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Bank Holding Companies and Change in Bank Control (Regulation Y)
Law
CFR 12
Banks and Banking
Federal Reserve System
Board of Governors of the Federal Reserve System
Bank Holding Companies and Change in Bank Control (Regulation Y)
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Subject_group
Regulations
Subpart
A
General Provisions
Subpart
B
Acquisition of Bank Securities or Assets
Subpart
C
Nonbanking Activities and Acquisitions by Bank Holding Companies
Subpart
D
Control and Divestiture Proceedings
Subpart
E
Change in Bank Control
Subpart
F
Limitations on Nonbank Banks
Subpart
G
Appraisal Standards for Federally Related Transactions
Subpart
H
Notice of Addition or Change of Directors and Senior Executive Officers
Subpart
I
Financial Holding Companies
Subpart
J
Merchant Banking Investments
Subpart
K
Proprietary Trading and Relationships With Hedge Funds and Private Equity Funds
Subpart
L
Conditions to Orders
Subpart
M
Minimum Requirements for Appraisal Management Companies
Subpart
N
Computer-Security Incident Notification
Appendix
Appendix A to Part 225
Capital Adequacy Guidelines for Bank Holding Companies: Risk-Based Measure
Appendix
Appendix B to Part 225
Appendix B to Part 225 [Reserved]
Appendix
Appendix C to Part 225
Small Bank Holding Company and Savings and Loan Holding Company Policy Statement
Appendix
Appendixes D-E to Part 225
Appendixes D-E to Part 225 [Reserved]
Appendix
Appendix F to Part 225
Interagency Guidelines Establishing Information Security Standards
Appendix
Appendix G to Part 225
Appendix G to Part 225 [Reserved]