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FDIC Law, Regulations, Related Acts


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2000 - Rules and Regulations

{{8-29-03 p.2001}}

FEDERAL DEPOSIT INSURANCE CORPORATION
RULES AND REGULATIONS




TABLE OF CONTENTS


Subchapter A—Procedure and Rules of Practice

Part Page
301    [Reserved]
302    [Reserved]
303      Filing Procedures   2041
303.0      Scope    2043


Subpart A—Rules of General Applicability
Part Page
§303.1      Scope    2044
303.2      Definitions    2044
303.3      General filing procedures    2046
303.4      Computation of time    2046
303.5      Effect of Community Reinvestment Act performance on filings    2046
303.6      Investigations and examinations    2046
303.7      Public notice requirements    2047
303.8      Public access to filing    2048
303.9      Comments    2048
303.10     Hearings and other meetings    2049
303.11     Decisions    2050
303.12     Waiver    2053
303.13     [Reserved]     
303.14     Being ``engaged in the business of receiving deposits other than trust funds''    2053
303.15     Certain limited liability companies deemed incorporated under state law    2053
303.16–303.19    [Reserved]     


Subpart B—Deposit Insurance
Part Page
§303.20     Scope    2054
303.21     Filing procedures    2054
303.22     Processing    2054
303.23     Public notice requirements    2054.01
303.24     Application for deposit insurance for an interim institution    2054.01
303.25     Continuation of deposit insurance upon withdrawing from membership in the Federal Reserve System    2055
303.26–303.39    [Reserved]     


Subpart C—Establishment and Relocation of Domestic Branches and Offices
Part Page
§303.40     Scope    2055
303.41     Definitions    2055
303.42     Filing procedures    2056
303.43     Processing    2057
303.44     Public notice requirements    2057
303.45     Special provisions    2057
303.46–303.59    [Reserved]     
{{8-29-03 p.2002}}


Subpart D—Merger Transactions
Part Page
§303.60     Scope    2058
303.61     Definitions    2058
303.62     Transactions requiring prior approval    2059
303.63     Filing procedures    2059
303.64     Processing    2060
303.65     Public notice requirements    2060
303.66–303.79    [Reserved]     


Subpart E—Change in Bank Control
Part Page
§303.80     Scope    2061
303.81     Definitions    2061
303.82     Transactions requiring prior notice    2062
303.83     Transactions not requiring prior notice    2062
303.84     Filing procedures    2063
303.85     Processing    2064
303.86     Public notice requirements    2064
303.87–303.99    [Reserved]     


Subpart F—Change of Director or Senior Executive Officer
Part Page
§303.100    Scope    2064.01
303.101    Definitions    2065
303.102    Filing procedures and waiver of prior notice    2065
303.103    Processing    2066
303.104–303.119    [Reserved]     


Subpart G—Activities of Insured State Banks
Part Page
§303.120    Scope    2066
303.121    Filing procedures    2067
303.122    Processing    2067
303.123–303.139    [Reserved]     


Subpart H—Activities of Insured Savings Associations
Part Page
§303.140    Scope    2068
303.141    Filing procedures    2068
303.142    Processing    2068
303.143–303.159    [Reserved]     


Subpart I—Mutual-to-Stock Conversions
Part Page
§303.160    Scope    2068.01
303.161    Filing procedures    2068.01
303.162    Waiver from compliance    2068.02
303.163    Processing    2068.02
303.164–303.179    [Reserved]     


Subpart J—International Banking
Part Page
§303.180    Scope    2068.03
303.181    Definitions    2068.03
303.182    Establishing, moving or closing a foreign branch of a state nonmember bank; § 347.103    2068.04
{{12-31-07 p.2003}}
303.183    Investment by insured state nonmember banks in foreign organizations; § 347.108    2068.05
303.184    Moving an insured branch of a foreign bank    2068.06
303.185    Mergers transactions involving foreign banks or foreign organizations    2068.07
303.186    Exemptions from insurance requirement for a state branch of a foreign bank; § 347.206    2068.08
303.187    Approval for an insured state branch of a foreign bank to conduct activities not permissible for federal branches; § 347.213    2068.08
303.188–303.199    [Reserved]     


Subpart K—Prompt Corrective Action
Part Page
§303.200    Scope    2068.09
303.201    Filing procedures    2068.09
303.202    Processing    2068.09
303.203    Applications for capital distribution    2068.09
303.204    Applications for acquisitions, branching, and new lines of business    2068.10
303.205    Applications for bonuses and increased compensation for senior executive officers    2068.10
303.206    Application for payment of principal or interest on subordinated debt    2068.10
303.207    Restricted activities for critically undercapitalized institutions    2068.10-A
303.208–303.219    [Reserved]     


Subpart L—Section 19 of the FDI Act
(Consent to Service of Persons Convicted of Certain Criminal Offenses)

Part Page
§303.220    Scope    2068.11
303.221    Filing procedures    2068.11
303.222    Service at another insured depository institution    2068.11
303.223    Applicant's right to hearing following denial    2068.11
303.224–303.239    [Reserved]     


Subpart M—Other Filings
Part Page
§303.240    General    2068.12
303.241    Reduce or retire capital stock or capital debt instruments    2068.12
303.242    Exercise of trust powers    2068.13
303.243    Brokered deposit waivers    2068.13
303.244    Golden parachute and severance plan payments    2068.14
303.245    Waiver of liability for commonly controlled depository institutions    2068.15
303.246    Conversion with diminution of capital    2068.15
303.247    Continue or resume status as an insured institution following termination under section 8 of the FDI Act    2068.16
303.248    Truth in Lending Act—relief from reimbursement    2068.16
303.249    Management official interlocks    2068.17
303.250    Modification of conditions    2068.17
303.251    Extension of time    2068.17
303.252–303.259    [Reserved] % 
{{12-31-07 p.2004}}
304    Forms, Instructions, and Reports
§ 304.1      Purpose    2069
  304.2      Where to obtain forms and instructions    2069
  304.3      Reports    2069
305    [Reserved]
306    [Reserved]
307    Certification of assumption of deposits and notification of changes of insured status
§ 307.1      Scope and Purpose    2109
  307.2      Certification of assumption of deposits liabilities    2109
  307.3      Notice to depositors when insured status is voluntarily terminated and deposits are not assumed    2110
     Appendix A to Part 307—Transferring Institution Letterhead    2110
     Appendix B to Part 307—Institution Letterhead    2111
308    Rules of Practice and Procedure


