Federal (United States) · Regulations
Part 238 — SAVINGS AND LOAN HOLDING COMPANIES (REGULATION LL)
95 sections
18 groups
- Subpart A — General Provisions10 sections
- Subpart B — Acquisitions of Saving Association Securities or Assets5 sections
- Subpart C — Control Proceedings3 sections
- Subpart D — Change in Bank Control3 sections
- Subpart E — Qualified Stock Issuances1 section
- Subpart F — Savings and Loan Holding Company Activities and Acquisitions4 sections
- Subpart G — Financial Holding Company Activities6 sections
- Subpart H — Notice of Change of Director or Senior Executive Officer7 sections
- Subpart I — Prohibited Service at Savings and Loan Holding Companies10 sections
- Subpart J — Management Official Interlocks9 sections
- Subpart K — Dividends by Subsidiary Savings Associations4 sections
- 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 Billion2 sections
- 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 More5 sections
- Subpart O — Supervisory Stress Test Requirements for Covered Savings and Loan Holding Companies6 sections
- Subpart P — Company-Run Stress Test Requirements for Savings and Loan Holding Companies7 sections
- Subpart Q — Single Counterparty Credit Limits for Covered Savings and Loan Holding Companies9 sections
- Subpart R — Company-Run Stress Test Requirements for Foreign Savings and Loan Holding Companies With Total Consolidated Assets Over $250 Billion3 sections
- Subpart S — Capital Planning and Stress Capital Buffer Requirement1 section