Code of Federal Regulations (Last Updated: November 8, 2024) |
Title 12 - Banks and Banking |
Chapter III - Federal Deposit Insurance Corporation |
SubChapter B - Regulations and Statements of General Policy |
Part 329 - Liquidity Risk Measurement Standards |
Subpart K - Net Stable Funding Ratio |
§ 329.100 - Net stable funding ratio. |
§ 329.101 - Determining maturity. |
§ 329.102 - Rules of construction. |
§ 329.103 - Calculation of available stable funding amount. |
§ 329.104 - ASF factors. |
§ 329.105 - Calculation of required stable funding amount. |
§ 329.106 - RSF factors. |
§ 329.107 - Calculation of NSFR derivatives amounts. |
§ 329.108 - Funding related to Covered Federal Reserve Facility Funding. |
§ 329.109 - Rules for consolidation. |