Subpart A—Uniform Rules of Practice and Procedure
Part Page
§ 308.1      Scope    2126.01
  308.2      Rules of construction    2127
  308.3      Definitions    2128
  308.4      Authority of Board of Directors    2129
  308.5      Authority of the administrative law judge    2129
  308.6      Appearance and practice in adjudicatory proceedings    2129
  308.7      Good faith certification    2130
  308.8      Conflicts of interest    2130
  308.9      Ex parte communications    2131
  308.10     Filing of papers    2132
  308.11     Service of papers    2132
  308.12     Construction of time limits    2133
  308.13     Change of time limits    2134
  308.14     Witness fees and expenses    2134
  308.15     Opportunity for informal settlement    2134
  308.16     FDIC's right to conduct examination    2134
  308.17     Collateral attacks on adjudicatory proceeding    2134
  308.18     Commencement of proceeding and contents of notice    2135
  308.19     Answer    2135
  308.20     Amended pleadings    2136
  308.21     Failure to appear    2136
  308.22     Consolidation and severance of actions    2136
  308.23     Motions    2136
  308.24     Scope of document discovery    2137
  308.25     Request for document discovery from parties    2138
  308.26     Document subpoenas to nonparties    2139
  308.27     Deposition of witness unavailable for hearing    2140
  308.28     Interlocutory review    2141
  308.29     Summary disposition    2141
  308.30     Partial summary disposition    2142
  308.31     Scheduling and prehearing conferences    2142
  308.32     Prehearing submissions    2143
  308.33     Public hearings    2143
  308.34     Hearing subpoenas    2143
  308.35     Conduct of hearings    2144
{{12-31-07 p.2005}}
  308.36     Evidence    2144.01
  308.37     Proposed findings and conclusions    2144.02
  308.38     Recommended decision and filing of record    2144.02
  308.39     Exceptions to recommended decision    2144.03
  308.40     Review by Board of Directors    2145
  308.41     Stays pending judicial review    2145


Subpart B—General Rules of Procedure
Part Page
§ 308.101    Scope of Local Rules    2146
  308.102    Authority of Board of Directors and Executive Secretary    2146
  308.103    Appointment of administrative law judge    2146
  308.104    Filings with the Board of Directors    2147
  308.105    Custodian of the records    2147
  308.106    Written testimony in lieu of oral hearing    2147
  308.107    Document Discovery    2148


Subpart C—Rules of Practice Before the FDIC and Standards of Conduct
Part Page
§ 308.108    Sanctions    2148
  308.109    Suspension and disbarment    2149


Subpart D—Rules and Procedures Applicable to Proceedings Relating to Disapproval of Acquisition of Control
Part Page
§ 308.110    Scope    2150
  308.111    Grounds for disapproval    2150
  308.112    Notice of disapproval    2151
  308.113    Answer to notice of disapproval    2151
  308.114    Burden of proof    2151


Subpart E—Rules and Procedures Applicable to Proceedings Relating to Assessment of Civil Penalties for Willful Violations of the Change in Bank Control Act
Part Page
§ 308.115    Scope    2152
  308.116    Assessment of penalties    2152
  308.117    Effective date of, and payment under, an order to pay    2152.01
  308.118    Collection of penalties    2152.01


Subpart F—Rules and Procedures Applicable to Proceedings for Involuntary Termination of Insured Status
Part Page
§ 308.119    Scope    2153
  308.120    Grounds for termination of insurance    2153
  308.121    Notification to primary regulator    2153
  308.122    Notice of intent to terminate    2154
  308.123    Notice to depositors    2154
  308.124    Involuntary termination of insured status for failure to receive deposits    2155
  308.125    Temporary suspension of deposit insurance    2155
  308.126    Special supervisory associations    2156


Subpart G—Rules and Procedures Applicable to Proceedings Relating to Cease- and Desist-Orders
Part Page
§ 308.127    Scope    2157
  308.128    Grounds for cease-and-desist orders    2157
  308.129    Notice to state supervisory authority    2157
  308.130    Effective date of order and service on bank    2158
  308.131    Temporary cease-and-desist order    2158
{{12-31-07 p.2006}}


Subpart H—Rules and Procedures Applicable to Proceedings Relating to Assessment and Collection of Civil Money Penalties for Violation of Cease-and-Desist Orders and of Certain Federal Statutes, including Call Report Penalties
Part Page
§ 308.132    Assessment of penalties    2159
  308.133    Effective date of, and payment under, an order to pay    2160.03


Subpart I—Rules and Procedures for Imposition of Sanctions Upon Municipal Securities Dealers or Persons Associated With Them and Clearing Agencies or Transfer Agents
Part Page
§ 308.134    Scope    2160.03
  308.135    Grounds for imposition of sanctions    2160.03
  308.136    Notice to and consultation with the Securities and Exchange Commission    2161
§ 308.137    Effective date of order imposing sanctions    2161


Subpart J—Rules and Procedures Relating to Exemption Proceedings Under Section 12(h) of the Securities Exchange Act of 1934
Part Page
§ 308.138    Scope    2161
  308.139    Application for exemption    2162
  308.140    Newspaper notice    2162
  308.141    Notice of hearing    2162
  308.142    Hearing    2162
  308.143    Decision of Board of Directors    2163


Subpart K—Procedures Applicable to Investigations Pursuant to Section 10(c) of the FDIA
Part Page
§ 308.144    Scope    2163
  308.145    Conduct of investigation    2163
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  308.146    Powers of person conducting investigation    2163
  308.147    Investigations confidential    2164
  308.148    Rights of witnesses    2164
  308.149    Service of subpoena    2164
  308.150    Transcripts    2164


Subpart L—Procedures and Standards Applicable to a Notice of Change in Senior Executive Officer or Director Pursuant to Section 32 of the FDIA
Part Page
§ 308.151    Scope    2165
  308.152    Grounds for disapproval of notice    2165
  308.153    Procedures where notice of disapproval issued pursuant to § 303.14 of this chapter    2165
  308.154    Decision on review    2166
  308.155    Hearing    2166


Subpart M—Procedures and Standards Applicable to an Application Pursuant to Section 19 of the FDIA
Part Page
§ 308.156    Scope    2166.01
  308.157    Relevant considerations    2166.01
  308.158    Filing papers and effective date    2166.02
  308.159    Denial of applications    2166.02
  308.160    Hearings    2166.02


Subpart N—Rules and Procedures Applicable to Proceedings Relating to Suspension, Removal, and Prohibition Where a Felony is Charged
Part Page
§ 308.161    Scope    2166.03
  308.162    Relevant considerations    2166.04
  308.163    Notice of suspension, and orders of removal or prohibition    2166.04
  308.164    Hearings    2166.05


Subpart O—Liability of Commonly Controlled Depository Institutions
Part Page
§ 308.165    Scope    2166.06
  308.166    Grounds for assessment of liability    2166.06
  308.167    Notice of assessment of liability    2166.07
  308.168    Effective date of and payment under an order to pay    2166.07


Subpart P—Rules and Procedures Relating to the Recovery of Attorney Fees and Other Expenses
Part Page
§ 308.169    Scope    2166.07
  308.170    Filing, content, and service of documents    2166.07
  308.171    Responses to application    2166.08
  308.172    Eligibility of applicants    2166.08
  308.173    Prevailing party    2166.09
  308.174    Standards for awards    2166.10
  308.175    Measure of awards    2166.10
  308.176    Application for awards    2166.11
  308.177    Statement of net worth    2166.11
  308.178    Statement of fees and expenses    2166.12
  308.179    Settlement negotiations    2166.12
  308.180    Further proceedings    2166.12
  308.181    Recommended decision    2166.12
  308.182    Board of Directors action    2166.12-A
  308.183    Payment of awards    2166.12-A
{{2-28-03 p.2008}}


