows:
``(7) $75,021,880 for the period beginning on October 1,
2011, and ending on July 6, 2012.''.
SEC. 307. AMENDMENTS TO SAFETEA-LU.
(a) Contracted Paratransit Pilot.--Section 3009(i)(1) of SAFETEA-LU
(119 Stat. 1572) is amended by striking ``2011 and the period beginning
on October 1, 2011, and ending on June 30, 2012,'' and inserting ``2011
and the period beginning on October 1, 2011, and ending on July 6,
2012,''.
(b) Public-Private Partnership Pilot Program.--Section 3011 of
SAFETEA-LU (119 Stat. 1573) <<NOTE: 49 USC 5309 note.>> is amended--
(1) in subsection (c)(5) by striking ``2011 and the period
beginning on October 1, 2011, and ending on June 30, 2012'' and
inserting ``2011 and the period beginning on October 1, 2011,
and ending on July 6, 2012''; and
(2) in the second sentence of subsection (d) by striking
``2011 and the period beginning on October 1, 2011, and ending
on June 30, 2012,'' and inserting ``2011 and the period
beginning on October 1, 2011, and ending on July 6, 2012,''.
(c) Elderly Individuals and Individuals With Disabilities Pilot
Program.--Section 3012(b)(8) of SAFETEA-LU (49 U.S.C. 5310 note; 119
Stat. 1593) is amended by striking ``June 30, 2012'' and inserting
``July 6, 2012''.
(d) Obligation Ceiling.--Section 3040(8) of SAFETEA-LU (119 Stat.
1639) is amended to read as follows:
``(8) $7,948,291,280 for the period beginning on October 1,
2011, and ending on July 6, 2012, of which not more than
$6,354,029,400 shall be from the Mass Transit Account.''.
(e) Project Authorizations for New Fixed Guideway Capital
Projects.--Section 3043 of SAFETEA-LU (119 Stat. 1640) is amended--
(1) in subsection (b), in the matter preceding paragraph
(1), by striking ``2011 and the period beginning on October 1,
2011, and ending on June 30, 2012,'' and inserting ``2011 and
the period beginning on October 1, 2011, and ending on July 6,
2012,''; and
[[Page 126 STAT. 402]]
(2) in subsection (c), in the matter preceding paragraph
(1), by striking ``2011 and the period beginning on October 1,
2011, and ending on June 30, 2012,'' and inserting ``2011 and
the period beginning on October 1, 2011, and ending on July 6,
2012,''.
(f) Allocations for National Research and Technology Programs.--
Section 3046(c)(2) of SAFETEA-LU (49 U.S.C. 5338 note; 119 Stat. 1706)
is amended to read as follows:
``(2) for the period beginning on October 1, 2011, and
ending on July 6, 2012, in amounts equal to 48 percent of the
amounts allocated for fiscal year 2009 under each of paragraphs
(2), (3), (5), and (8) through (25) of subsection (a).''.
TITLE IV--HIGHWAY TRUST FUND EXTENSION
SEC. 401. EXTENSION OF TRUST FUND EXPENDITURE AUTHORITY.
(a) Highway Trust Fund.--Section 9503 of the Internal Revenue Code
of 1986 <<NOTE: 26 USC 9503.>> is amended--
(1) by striking ``July 1, 2012'' in subsections (b)(6)(B),
(c)(1), and (e)(3) and inserting ``July 7, 2012''; and
(2) by striking ``Surface Transportation Extension Act of
2012'' in subsections (c)(1) and (e)(3) and inserting
``Temporary Surface Transportation Extension Act of 2012''.
(b) Sport Fish Restoration and Boating Trust Fund.--Section 9504 of
such Code is amended--
(1) by striking ``Surface Transportation Extension Act of
2012'' each place it appears in subsection (b)(2) and inserting
``Temporary Surface Transportation Extension Act of 2012''; and
(2) by striking ``July 1, 2012'' in subsection (d)(2) and
inserting ``July 7, 2012''.
(c) Leaking Underground Storage Tank Trust Fund.--Paragraph (2) of
section 9508(e) of such Code is amended by striking ``July 1, 2012'' and
inserting ``July 7, 2012''.
(d) <<NOTE: 26 USC 9503 note.>> Effective Date.--The amendments
made by this section shall take effect on July 1, 2012.
SEC. 402. EXTENSION OF HIGHWAY-RELATED TAXES.
(a) In General.--
(1) Each of the following provisions of the Internal Revenue
Code of 1986 is amended by striking ``June 30, 2012'' and
inserting ``July 6, 2012'':
(A) Section 4041(a)(1)(C)(iii)(I).
(B) Section 4041(m)(1)(B).
(C) Section 4081(d)(1).
(2) Each of the following provisions of such Code is amended
by striking ``July 1, 2012'' and inserting ``July 7, 2012'':
(A) Section 4041(m)(1)(A).
(B) Section 4051(c).
(C) Section 4071(d).
(D) Section 4081(d)(3).
