Code of Federal Regulations (Last Updated: November 8, 2024) |
Title 12 - Banks and Banking |
Chapter I - Comptroller of the Currency, Department of the Treasury |
Part 163 - Savings Associations - Operations |
Subpart A - Accounts |
§ 163.1 - Chartering documents. |
§ 163.4 - [Reserved] |
§ 163.5 - Securities: Statement of non-insurance. |
Subpart B - Operation and Structure |
§ 163.22 - Merger, consolidation, purchase or sale of assets, or assumption of liabilities. |
§ 163.27 - Advertising. |
§ 163.33 - Directors, officers, and employees. |
§ 163.36 - Tying restriction exception. |
§ 163.39 - [Reserved] |
§ 163.41 - Transactions with affiliates. |
§ 163.43 - Loans by savings associations to their executive officers, directors and principal shareholders. |
§ 163.47 - Pension plans. |
Subpart C - Securities and Borrowings |
§ 163.74 - Mutual capital certificates. |
§ 163.76 - Offers and sales of securities at an office of a Federal savings association. |
§ 163.80 - Borrowing limitations. |
§ 163.81 - Inclusion of subordinated debt securities and mandatorily redeemable preferred stock as supplementary (tier 2) capital. |
Subparts D--E - XXX |
Subpart E - Capital Distributions |
§ 163.140 - What does this subpart cover? |
§ 163.141 - What is a capital distribution? |
§ 163.142 - What other definitions apply to this subpart? |
§ 163.143 - Must I file with the OCC? |
§ 163.144 - How do I file with the OCC? |
§ 163.145 - May I combine my notice or application with other notices or applications? |
§ 163.146 - Will the OCC permit my capital distribution? |
Subpart F - Financial Management Policies |
§ 163.161 - Management and financial policies. |
§ 163.170 - Examinations and audits; appraisals; establishment and maintenance of records. |
§ 163.171 - [Reserved] |
§ 163.172 - Financial derivatives. |
§ 163.176 - Interest-rate-risk-management procedures. |
§ 163.177 - Procedures for monitoring Bank Secrecy Act (BSA) compliance. |
Subpart G - Reporting and Bonding |
§ 163.180 - Suspicious Activity Reports and other reports and statements. |
§ 163.190 - Bonds for directors, officers, employees, and agents; form of and amount of bonds. |
§ 163.191 - Bonds for agents. |
§ 163.200 - Conflicts of interest. |
§ 163.201 - Corporate opportunity. |
Subpart H - Notice of Change of Director or Senior Executive Officer |
§ 163.550 - What does this subpart do? |
§ 163.555 - What definitions apply to this subpart? |
§ 163.560 - Who must give prior notice? |
§ 163.565 - What procedures govern the filing of my notice? |
§ 163.570 - What information must I include in my notice? |
§ 163.575 - What procedures govern OCC review of my notice for completeness? |
§ 163.580 - What standards and procedures will govern OCC review of the substance of my notice? |
§ 163.585 - When may a proposed director or senior executive officer begin service? |
§ 163.590 - When will the OCC waive the prior notice requirement? |