Subpart Q—Issuance and Review of Orders Pursuant to the Prompt Corrective Action Provisions of the Federal Deposit Insurance Act
Part Page
§ 308.200    Scope      2166.12-A
  308.201    Directives to take prompt corrective action    2166.12-A
  308.202    Procedures for reclassifying a bank based on criteria other than capital    2166.13
  308.203    Order to dismiss a director or senior executive officer    2166.15
  308.204    Enforcement of directives    2166.16


Subpart R—Submission and Review of Safety and Soundness Compliance Plans and Issuance of Orders to Correct Safety and Soundness Deficiencies
Part Page
§ 308.300    Scope    2166.16
  308.301    Purpose    2166.16
  308.302    Determination and notification of failure to meet a safety and soundness standard and request for compliance plan    2166.17
  308.303    Filing of safety and soundness compliance plan    2166.17
  308.304    Issuance of orders to correct deficiences and to take or refrain from taking other actions    2166.18
  308.305    Enforcement of orders    2166.19


Subpart S—Applications for a Stay or Review of Actions of Bank Clearing Agencies
Part Page
§ 308.400    Scope    2166.19
  308.401    Applications for stays of disciplinary sanctions or summary suspensions by a bank clearing agency    2166.19
  308.402    Applications for review of final disciplinary sanctions, denials of participation, or prohibitions or limitations of access to services imposed by bank clearing agencies    2166.19


Subpart T—Program Fraud Civil Remedies and Procedures
Part Page
§ 308.500    Basis, purpose, and scope    2166.20
308.501    Definitions    2166.20
308.502    Basis for civil penalties and assessments    2166.22
308.503    Investigations    2166.23
308.504    Review by the reviewing official    2166.23
308.505    Prerequisites for issuing a complaint    2166.24
308.506    Complaint    2166.24
308.507    Service of complaint    2166.25
308.508    Answer    2166.25
308.509    Default upon failure to file an answer    2166.25
308.510    Referral of complaint and answer to the ALJ    2166.26
308.511    Notice of hearing    2166.26
308.512    Parties to the hearing    2166.27
308.513    Separation of functions    2166.27
308.514    Ex parte contacts    2166.27
308.515    Disqualification of reviewing official or ALJ    2166.27
308.516    Rights of parties    2166.28
308.517    Authority of the ALJ    2166.28
308.518    Prehearing conferences    2166.28
308.519    Disclosure of documents    2166.29
308.520    Discovery    2166.29
308.521    Exchange of witness lists, statements, and exhibits    2166.30
308.522    Subpoenas for attendance at hearing    2166.31
308.523    Protective order    2166.31
308.524    Witness fees    2166.31
{{12-31-07 p.2009}}
308.525    Form, filing, and service of papers    2166.32
308.526    Computation of time    2166.32
308.527    Motions    2166.32
308.528    Sanctions    2166.33
308.529    The hearing and burden of proof    2166.33
308.530    Determining the amount of penalties and assessments    2166.34
308.531    Location of hearing    2166.34
308.532    Witnesses    2166.35
308.533    Evidence    2166.35
308.534    The record    2166.36
308.535    Post-hearing briefs    2166.36
308.536    Initial decision    2166.36
308.537    Reconsideration of initial decision    2166.37
308.538    Appeal to the Board of Directors    2166.37
308.539    Stays ordered by the Department of Justice    2166.38
308.540    Stay pending appeal    2166.38
308.541    Judicial review    2166.38
308.542    Collection of civil penalties and assessments    2166.38
308.543    Right to administrative offset    2166.39
308.544    Deposit in Treasury of United States    2166.39
308.545    Compromise or settlement    2166.39
308.546    Limitations    2166.39


Subpart U—Removal, Suspension, and Debarment of Accountants From Performing Audit Services
Part Page
§ 308.600    Scope    2166.39
308.601    Definitions    2166.40
308.602    Removal, suspension, or debarment    2166.40
308.603    Automatic removal, suspension, and debarment    2166.42
308.604    Notice of removal, suspension, or debarment    2166.43
308.605    Application for reinstatement    2166.43
309    Disclosure of Information
§ 309.1      Purpose and scope    2167
  309.2      Definitions    2167
  309.3      Federal Register publication    2168
  309.4      Publicly available records    2168
  309.5      Procedures for requesting records    2169
  309.6      Disclosure of exempt records    2175
  309.7      Service of process    2180
310    Privacy Act Regulations


Regulations
Part Page
§ 310.1      Purpose and scope    2188
  310.2      Definitions    2188
  310.3      Procedures for requests pertaining to individual records in a system of records    2188
  310.4      Times, places, and requirements for identification of individuals making requests    2189
  310.5      Disclosure of requested information to individuals    2189
  310.6      Special procedures: medical records    2190
  310.7      Request for amendment of record    2190
  310.8      Agency review of request for amendment of record    2190
{{12-31-07 p.2010}}
  310.9      Appeal of adverse initial agency determination on access or amendment    2190
  310.10     Disclosure of record to person other than the individual to whom it pertains    2191
  310.11     Fees    2192
  310.12     Penalties    2192
  310.13     Exemptions    2192


FDIC Systems of Records
Part Page
30–64–0001    Attorney and Legal Intern Applicant Records    2203
30–64–0002    Financial Institution Investigative and Enforcement Records    2205
30–64–0003    Administrative and Personnel Action Records    2207
30–64–0004    Changes in Financial Institution Control Ownership Records    2209
30–64–0005    Consumer Complaint and Inquiry Records    2211
30–64–0006    Employee Confidential Financial Disclosure Records    2214
30–64–0007    Employee Training Information Records    2216
30–64–0008    Chain Banking Organizations Identification Records    2218
30–64–0009    Safety and Security Incident Records    2221
30–64–0010    Investigative Files of the Office of the Inspector General    2222
30–64–0011    Corporate Recruiting, Evaluating, and Electronic Referral System    2226
30–64–0012    Financial Information Management Records    2226.02
30–64–0013    Insured Financial Institution Liquidation Records    2226.05
30–64–0014    Personnel Benefits and Enrollment Records    2226.08
30–64–0015    Personnel Records    2226.10
30–64–0016    Professional Qualification Records for Municipal Securities Dealers, Municipal Securities Representatives and U.S. Government Securities Brokers/Dealers    2226.13
30–64–0017    Employee Medical and Health Assessment Records    2226.16
30–64–0018    Grievance Records    2226.18
30–64–0019    Potential Bidders List    2226.20
30–64–0020    Telephone Call Detail Records    2226.22
30–64–0021    Fitness Center Records    2226.24
30–64–0022    Freedom of Information Act and Privacy Act Request Records    2226.26
30–64–0023    Affordable Housing Program Records    2226.29
30–64–0024    Unclaimed Deposits Account Records    2226.31
30–64–0025    Beneficial Ownership Filings (Securities Exchange Act)    2226.33
30–64–0026    Transit Subsidy Program Records    2226.35
30–64–0027    Parking Program Records    2226.37
30–64–0028    Office of the Chairman Correspondence Records    2226.39
30–64–0029    Congressional Correspondence Records    2226.41
30–64–0030    Legislative Information Tracking System Records    2226.43.
{{12-31-07 p.2011}}


