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Part 200 |
Part 200 [Reserved] |
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Part 201
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Extensions of Credit by Federal Reserve Banks (Regulation A)
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201.1 – 201.110 |
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Part 202
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Equal Credit Opportunity Act (Regulation B)
|
202.1 – 202.17 |
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Part 203 |
Part 203 [Reserved] |
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Part 204
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Reserve Requirements of Depository Institutions (Regulation D)
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204.1 – 204.136 |
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Part 205
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Electronic Fund Transfers (Regulation E)
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205.1 – 205.20 |
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Part 206
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Limitations on Interbank Liabilities (Regulation F)
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206.1 – 206.6 |
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Part 207
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Disclosure and Reporting of CRA-Related Agreements (Regulation G)
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207.1 – 207.11 |
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Part 208
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Membership of State Banking Institutions in the Federal Reserve System (Regulation H)
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208.1 – 208.124 |
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Part 209
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Federal Reserve Bank Capital Stock (Regulation I)
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209.1 – 209.5 |
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Part 210
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Collection of Checks and Other Items by Federal Reserve Banks and Funds Transfers Through the Fedwire Funds Service and the Fednow Service (Regulation J)
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210.1 – 210.47 |
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Part 211
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International Banking Operations (Regulation K)
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211.1 – 211.605 |
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Part 212
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Management Official Interlocks
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212.1 – 212.9 |
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Part 213
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Consumer Leasing (Regulation M)
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213.1 – 213.9 |
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Part 214
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Relations with Foreign Banks and Bankers (Regulation N)
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214.1 – 214.6 |
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Part 215
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Loans to Executive Officers, Directors, and Principal Shareholders of Member Banks (Regulation O)
|
215.1 – 215.12 |
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Part 216 |
Part 216 [Reserved] |
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Part 217
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Capital Adequacy of Bank Holding Companies, Savings and Loan Holding Companies, and State Member Banks (Regulation Q)
|
217.1 – 217.502 |
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Part 218
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Exceptions for Banks from the Definition of Broker in the Securities Exchange Act of 1934 (Regulation R)
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218.100 – 218.781 |
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Part 219
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Reimbursement for Providing Financial Records; Recordkeeping Requirements for Certain Financial Records (Regulation S)
|
219.1 – 219.24 |
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Part 220
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Credit by Brokers and Dealers (Regulation T)
|
220.1 – 220.132 |
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Part 221
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Credit by Banks and Persons Other Than Brokers or Dealers for the Purpose of Purchasing or Carrying Margin Stock (Regulation U)
|
221.1 – 221.125 |
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Part 222
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Fair Credit Reporting (Regulation V)
|
222.1 – 222.91 |
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Part 223
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Transactions Between Member Banks and Their Affiliates (Regulation W)
|
223.1 – 223.72 |
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Part 224
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Borrowers of Securities Credit (Regulation X)
|
224.1 – 224.3 |
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Part 225
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Bank Holding Companies and Change in Bank Control (Regulation Y)
|
225.1 – 225.303 |
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Part 226
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Truth in Lending (Regulation Z)
|
226.1 – 226.59 |
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Part 228
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Community Reinvestment (Regulation BB)
|
228.1 – 228.45 |
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Part 229
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Availability of Funds and Collection of Checks (Regulation CC)
|
229.1 – 229.60 |
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Part 230 |
Part 230 [Reserved] |
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Part 231
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Netting Eligibility for Financial Institution (Regulation EE)
|
231.1 – 231.3 |
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Part 232
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Obtaining and Using Medical Information in Connection with Credit (Regulation FF)
|
232.1 – 232.4 |
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Part 233
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Prohibition on Funding of Unlawful Internet Gambling (Regulation GG)
|
233.1 – 233.7 |
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Part 234
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Designated Financial Market Utilities (Regulation HH)
|
234.1 – 234.6 |
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Part 235
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Debit Card Interchange Fees and Routing (Regulation II)
|
235.1 – 235.10 |
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Part 237
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Swaps Margin and Swaps Push-out (Regulation KK)
|
237.1 – 237.22 |
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Part 238
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Savings and Loan Holding Companies (Regulation LL)
|
238.1 – 238.170 |
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Part 239
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Mutual Holding Companies (Regulation MM)
|
239.1 – 239.66 |
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Part 240
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Retail Foreign Exchange Transactions (Regulation NN)
|
240.1 – 240.17 |
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Part 241
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Securities Holding Companies (Regulation OO)
|
241.1 – 241.3 |
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Part 242
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Definitions Relating to Title I of the Dodd-Frank Act (Regulation PP)
|
242.1 – 242.4 |
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Part 243
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Resolution Plans (Regulation QQ)
|
243.1 – 243.13 |
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Part 244
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Credit Risk Retention (Regulation RR)
|
244.1 – 244.22 |
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Part 246
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Supervision and Regulation Assessments of Fees (Regulation TT)
|
246.1 – 246.6 |
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Part 248
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Proprietary Trading and Certain Interests in and Relationships with Covered Funds (Regulation VV)
|
248.1 – 248.21 |
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Part 249
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Liquidity Risk Measurement, Standards, and Monitoring (Regulation WW)
|
249.1 – 249.131 |
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Part 250
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Miscellaneous Interpretations
|
250.141 – 250.413 |
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Part 251
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Concentration Limit (Regulation XX)
|
251.1 – 251.6 |
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Part 252
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Enhanced Prudential Standards (Regulation YY)
|
252.1 – 252.221 |
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Part 253
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Regulations Implementing the Adjustable Interest Rate (LIBOR) Act (Regulation ZZ)
|
253.1 – 253.7 |
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Part 261
|
Rules Regarding Availability of Information
|
261.1 – 261.24 |
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Part 261a
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Rules Regarding Access to Personal Information Under the Privacy Act 1974
|
261a.1 – 261a.12 |
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Part 261b
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Rules Regarding Public Observation of Meetings
|
261b.1 – 261b.13 |
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Part 262
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Rules of Procedure
|
262.1 – 262.25 |
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Part 263
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Rules of Practice for Hearings
|
263.1 – 263.405 |
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Part 264
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Employee Responsibilities and Conduct
|
264.101 |
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Part 264a
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Post-Employment Restrictions for Senior Examiners
|
264a.1 – 264a.6 |
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Part 264b
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Rules Regarding Foreign Gifts and Decorations
|
264b.1 – 264b.10 |
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Part 265
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Rules Regarding Delegation of Authority
|
265.1 – 265.20 |
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Part 266
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Limitations on Activities of Former Members and Employees of the Board
|
266.1 – 266.5 |
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Part 267
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Procedures for Debt Collection
|
267.1 – 267.6 |
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Part 268
|
Rules Regarding Equal Opportunity
|
268.1 – 268.710 |
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Part 269
|
Policy on Labor Relations for the Federal Reserve Banks
|
269.1 – 269.12 |
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Part 269a
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Definitions
|
269a.1 – 269a.5 |
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Part 269b
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Charges of Unfair Labor Practices
|
269b.110 – 269b.750 |