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Savings and Loan Holding Companies (Regulation LL)
Law
CFR 12
Banks and Banking
Federal Reserve System
Board of Governors of the Federal Reserve System
Savings and Loan Holding Companies (Regulation LL)
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Subpart
A
General Provisions
Subpart
B
Acquisitions of Saving Association Securities or Assets
Subpart
C
Control Proceedings
Subpart
D
Change in Bank Control
Subpart
E
Qualified Stock Issuances
Subpart
F
Savings and Loan Holding Company Activities and Acquisitions
Subpart
G
Financial Holding Company Activities
Subpart
H
Notice of Change of Director or Senior Executive Officer
Subpart
I
Prohibited Service at Savings and Loan Holding Companies
Subpart
J
Management Official Interlocks
Subpart
K
Dividends by Subsidiary Savings Associations
Subpart
L
Investigative Proceedings and Formal Examination Proceedings
Subpart
M
Risk Committee Requirement for Covered Savings and Loan Holding Companies With Total Consolidated Assets of $50 Billion or More and Less Than $100 Billion
Subpart
N
Risk Committee, Liquidity Risk Management, and Liquidity Buffer Requirements for Covered Savings and Loan Holding Companies With Total Consolidated Assets of $100 Billion or More
Subpart
O
Supervisory Stress Test Requirements for Covered Savings and Loan Holding Companies
Subpart
P
Company-Run Stress Test Requirements for Savings and Loan Holding Companies
Subpart
Q
Single Counterparty Credit Limits for Covered Savings and Loan Holding Companies
Subpart
R
Company-Run Stress Test Requirements for Foreign Savings and Loan Holding Companies With Total Consolidated Assets Over $250 Billion
Subpart
S
Capital Planning and Stress Capital Buffer Requirement