Appendix A
Part Page
Federal Deposit Insurance Corporation Regional Offices    2226.30
311    Rules Governing Public Observation of Meetings of the Corporation's Board of Directors
§ 311.1      Purpose    2227
  311.2      Definitions    2227
  311.3      Meetings    2227
  311.4      Procedure for announcing meetings    2229
  311.5      Regular procedure for closing meetings    2229
  311.6      Expedited procedure for announcing and closing certain meetings    2230
  311.7      General Counsel Certification    2231
  311.8      Transcript, minutes of closed meetings    2231
313    Procedures for Corporate Debt Collection    2237


Subpart A—Scope, Purpose, Definitions and Delegations of Authority
Part Page
§ 313.1      Scope    2238
313.2      Purpose    2238.01
313.3      Definitions    2238.01
313.4      Delegations of authority    2238.03
    313.5–313.19      [Reserved]


Subpart B—Administrative Offset
Part Page
§ 313.20     Applicability and scope    2238.03
313.21     Definitions    2238.04
313.22     Collection    2238.04
§ 313.23     Offset prior to completion of procedures    2238.04
313.24     Omission of procedures    2238.04
313.25     Debtor's rights    2238.05
313.26     Interest    2238.05
313.27     Refunds    2238.05
313.28     No requirement for duplicate notice    2238.05
313.29     Requests for offset to other federal agencies    2238.05
313.30     Requests for offset from other federal agencies    2238.06
    313.31–313.39       [Reserved]


Subpart C—Salary Offset
Part Page
§ 313.40     Scope    2238.06
313.41     Notice requirement where FDIC is creditor agency    2238.06
313.42     Procedures to request a hearing    2238.08
313.43     Failure to timely submit request for hearing    2238.08
313.44     Procedure for hearing    2238.08
313.45     Certification of debt by FDIC as creditor agency    2238.09
313.46     Notice of salary offset where FDIC is the paying agency    2238.10
313.47     Voluntary repayment agreements as alternative to salary offset where the FDIC is the creditor agency    2238.10
313.48     Special review of repayment agreement or salary offset due to changed circumstances    2238.10
313.49     Coordinating salary offset with other agencies    2238.11
313.50     Interest, penalties, and administrative costs    2238.12
313.51     Refunds    2238.12
{{12-31-07 p.2012}}
313.52     Request from a creditor agency for services of a hearing official    2238.12
313.53     Non-waiver of rights by payments    2238.12
313.54     Exception to due process procedures    2238.12
313.55     Salary adjustments    2238.13
      313.56–313.79       [Reserved]


Subpart D—Administrative Wage Garnishment
Part Page
§ 313.80     Scope and purpose    2238.13
313.81     Notice    2238.13
313.82     Debtor's rights    2238.14
313.83     Form of hearing    2238.14
313.84     Effect of timely request    2238.14
313.85     Failure to timely request a hearing    2238.14
313.86     Hearing official    2238.14
313.87     Procedure    2238.15
313.88     Format of hearing    2238.15
313.89     Date of decision    2238.15
313.90     Content of decision    2238.15
313.91     Finality of agency action    2238.15
313.92     Failure to appear    2238.15
313.93     Wage garnishment order    2238.16
313.94     Certification by employer    2238.16
313.95     Amounts withheld    2238.16
313.96     Exclusions from garnishment    2238.17
313.97     Financial hardship    2238.17
313.98     Ending garnishment    2238.17
313.99     Prohibited actions by employer    2238.17
313.100    Refunds    2238.18
{{12-31-08 p.2013}}
§ 313.101    Right of action    2238.18
    313.102–313.119       [Reserved]


Subpart E—Tax Refund Offset
Part Page
§ 313.120    Scope    2238.18
313.121    Definitions    2238.18
313.122    Notification of debt to FMS    2238.19
313.123    Certification and referral of debt    2238.19
313.124    Pre-offset notice and consideration of evidence    2238.19
313.125    No requirement for duplicate notice    2238.19
313.126    Referral of past-due, legally enforceable debt    2238.20
313.127    Correcting and updating referral    2238.20
313.128    Disposition of amount collected    2238.20
    313.129–313.139       [Reserved]


Subpart F—Civil Service Retirement and Disability Fund Offset
Part Page
§ 313.140    Future benefits    2238.20
313.141    Notification to OPM    2238.20
313.142    Request for administrative offset    2238.20-A
313.143    Cancellation of deduction    2238.21
     313.144–313.159       [Reserved]


Subpart G—Mandatory Centralized Administrative Offset
Part Page
§ 313.160    Treasury notification    2238.21
313.161    Certification of debt    2238.21
313.162    Compliance with 31 CFR part 285    2238.21
313.163    Notification of debts of 180 days or less    2238.21
    313.164–313.180       [Reserved]


Subchapter B—Regulations and Statements of General Policy
Part Page
323    Appraisals
§ 323.1      Authority, purpose, and scope    2239
  323.2      Definitions    2239
  323.3      Appraisal required; transactions requiring a state certified or licensed appraiser    2240.01
  323.4      Minimum appraisal standards    2240.02
  323.5      Appraiser independence    2240.02
  323.6      Professional association membership; competency    2240.03
  323.7      Enforcement    2240.03
324    [Reserved]
325    Capital Maintenance


Subpart A—Minimum Capital Requirements
Part Page
§ 325.1      Scope    2241
  325.2      Definitions    2241
  325.3      Minimum leverage capital requirement    2245
  325.4      Inadequate capital as an unsafe or unsound practice or condition    2246
  325.5      Miscellaneous    2247
  325.6      Issuance of directives    2249


Subpart B—Prompt Corrective Action
                  
Part Page
325.101    Authority, purpose, scope, other supervisory authority, and disclosure of capital categories    2250
  325.102    Notice of capital category    2251
  325.103    Capital measures and capital category definitions    2251
  325.104    Capital restoration plans    2253
  325.105    Mandatory and discretionary supervisory actions under section 38    2254
{{12-31-08 p.2014}}
Appendix A to Part 325—Statement of Policy on Risk-Based Capital   2256
Appendix B to Part 325—Statement of Policy on Capital Adequacy   2262.07
Appendix C to Part 325—Risk-Based Capital For State Non-Member Banks;  Market Risk   2262.13
Appendix D to Part 325—Capital Adequacy Guidelines for Banks:  Internal-Ratings-Based and Advanced Measurement Approaches   2262.20
326    Minimum Security Devices and Procedures and Bank Secrecy Act Compliance


Subpart A—Minimum Security Procedures
Part Page
§ 326.0      Authority, purpose, and scope    2263
  326.1      Definitions    2263
  326.2      Designation of security officer    2264
  326.3      Security program    2264
  326.4      Reports    2265