(b) Floor Stocks Refunds.--Section 6412(a)(1) of such Code is
amended--
(1) by striking ``July 1, 2012'' each place it appears and
inserting ``July 7, 2012'';
[[Page 126 STAT. 403]]
(2) by striking ``December 31, 2012'' each place it appears
and inserting ``January 6, 2013''; and
(3) by striking ``October 1, 2012'' and inserting ``October
7, 2012''.
(c) Extension of Certain Exemptions.--Sections 4221(a) and 4483(i)
of such Code <<NOTE: 26 USC 4221, 4483.>> are each amended by striking
``July 1, 2012'' and inserting ``July 7, 2012''.
(d) Extension of Transfers of Certain Taxes.--
(1) In general.--Section 9503 of such Code is amended--
(A) in subsection (b)--
(i) by striking ``July 1, 2012'' each place it
appears in paragraphs (1) and (2) and inserting
``July 7, 2012'';
(ii) by striking ``July 1, 2012'' in the
heading of paragraph (2) and inserting ``July 7,
2012'';
(iii) by striking ``June 30, 2012'' in
paragraph (2) and inserting ``July 6, 2012''; and
(iv) by striking ``April 1, 2013'' in
paragraph (2) and inserting ``April 7, 2013''; and
(B) in subsection (c)(2), by striking ``April 1,
2013'' and inserting ``April 7, 2013''.
(2) Motorboat and small-engine fuel tax transfers.--
(A) In general.--Paragraphs (3)(A)(i) and (4)(A) of
section 9503(c) of such Code are each amended by
striking ``July 1, 2012'' and inserting ``July 7,
2012''.
(B) Conforming amendments to land and water
conservation fund.--Section 201(b) of the Land and Water
Conservation Fund Act of 1965 (16 U.S.C. 460l-11(b)) is
amended--
(i) by striking ``July 1, 2013'' each place it
appears and inserting ``July 7, 2013''; and
(ii) by striking ``July 1, 2012'' and
inserting ``July 7, 2012''.
(e) Technical Correction.--Paragraph (4) of section 4482(c) of such
Code <<NOTE: 26 USC 4482.>> is amended to read as follows:
``(4) <<NOTE: Definition.>> Taxable period.--The term
`taxable period' means any year beginning before July 1, 2013,
and the period which begins on July 1, 2013, and ends at the
close of September 30, 2013.''.
(f) <<NOTE: 16 USC 460l-11 note.>> Effective Date.--
(1) In general.--Except as provided in paragraph (2), the
amendments made by this section shall take effect on July 1,
2012.
(2) Technical correction.--The amendment made by subsection
(e) shall take effect as if included in section 402 of the
Surface Transportation Extension Act of 2012.
TITLE V--STUDENT LOANS
SEC. 501. TEMPORARY AUTHORITY.
(a) <<NOTE: Deadline.>> Temporary Authority.--Notwithstanding any
other provision of law, the Secretary of Education is authorized to
delay the origination and disbursement of Federal Direct Stafford loans
made to undergraduate students under part D of the Higher Education Act
of 1965 (20 U.S.C. 1087a et seq.) until the date of enactment of the
MAP-21, except that the Secretary may only
[[Page 126 STAT. 404]]
delay the origination and disbursement of such loans until July 6, 2012.
(b) Special Rule Does Not Apply.--Subsection (a) shall not be
subject to the special rule in section 1(c) of this Act.
Approved June 29, 2012.
LEGISLATIVE HISTORY--H.R. 6064:
---------------------------------------------------------------------------
CONGRESSIONAL RECORD, Vol. 158 (2012):
June 29, considered and passed House and Senate.
<all>
Referred to the Committee on Transportation and Infrastructure, and in addition to the Committees on Ways and Means, Natural Resources, Energy and Commerce, Science, Space, and Technology, and Education and the Workforce, for a period to be subsequently determined by the Speaker, in each case for consideration of such provisions as fall within the jurisdiction of the committee concerned.
Referred to the Committee on Transportation and Infrastructure, and in addition to the Committees on Ways and Means, Natural Resources, Energy and Commerce, Science, Space, and Technology, and Education and the Workforce, for a period to be subsequently determined by the Speaker, in each case for consideration of such provisions as fall within the jurisdiction of the committee concerned.
Referred to the Subcommittee on Commerce, Manufacturing, and Trade.
Referred to the House Committee on Transportation and Infrastructure.
Mr. Shuster asked unanimous consent to discharge from committee and consider.
Committee on Transportation discharged.
Committee on Transportation discharged.
Considered by unanimous consent. (consideration: CR H4637-4641)
Passed/agreed to in House: On passage Passed without objection.(text: CR H4637-4641)
Enacted as Public Law 112-140
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On passage Passed without objection. (text: CR H4637-4641)
Motion to reconsider laid on the table Agreed to without objection.
Passed/agreed to in Senate: Received in the Senate, read twice, considered, read the third time, and passed without amendment by Unanimous Consent.(consideration: CR S4779)
Received in the Senate, read twice, considered, read the third time, and passed without amendment by Unanimous Consent. (consideration: CR S4779)
Message on Senate action sent to the House.
Presented to President.
Presented to President.
Signed by President.
Signed by President.
Became Public Law No: 112-140.
Became Public Law No: 112-140.