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 3 - Capital Adequacy Standards |
Subpart A - General Provisions |
§ 3.1 - Purpose, applicability, reservations of authority, and timing. |
§ 3.2 - Definitions. |
§ 3.3 - Operational requirements for counterparty credit risk. |
§ 3.4 - Reservation of authority. |
§§ 3.4--3.9 - [Reserved] |
Subpart B - Capital Ratio Requirements and Buffers |
§ 3.5 - Applicability. |
§ 3.6 - Minimum capital ratios. |
§ 3.7 - Plan to achieve minimum capital ratios. |
§ 3.8 - Reservation of authority. |
§ 3.10 - Minimum capital requirements. |
§ 3.11 - Capital conservation buffer and countercyclical capital buffer amount. |
§ 3.12 - xxx |
§§ 3.12--3.19 - [Reserved] |
§§ 3.13--3.19 - [Reserved] |
Subpart C - Definition of Capital |
§ 3.9 - Purpose and scope. |
§ 3.13 - Relation to other actions. |
§ 3.20 - Capital components and eligibility criteria for regulatory capital instruments. |
§ 3.21 - Minority interest. |
§ 3.22 - Regulatory capital adjustments and deductions. |
§§ 3.23--3.29 - [Reserved] |
Subpart D - Risk-Weighted Assets - Standardized Approach |
§ 3.14 - Remedies. |
§ 3.30 - Applicability. |
Risk-Weighted Assets for Unsettled Transactions |
§ 3.38 - Unsettled transactions. |
§§ 3.39--3.40 - [Reserved] |
Risk-Weighted Assets for Securitization Exposures |
§ 3.41 - Operational requirements for securitization exposures. |
§ 3.42 - Risk-weighted assets for securitization exposures. |
§ 3.43 - Simplified supervisory formula approach (SSFA) and the gross-up approach. |
§ 3.44 - Securitization exposures to which the SSFA and gross-up approach do not apply. |
§ 3.45 - Recognition of credit risk mitigants for securitization exposures. |
§§ 3.46--3.50 - [Reserved] |
Risk-Weighted Assets for General Credit Risk |
§ 3.31 - Mechanics for calculating risk-weighted assets for general credit risk. |
§ 3.32 - General risk weights. |
§ 3.33 - Off-balance sheet exposures. |
§ 3.34 - Derivative contracts. |
§ 3.35 - Cleared transactions. |
§ 3.36 - Guarantees and credit derivatives: substitution treatment. |
§ 3.37 - Collateralized transactions. |
Risk-Weighted Assets for Equity Exposures |
§ 3.51 - Introduction and exposure measurement. |
§ 3.52 - Simple risk-weight approach (SRWA). |
§ 3.53 - Equity exposures to investment funds. |
§§ 3.54--3.60 - [Reserved] |
Disclosures |
§ 3.61 - Purpose and scope. |
§ 3.62 - Disclosure requirements. |
§ 3.63 - Disclosures by national banks or Federal savings associations described in § 3.61. |
§§ 3.64--3.99 - [Reserved] |
Subpart E - Risk-Weighted Assets - Internal Ratings-Based and Advanced Measurement Approaches |
§ 3.15 - Purpose and scope. |
§ 3.16 - Notice of intent to issue a directive. |
§ 3.17 - Response to notice. |
§ 3.18 - Decision. |
§ 3.19 - Issuance of a directive. |
§ 3.100 - Purpose, applicability, and principle of conservatism. |
§ 3.101 - Definitions. |
Qualification |
§ 3.121 - Qualification process. |
§ 3.122 - Qualification requirements. |
§ 3.123 - Ongoing qualification. |
§ 3.124 - Merger and acquisition transitional arrangements. |
§§ 3.125--3.130 - [Reserved] |
Risk-Weighted Assets for General Credit Risk |
§ 3.131 - Mechanics for calculating total wholesale and retail risk-weighted assets. |
§ 3.132 - Counterparty credit risk of repo-style transactions, eligible margin loans, and OTC derivative contracts. |
§ 3.133 - Cleared transactions. |