Subpart B—Procedures for Monitoring Bank Secrecy Act Compliance
Part Page
  § 326.8      Bank Secrecy Act compliance    2265
327    Assessments


Subpart A—In General
                
Part Page
§ 327.1      Purpose and scope    2281
  327.2      Certified statements    2282
  327.3      Payment of assessments    2283
  327.4      Assessment rates    2285
  327.5      Assessment base    2286
  327.6      Terminating transfers; other terminations of insurance    2287
  327.7      Payment of interest on assessment underpayments and overpayments    2289
  327.8      Definitions    2289
  327.9      Assessment risk categories and pricing methods    2291
  327.10     Assessment rate schedule    2296.01
Appendix A to Part 327—Method to Derive Pricing Multipliers and  Uniform Amount   2296.02
Appendix B to Part 327—Numerical Conversion of Long-Term Debt  Issuer Rating   2296.02-D
Appendix C to Part 327—Additional Risk Consideration for Large Risk  Category I Institutions   2296.02-E


Subpart B—Insured Depository Institutions Participating in Section 5(d)(3) Transactions
Part Page
§ 327.30     Purpose and Scope      2296.02-F
  327.31     Definitions    2296.02-F
  327.32     Determination of aggregate credit amount    2296.02-G
  327.33     Determination of eligible institution's credit amount    2296.02-G
  327.34     Transferability of credits    2296.02-G
  327.35     Application of credits    2296.03
  327.36     Request for review of credit amount    2296.03


Subpart C—Implementation of Dividend Requirements
Part Page
§ 327.50     Purpose and Scope      2296.04-A
  327.51     Definitions    2296.04-A
  327.52     Annual dividend determination    2296.04-A
  327.53     Allocation and payment of dividends    2296.04-B
  327.54     Requests for review    2296.04-B
328    Advertisement of Membership
§ 328.0      Scope    2297
  328.1      Official sign    2297
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  § 328.2      Display and procurement of official sign    2298
  328.3      Official advertising statement requirements    2298
  328.4      Prohibition against receiving deposits at same teller station or window as noninsured institution    2300
329    Interest on Deposits
§ 329.0      Scope    2311
  329.1      Definitions    2311
  329.2      Payment of interest    2312
  329.3      Exception to prohibition on payment of interest    2312
  329.101    Transfers not included within the six transfers allowed for nondemand deposits pursuant to § 329.1(b)(3)    2312
  329.102    Deposits described in § 329.1(b)(3)    2312.01
  329.103    Premiums    2313
  329.104    Ten-day grace period    2313
330    Deposit Insurance Coverage
§ 330.1      Definitions    2351
330.2      Authority and purpose    2352
330.3      General principles    2352
330.4      Continuation of separate deposit insurance after merger of insured depository institutions    2354
330.5      Recognition of deposit ownership and recordkeeping requirements    2354
330.6      Single ownership accounts    2356
330.7      Accounts held by an agent, nominee, guardian, custodian or conservator    2357
330.8      Annuity contract accounts    2357
330.9      Joint ownership accounts    2358
330.10     Revocable trust accounts    2359
330.11     Accounts of a corporation, partnership or unincorporated association    2361
330.12     Accounts held by a depository institution as the trustee of an irrevocable trust    2362
330.13     Irrevocable trust accounts    2362
330.14     Retirement and other employee benefit plan accounts    2363
330.15     Public unit accounts    2364


Part Page
331    [Reserved]
332    Privacy of Consumer Financial Information
§ 332.1     Purpose and scope    2389
332.2     Rule of construction    2390
332.3     Definitions    2390


Subpart A—Privacy and Opt Out Notices
Part Page
332.4     Initial privacy notice to consumers required    2394
332.5     Annual privacy notice to customers required    2395
332.6     Information to be included in privacy notices    2396
332.7     Form of opt out notice to consumers; opt out methods    2398
332.8     Revised privacy notices    2400
332.9     Delivering privacy and opt out notices    2400


Subpart B—Limits on Disclosures
Part Page
332.10    Limitation on disclosure of nonpublic personal information to nonaffiliated third parties    2401
332.11    Limits on redisclosure and reuse of information    2402
332.12    Limits on sharing account number information for marketing purposes    2403
{{12-31-07 p.2016}}


Subpart C—Exceptions
Part Page
§ 332.13    Exception to opt out requirements for service providers and joint marketing    2403
332.14    Exceptions to notice and opt out requirements for processing and servicing transactions    2404
332.15    Other exceptions to notice and opt out requirements    2404.01


Subpart D—Relation to Other Laws; Effective Date
    
Part Page
332.16    Protection of Fair Credit Reporting Act    2404.02
332.17    Relation to state laws    2404.02
332.18    Effective date; transaction rule    2404.02
Appendix A to Part 332—Sample Clauses   2404.02
333    Extension of Corporate Powers


Regulations
Part Page
§ 333.1      Classification of general character of business    2405
333.2      Change in general character of business    2405
333.3      [Reserved]
333.4      Conversions from mutual to stock form    2405


Interpretations
Part Page
333.101    Prior consent not required    2407
334    Fair Credit Reporting


Subpart A—General Provisions
Part Page
§ 334.1      Purpose and Scope    2409
334.2      Examples    2410
334.3      Definitions    2410


Subpart B—[Reserved]


Subpart C—Affiliate Marketing
Part Page
§ 334.20     Coverage and definitions    2411
334.21     Affiliate marketing opt-out notice; consolidated and equivalent notices    2413
334.22     Scope and duration of opt-out    2414.04
334.23     Contents of opt-out notices; consolidated and equivalent notices    2414.06
334.24     Reasonable opportunity to opt-out    2414.07
334.25     Reasonable and simple methods of opting out    2414.08
334.26     Delivery of opt-out notices    2414.08
334.27     Renewal of opt-out    2414.09
334.28     Effective date, compliance date, and prospective application    2414.10


Subpart D—Medical Information
Part Page
§ 334.30     Obtaining or using medical information in connection with a determination of eligibility for credit    2410.10
334.31     Limits on redisclosure of information    2414.15
334.32     Sharing medical information with affiliates    2414.15


Subpart E–H—[Reserved]


Subpart I—Duties of Users of Consumer Reports Regarding Identity Theft
Part Page
   § 334.80–334.81     [Reserved]     
Part Page
334.82      Duties of users regarding address discrepencies    2414.16
334.83      Disposal of consumer information    2414.17
{{12-31-07 p.2016.01}}


