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Regulatory Information
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2014-04-12
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Regulatory Capital Rules: Regulatory Capital, Implementation of Basel III, Capital Adequacy, Transition Provisions, Prompt Corrective Action, Standardized Approach for Risk-Weighted Assets, Market Discipline and Disclosure Requirements, Advanced Approaches Risk-Based Capital Rule, and Market Risk Capital Rule
Rules and Regulations
D09002ee1bdc54eed
D09002ee1bdc54fbd
United States
Federal Deposit Insurance Corporation
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org
United States Government Agency or Subagency
The Federal Deposit Insurance Corporation (FDIC) is adopting as final an interim final rule that revised the risk-based and leverage capital requirements for FDIC-supervised institutions, with no substantive changes. This final rule is substantively identical to a joint final rule issued by the Office of the Comptroller of the Currency (OCC) and the Board of Governors of the Federal Reserve System (Federal Reserve) (together, with the FDIC, the agencies). The interim final rule became effective on January 1, 2014; however, the mandatory compliance date for FDIC-supervised institutions that are not subject to the advanced internal ratings-based approaches (advanced approaches) is January 1, 2015.
79 FR 20754
https://www.govinfo.gov/app/details/FR-2014-04-14/2014-08259
2014-08259
fr14ap14-2
RIN 3064-AD95
6714-01-P
https://www.govinfo.gov/app/details/FR-2014-04-14/2014-08259
https://www.govinfo.gov/content/pkg/FR-2014-04-14/html/2014-08259.htm
https://www.govinfo.gov/content/pkg/FR-2014-04-14/pdf/2014-08259.pdf
Administrative Practice and Procedure
Banks
Banking
Capital Adequacy
Reporting and Recordkeeping Requirements
Savings Associations
State Non-Member Banks
8 p.
20754
20761
79 FR 20754
Code of Federal Regulations
Title 12 Part 303
12 CFR Part 303
Code of Federal Regulations
Title 12 Part 308
12 CFR Part 308
Code of Federal Regulations
Title 12 Part 324
12 CFR Part 324
Code of Federal Regulations
Title 12 Part 327
12 CFR Part 327
Code of Federal Regulations
Title 12 Part 333
12 CFR Part 333
Code of Federal Regulations
Title 12 Part 337
12 CFR Part 337
Code of Federal Regulations
Title 12 Part 347
12 CFR Part 347
Code of Federal Regulations
Title 12 Part 349
12 CFR Part 349
Code of Federal Regulations
Title 12 Part 360
12 CFR Part 360
Code of Federal Regulations
Title 12 Part 362
12 CFR Part 362
Code of Federal Regulations
Title 12 Part 363
12 CFR Part 363
Code of Federal Regulations
Title 12 Part 364
12 CFR Part 364
Code of Federal Regulations
Title 12 Part 365
12 CFR Part 365
Code of Federal Regulations
Title 12 Part 390
12 CFR Part 390
Code of Federal Regulations
Title 12 Part 391
12 CFR Part 391
Regulation Identification Number 3064-AD95
RIN 3064-AD95
Regulatory Capital Rules: Regulatory Capital, Implementation of Basel III, Capital Adequacy, Transition Provisions, Prompt Corrective Action, Standardized Approach for Risk-Weighted Assets, Market Discipline and Disclosure Requirements, Advanced Approaches Risk-Based Capital Rule, and Market Risk Capital Rule; Federal Register Vol. 79, Issue
RULE
2014-08259
FEDERAL DEPOSIT INSURANCE CORPORATION
2014-04-14
2014-01-01
6714-01-P
2014-08259
Final rule.
The Federal Deposit Insurance Corporation (FDIC) is adopting as final an interim final rule that revised the risk-based and leverage capital requirements for FDIC-supervised institutions, with no substantive changes. This final rule is substantively identical to a joint final rule issued by the Office of the Comptroller of the Currency (OCC) and the Board of Governors of the Federal Reserve System (Federal Reserve) (together, with the FDIC, the agencies). The interim final rule became effective on January 1, 2014; however, the mandatory compliance date for FDIC-supervised institutions that are not subject to the advanced internal ratings-based approaches (advanced approaches) is January 1, 2015.
Effective date: April 14, 2014. Mandatory compliance date: January 1, 2014 for advanced approaches FDIC-supervised institutions; January 1, 2015 for all other FDIC-supervised institutions.
Bobby R. Bean, Associate Director, bbean@fdic.gov; Ryan Billingsley, Chief, Capital Policy Section, rbillingsley@fdic.gov; Karl Reitz, Chief, Capital Markets Strategies Section, kreitz@fdic.gov; David Riley, Senior Policy Analyst, dariley@fdic.gov; Benedetto Bosco, Capital Markets Policy Analyst, bbosco@fdic.gov, regulatorycapital@fdic.gov, Capital Markets Branch, Division of Risk Management Supervision, (202) 898-6888; or Mark Handzlik, Counsel, mhandzlik@fdic.gov; Michael Phillips, Counsel, mphillips@fdic.gov; Greg Feder, Counsel, gfeder@fdic.gov; or Rachel Ackmann, Senior Attorney, rackmann@fdic.gov, Supervision Branch, Legal Division, Federal Deposit Insurance Corporation, 550 17th Street NW., Washington, DC 20429.
Administrative Practice and Procedure
Banks
Banking
Capital Adequacy
Reporting and Recordkeeping Requirements
Savings Associations
State Non-Member Banks
Capital Rules:
Regulatory Capital, Implementation of Basel III, Capital Adequacy, Transition Provisions, etc.
,
bbean@fdic.gov
bbosco@fdic.gov
dariley@fdic.gov
gfeder@fdic.gov
kreitz@fdic.gov
mhandzlik@fdic.gov
mphillips@fdic.gov
rackmann@fdic.gov
rbillingsley@fdic.gov
regulatorycapital@fdic.gov
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Federal Register
Vol. 79, no. 71
Office of the Federal Register, National Archives and Records Administration
2014-04-14
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372 p.
Table of Contents:
AE 2.7:
GS 4.107:
AE 2.106:
KF70.A2
https://www.govinfo.gov/app/details/FR-2014-04-14
P0b002ee188331709
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0042-1219
0364-1406
769-004-00000-9
000582072
f:fr14ap14
https://www.govinfo.gov/app/details/FR-2014-04-14
https://www.govinfo.gov/content/pkg/FR-2014-04-14/pdf/FR-2014-04-14.pdf
https://www.govinfo.gov/content/pkg/FR-2014-04-14/xml/FR-2014-04-14.xml
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2014-04-12
2023-04-29
FR-2014-04-14
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FR-2014-04-14
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