§ 3.134 - Guarantees and credit derivatives: PD substitution and LGD adjustment approaches. |
§ 3.135 - Guarantees and credit derivatives: double default treatment. |
§ 3.136 - Unsettled transactions. |
§§ 3.137--3.140 - [Reserved] |
Risk-Weighted Assets for Securitization Exposures |
§ 3.141 - Operational criteria for recognizing the transfer of risk. |
§ 3.142 - Risk-weighted assets for securitization exposures. |
§ 3.143 - Supervisory formula approach (SFA). |
§ 3.144 - Simplified supervisory formula approach (SSFA). |
§ 3.145 - Recognition of credit risk mitigants for securitization exposures. |
§§ 3.146--3.150 - [Reserved] |
Interpretations |
Risk-Weighted Assets for Equity Exposures |
§ 3.151 - Introduction and exposure measurement. |
§ 3.152 - Simple risk weight approach (SRWA). |
§ 3.153 - Internal models approach (IMA). |
§ 3.154 - Equity exposures to investment funds. |
§ 3.155 - Equity derivative contracts. |
§§ 3.156--3.160 - [Reserved] |
§§ 3.166--3.160 - [Reserved] |
Disclosures |
§ 3.171 - Purpose and scope. |
§ 3.172 - Disclosure requirements. |
§ 3.173 - Disclosures by certain advanced approaches national banks or Federal savings associations and Category III national banks or Federal savings associations. |
§§ 3.174--3.200 - [Reserved] |
Risk-Weighted Assets for Operational Risk |
§ 3.161 - Qualification requirements for incorporation of operational risk mitigants. |
§ 3.162 - Mechanics of risk-weighted asset calculation. |
§§ 3.163--3.170 - [Reserved] |
Appendix C to Part 3 - Capital Adequacy Guidelines for Banks: Internal-Ratings-Based and Advanced Measurement Approaches |
Subpart F - Risk-Weighted Assets - Market Risk |
§ 3.201 - Purpose, applicability, and reservation of authority. |
§ 3.202 - Definitions. |
§ 3.203 - Requirements for application of this subpart F. |
§ 3.204 - Measure for market risk. |
§ 3.205 - VaR-based measure. |
§ 3.206 - Stressed VaR-based measure. |
§ 3.207 - Specific risk. |
§ 3.208 - Incremental risk. |
§ 3.209 - Comprehensive risk. |
§ 3.210 - Standardized measurement method for specific risk. |
§ 3.211 - Simplified supervisory formula approach (SSFA). |
§ 3.212 - Market risk disclosures. |
§§ 3.213--3.299 - [Reserved] |
Subpart G - Transition Provisions |
§ 3.300 - Transitions. |
§ 3.301 - xxx |
§ 3.302 - Exposures related the Money Market Mutual Fund Liquidity Facility. |
§ 3.303 - Temporary changes to the community bank leverage ratio framework. |
§ 3.304 - Temporary exclusions from total leverage exposure. |
§ 3.305 - Exposures related to the Paycheck Protection Program Lending Facility. |
Subpart H - Establishment of Minimum Capital Ratios for an Individual Bank or Individual Federal Savings Association |
§ 3.401 - Purpose and scope. |
§ 3.402 - Applicability. |
§ 3.403 - Standards for determination of appropriate individual minimum capital ratios. |
§ 3.404 - Procedures. |
§ 3.405 - Relation to other actions. |
Subpart I - Enforcement |
§ 3.501 - Remedies. |
Subpart J - Issuance of a Directive |
§ 3.601 - Purpose and scope. |
§ 3.602 - Notice of intent to issue a directive. |
§ 3.603 - Response to notice. |
§ 3.604 - Decision. |
§ 3.605 - Issuance of a directive. |
§ 3.606 - Change in circumstances. |
§ 3.607 - Relation to other administrative actions. |
Subpart K - Interpretations |
§ 3.701 - Capital and surplus. |
Appendix A to Part 3 - Risk-Based Capital Guidelines |
Appendix B to Part 3 - Risk-Based Capital Guidelines; Market Risk |