Subpart J—Identity Theft Red Flags
Part Page
§ 334.90     Duties regarding the detection, prevention, and mitigation of identity theft     2414.17
334.91     Duties of card issuers regarding changes of address    2414.19
     Appendix A—B [Reserved]     
     Appendix C to Part 334—Model Forms for Opt-Out Notices    2414.19
     Appendix D—I [Reserved]     
     Appendix J to Part 334—Interagency Guidelines on Identity Theft Detection, Prevention, and Mitigation    2414.19
335    Securities of Nonmember Insured Banks
§ 335.101    Scope of part, authority and OMB control number    2415
335.111    Forms and schedules    2416
335.121    Listing standards related to audit committees    2416
335.201    Securities exempted from registration    2416
335.211    Registration and reporting    2416
335.221    Forms for registration of securities; optional forms for small business issuers; and incorporation of Regulation FD (Fair Disclosure)    2416
335.231    Certification, suspension of trading, and removal from listing by exchanges    2417
335.241    Unlisted trading    2417
335.251    Forms for notification of action taken by national securities exchanges    2417
335.261    Exemptions; terminations; and definitions    2417
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335.301    Reports of issuers of securities registered pursuant to section 12    2417
335.311    Forms for annual, quarterly, current, and other reports of issuers    2418
335.321    Maintenance of records and issuer's representations in connection with required reports    2418
335.331    Acquisition statement, acquisitions of securities by issuers, and other matters    2418
335.401    Solicitations of proxies    2418
335.501    Tender offers    2418
335.601    Requirements of section 16 of the Securities Exchange Act of 1934    2418
335.611    Initial statement of beneficial ownership of securities (Form F–7)    2419
335.612    Statement of changes in beneficial ownership of securities (Form F–8)    2419
335.613    Annual statement of beneficial ownership of securities (Form F–8A)    2419
335.701    Filing requirements, public reference, and confidentiality    2419
§ 335.801    Inapplicable SEC regulations; FDIC substituted regulations; additional information    2421
335.901    Delegation of authority to act on matters with respect to disclosure laws and regulations    2424
336    FDIC Employees


Subpart A—Employee Responsibilities and Conduct
Part Page
§ 336.1    Cross-reference to employee ethical conduct standards and financial disclosure regulations    2607


Subpart B—Minimum Standards of Fitness for Employment With the Federal Deposit Insurance Corporation
Part Page
  336.2    Authority, purpose and scope    2607
  336.3    Definitions    2608
  336.4    Minimum standards for appointment to a position with the FDIC    2609
  336.5    Minimum standards for employment with the FDIC    2609
  336.6    Verification of compliance    2610
  336.7    Employee responsibility, counseling and distribution of regulation    2610
  336.8    Sanctions and remedial actions    2610
  336.9    Finality of determination    2611


Subpart C—One-Year Restriction on Post-Employment Activities of Senior Examiners
Part Page
  336.10    Purpose and scope    2611
  336.11    Definitions    2611
  336.12    One-year post-employment restriction    2611
  336.13    Penalties    2612
337    Unsafe and Unsound Banking Practices
§ 337.1    Scope    2637
  337.2    Standby letters of credit    2637
  337.3    Limits on extensions of credit to executive officers, directors, and principal shareholders of insured nonmember banks    2638
337.4    [Reserved]
  337.5    Exemption    2639
  337.6    Brokered deposits    2639
  337.7-337.9    [Reserved]
  337.10    Waiver    2642
  337.11    Effect on other banking practices    2642
  337.12    Frequency of examination    2643
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338    Fair Housing


Subpart A—Advertising
Part Page
§ 338.1    Purpose    2647
  338.2    Definitions applicable to subpart A of this part    2647
  338.3    Nondiscriminatory advertising    2648
  338.4    Fair housing poster    2648


Subpart B—Recordkeeping
Part Page
  338.5     Purpose    2650
  338.6     Definitions applicable to this subpart B    2650
  338.7     Recordkeeping requirements    2650
  338.8     Compilation of loan data in register format    2651
  338.9     Mortgage lending of a controlled entity    2651
339    Loans in Areas Having Special Flood Hazards
§ 339.1     Authority, purpose, and scope    2663
  339.2     Definitions    2663
  339.3     Requirement to purchase flood insurance where available    2664
  339.4     Exemptions    2664
339.5     Escrow requirement    2664
  339.6     Required use of standard flood hazard determination form    2664.01
  339.7     Forced placement of flood insurance    2264.01
  339.8     Determination fees    2264.01
  339.9     Notice of special flood hazards and availability of federal disaster relief assistance    2664.02
  339.10    Notice of servicer's identity    2664.02
Appendix A to Part 339—Sample Form of Notice of Special Flood Hazards and Availability of Federal Disaster Relief Assistance    2664.03
340    Restrictions on Sale of Assets by the Federal Deposit Insurance Corporation
§ 340.1     What is the statutory authority for the regulation, what are its purpose and scope, and can the FDIC have other policies on related topics?    2679
  340.2     Definitions    2679
  340.3     What are the restrictions on the sale of assets by the FDIC if the buyer wants to finance the purchase with a loan from the FDIC?    2680
  340.4     What are the restrictions on the sale of assets by the FDIC regardless of the method of financing?    2680
  340.5     Can the FDIC deny a loan to a buyer who is not qualified from purchasing assets using seller-financing under this regulation?    2681
  340.6     What is the effect of this part on transactions that were entered into before its effective date?    2681
  340.7     When is a certification required, and who does not have to provide a certification?    2681
  340.8     Does this part apply in the case of a workout, resolution, or settlement of obligations?    2682
341    Registration of Securities Transfer Agents
§ 341.1     Scope    2705
  341.2     Definitions    2705
  341.3     Registration as securities transfer agent    2706
  341.4     Amendments to registration    2706
  341.5     Withdrawal from registration    2706
  341.6     Reports    2707
  341.7     Delegation of authority    2707
342    [Reserved]
343    Consumer Protection in Sales of Insurance
§ 343.10    Purpose and scope    2735
§ 343.20    Definitions    2735
§ 343.30    Prohibited practices    2736
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§ 343.40    What you must disclose    2737
§ 343.50    Where insurance activities may take place    2738
§ 343.60    Qualification and licensing requirements for insurance sales personnel    2739
Appendix A to Part 343—Consumer Grievance Process    2739
344    Recordkeeping and Confirmation Requirements for Securities Transactions
§ 344.1     Purpose and scope    2755
  344.2     Exceptions    2755
  344.3     Definitions    2756
  344.4     Recordkeeping    2758
  344.5     Content and time of notification    2758
  344.6     Notification by agreement; alternative forms and times of notification    2760
  344.7     Settlement of securities transactions    2761
  344.8     Securities trading policies and procedures    2762
  344.9     Personal securities trading reporting by bank officers and employees    2762
  344.10    Waivers    2762
345    Community Reinvestment


Subpart A—General
Part Page
§ 345.11    Authority, purposes, and scope    2781
  345.12    Definitions    2782


Subpart B—Standards for Assessing Performance
Part Page
  345.21    Performance tests, standards, and ratings, in general    2786.02
    345.22    Lending test    2786.03
    345.23    Investment test    2786.05
    345.24    Service text    2786.05
    345.25    Community development test for wholesale or limited purpose banks    2786.06
    345.26    Small bank performance standards    2786.07
  345.27    Strategic plan    2786.07
  345.28    Assigned ratings    2786.09
  345.29    Effect of CRA performance on applications    2786.09


Subpart C—Records, Reporting, and Disclosure Requirements
Part Page
  345.41    Assessment area delineation    2786.10
  345.42    Data collection, reporting, and disclosure    2786.10-A
  345.43    Content and availability of public file    2786.13
  345.44    Public notice by banks    2786.14
  345.45    Publication of planned examination schedule    2786.14
     Appendix A to Part 345—Ratings    2786.15
     Appendix B to Part 345—CRA Notice    2787
     Interagency questions and answers regarding Community Reinvestment    2788
346—Disclosure and Reporting of CRA-Related Agreements
§ 346.1      Purpose and scope of this part    2835
346.2      Definition of covered agreement    2835
346.3      CRA communications    2837
346.4      Fulfillment of the CRA    2840
346.5      Related agreements considered a single agreement    2840
346.6      Disclosure of covered agreements    2841
346.7      Annual reports    2842
346.8      Release of information under FOIA    2844.01
346.9      Compliance provisions    2844.01
346.10     Transition provisions    2844.02
346.11     Other definitions and rules of construction used in this part    2844.02
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347    International Banking


Subpart A—Foreign Branching and Investment by Insured State Nonmember Banks
Part Page
§ 347.101    Purpose, authority, and scope    2846
  347.102    Definitions    2846
  347.103    Effect of state law on actions taken under this subpart    2847
  347.104    Insured state nonmember bank investments in foreign organizations    2847
  347.105    Permissible financial activities outside the United States    2848
  347.106    Going concerns    2849
  347.107    Joint ventures    2849
  347.108    Portfolio investments    2849
  347.109    Limitations on indirect investments in nonfinancial foreign organizations    2849
  347.110    Affiliate holdings    2850
  347.111    Underwriting and dealing limits applicable to foreign organizations held by insured state nonmember banks    2850
  347.112    Restrictions applicable to foreign organizations that act as futures commission merchants    2851
  347.113    Restrictions applicable to activities by a foreign organization in the United States    2851
  347.114    Extensions of credit to foreign organizations held by insured state nonmember banks; shares of foreign organizations held in connection with debts previously contracted    2852
  347.115    Permissible activities for a foreign branch of an insured state nonmember bank    2852
  347.116    Recordkeeping and supervision of the foreign activities of insured state nonmember banks    2853
  347.117    General consent    2854
  347.118    Expedited processing    2855
  347.119    Specific consent    2855
  347.120    Computation of investment amounts    2856
  347.121    Requirements for insured state nonmember bank to close a foreign branch    2856
  347.122    Limitations applicable to the authority provided in this subpart    2856


Subpart B—Foreign Banks
Part Page
  347.201    Scope    2856
  347.202    Definitions    2856
  347.203    Deposit insurance required for all branches of foreign banks engaged in domestic retail deposit activity in the same State    2858
  347.204    Commitment to be examined and provide information    2858
347.205    Record maintenance    2859
  347.206    Domestic retail deposit activity requiring deposit insurance by U.S. branch of a foreign bank    2859
  347.207    Disclosure of supervisory information to foreign supervisors    2859
  347.208    Assessment base deductions by insured branch    2859
  347.209    Pledge of assets    2860
  347.210    Asset maintenance    2864
  347.211    Examination of branches of foreign banks    2864.01
  347.212    FDIC approval to conduct activities that are not permissible for federal branches    2864.01
  347.213    Establishment or operation of noninsured foreign branch    2864.02
  347.214    Branch established under section 5 of the International Banking Act    2864.02
  347.215    Exemptions from deposit insurance requirement    2864.03
  347.216    Depositor notification    2864.04
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Subpart C—International Lending
Part Page
§ 347.301    Purpose, authority, and scope    2864.04
  347.302    Definitions    2864.04
  347.303    Allocated transfer risk reserve    2864.05
  347.304    Accounting for fees on international loans    2864.06
  347.305    Reporting and disclosure of international assets    2864.06
348    Management Official Interlocks
§ 348.1      Authority, purpose, and scope    2865
  348.2      Definitions    2865
  348.3      Prohibitions    2867
  348.4      Interlocking relationships permitted by statute    2867
  348.5      Small market share exemption    2868
  348.6      General exemption    2869
  348.7      Change in circumstances    2869
  348.8      Enforcement    2870
349    [Reserved]
350    Disclosure of Financial and Other Information by FDIC-Insured State Nonmember Banks
§ 350.1      Scope    2905
  350.2      Definitions    2905
  350.3      Requirement for annual disclosure statement    2905
  350.4      Contents of annual disclosure statement    2905
350.5      Alternative annual disclosure statements    2906
  350.6      Signature and attestation    2907
  350.7      Notice and availability    2907
  350.8      Delivery    2907
  350.9      Disclosure of examination reports    2907
  350.10     Prohibited conduct and penalties    2907
  350.11     Safe harbor provision    2908
  350.12     Disclosure required by applicable banking or securities law or regulations    2908
351    [Reserved]
352    Nondiscrimination on the Basis of Disability
§ 352.1      Purpose    2945
  352.2      Application    2945
  352.3      Definitions    2946
  352.4      Nondiscrimination in any program or activity conducted by the FDIC    2946
  352.5      Accessibility to electronic and information technology    2947
352.6      Employment    2947
  352.7      Accessibility of programs and activities: Exisitng facilities    2947
  352.8      Program accessibility: New construction and alterations    2947
  352.9      Communications    2947
  352.10     Compliance procedures    2948
  352.11     Notice    2949
353    Suspicious Activity Reports
§ 353.1      Purpose and scope    2965
  353.2      Definitions    2965
  353.3      Reports and records    2965
357    Determination of Economically Depressed Regions
§ 357.1      Economically depressed regions    3077
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359    Golden Parachute and Indemnification Payments
§ 359.0      Scope    3079
  359.1      Definitions    3080
  359.2      Golden parachute payments prohibited    3082.01
  359.3      Prohibited indemnification payments    3082.02
  359.4      Permissible golden parachute payments    3082.02
  359.5      Permissible indemnification payments    3082.03
  359.6      Filing instructions    3082.04
  359.7      Applicability in the event of receivership    3082.04
360    Resolution and Receivership Rules
§ 360.1      Least-cost resolution    3083
  360.2      Federal Home Loan banks as secured creditors    3083
  360.3      Priorities    3084
  360.4      Administrative expenses    3086
  360.5      Definition of qualified financial contracts    3086
  360.6      Treatment by the Federal Deposit Insurance Corporation as conservator or receiver of financial assets transferred in connection wth a securitization or participation    3087
  360.7      Post-insolvency interest    3088
  360.8      Method for determining deposit and other liability account balances at a failed insured depository institution    3088.01
  360.9      Large-bank deposit insurance determination modernization    3088.02
Appendix A to Part 360—Non-Money Transaction File Structure    3088.05
Appendix B to Part 360—Debit/Credit File Structure    3088.06
Appendix C to Part 360—Deposit File Structure    3088.07
Appendix D to Part 360—Sweep/Automated Credit Account File Structure    3088.16
Appendix E to Part 360—Hold File Structure    3088.19
Appendix F to Part 360—Customer File Structure    3088.21
Appendix G to Part 360—Deposit-Customer Join File Structure    3088.24
Appendix H to Part 360—Possible File Combinations for Deposit Data    3088.27
361    Minority and Women Outreach Program—Contracting
§ 361.1      Why do minority- and women-owned businesses need this outreach regulation?    3089
  361.2      Why does the FDIC have this outreach program?    3089
  361.3      Who may participate in this outreach program?    3089
  361.4      What contracts are eligible for this outreach program?    3089
  361.5      What are the FDIC's oversight and monitoring responsibilities in administering this program?    3089
  361.6      What outreach efforts are included in this program?    3090
362    Activities of Insured State Banks and Insured Savings Associations


Subpart A—Activities of Insured State Banks
Part Page
§ 362.1      Purpose and scope    3117
362.2      Definitions    3118
  362.3      Activities of insured state banks    3120
  362.4      Subsidiaries of insured state banks    3123
  362.5      Approvals previously granted    3124.05


Subpart B—Safety and Soundness Rules Governing Insured State Nonmember Banks
Part Page
§ 362.6      Purpose and scope    3124.06
362.7      Definitions    3124.06
  362.8      Restrictions on activities of insured state nonmember banks affiliated with certain securities companies    3124.06


Subpart C—Activities of Insured State Savings Associations
Part Page
§ 362.9       Purpose and scope    3124.07
  362.10      Definitions    3124.07
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  362.11      Activities of insured state savings associations    3124.08
  362.12      Service corporations of insured state savings associations    3124.09
  362.13      Approvals previously granted    3124.10


Subpart D—Acquiring, Establishing, or Conducting New Activities Through a Subsidiary by an Insured Savings Association
Part Page
§ 362.14      Purpose and scope    3124.11
  362.15      Acquiring or establishing a subsidiary; conducting new activities through a subsidiary    3124.11


Subpart E—Financial Subsidiaries of Insured State Nonmember Banks
Part Page
§ 362.16      Purpose and Scope     3124.11
  362.17      Definitions    3124.11
  362.18      Financial subsidiaries of insured state nonmember banks    3124.12
 Preamble to Part 362 (November 5, 1998)    3124.14
 Preamble to Part 362 (October 27, 1992)    3125
363    Annual Independent Audits and Reporting Requirements
§ 363.0      OMB control number    3161
  363.1      Scope    3161
  363.2      Annual reporting requirements    3161
  363.3      Independent public accountant    3162
  363.4      Filing and notice requirements    3162
  363.5      Audit committees    3162.01
Appendix A to Part 363—Guidelines and Interpretations    3162.01
Preamble to Part 363 (June 2, 1993)    3162.10
364    Standards for Safety and Soundness
§ 364.100    Purpose    3165
  364.101    Standards for safety and soundness    3165
Appendix A to Part 364—Interagency guidelines establishing standards for safety and soundness    3165
Appendix B to Part 364—Interagency guidelines establishing information security standards    3169
Supplement A to Appendix B to Part 364—Interagency Guidance on Response Programs for Unauthorized Access to Customer Information and Customer Notice    3172
365    Real Estate Lending Standards
§ 365.1      Purpose and scope    3173
  365.2      Real estate lending standards    3173
Appendix A to Part 365—Interagency Guidelines for Real Estate Lending Policies    3179
366    Minimum Standards of Integrity and Fitness for an FDIC Contractor
§ 366.0      Definitions    3193
  366.1      What is the purpose of this part?    3193
  366.2      What is the scope of this part?    3193
  366.3      Who cannot perform contractual services for the FDIC?    3194
  366.4      When is there a pattern or practice of defalcation?    3194
  366.5      What causes a substantial loss to a federal deposit insurance fund?    3194
  366.6      How is my ownership or control determined?    3195
  366.7      Will the FDIC waive the prohibitions under §366.3?    3195
  366.8      Who can grant a waiver of a prohibition or conflict of interest?    3195
  366.9      What other requirements could prevent me from performing contractual services for the FDIC?    3195
  366.10     When would I have a conflict of interest?    3195
  366.11     Will the FDIC waive a conflict of interest?    3196
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  366.12     What are the FDIC's minimum standards of ethical responsibility?    3196
  366.13     What is my obligation regarding confidential information?    3197
  366.14     What information must I provide the FDIC?    3197
  366.15     What advice or determinations will the FDIC provide me on the applicability of this part?    3197
  366.16     When may I seek a reconsideration or review of an FDIC determination?    3197
  366.17     What are the possible consequences for violating this part?    3198
367    Suspension and Exclusion of Contractor and Termination of Contracts
§ 367.1      Authority, purpose, scope and application    3205
  367.2      Definitions    3206
  367.3      Appropriate Officials    3207
  367.4      [Reserved]    3208
  367.5      Exclusions    3208
  367.6      Causes for exclusion    3208
  367.7      Suspensions    3209
  367.8      Causes for suspension    3210
  367.9      Imputation of causes    3210
    367.10— 367.11    [Reserved]    3210
  367.12     Procedures    3210
  367.13     Notices    3211
  367.14     Responses    3211
  367.15     Additional proceedings as to disputed material facts    3212
  367.16     Ethics Counselor decisions    3212
  367.17     Duration of suspensions and exclusions    3213
  367.18     Abrogation of contracts    3213
  367.19     Exceptions to suspensions and exclusions    3213
  367.20     Review and reconsideration of Ethics Counselor decisions    3214
368    Government Securities Sales Practices
§ 368.1      Scope    3223
  368.2      Definitions    3223
  368.3      Business conduct    3223
  368.4      Recommendations to customers    3223
  368.5      Customer information    3224
  368.100    Obligations concerning institutional customers    3224
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369    Prohibition Against Use of Interstate Branches Primarily for Deposit Production
§ 369.1     Purpose and scope    3235
  369.2     Definitions    3235
  369.3     Loan-to-deposit ratio screen    3236
  369.4     Credit needs determination    3236
  369.5     Sanctions    3237
370    Temporary Liquidity Guarantee Program
§ 370.1     Scope    3239
  370.2     Definitions    3239
  370.3     Debt Guarantee program    3241
  370.4     Transaction account guarantee program    3242
  370.5     Participation    3242
  370.6     Assessments under the debt guarantee program    3244
  370.7     Assessment for the transaction account guarantee program    3245
  370.8     Systemic risk emergency special assessment to recover loss    3245
  370.9     Recordkeeping requirements    3246
  370.10    Oversight    3246
  370.11    Enforcement mechanisms    3246
  370.12    Payment of claims    3246
371    Recordkeeping Requirements for Qualified Financial Contracts
§ 371.1     Scope, purpose, and applicability    3249
  371.2     Definitions    3249
  371.3     Form, availability and maintenance    3249
  371.4     Content of records    3250
  371.5     Enforcement actions    3250
Appendix A to Part 371—File Structure for Qualified Financial Contract (QFC) Record    3250


[The page following this is 2041.]





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