12 CFR Part 217 - PART 217—CAPITAL ADEQUACY OF BANK HOLDING COMPANIES, SAVINGS AND LOAN HOLDING COMPANIES, AND STATE MEMBER BANKS (REGULATION Q)
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- Subpart A—General Provisions (§§ 217.1 - 217.4-217.9)
- Subpart B—Capital Ratio Requirements and Buffers (§§ 217.10 - 217.13-217.19)
- Subpart C—Definition of Capital (§§ 217.20 - 217.23-217.29)
- Subpart D—Risk-Weighted Assets—Standardized Approach (§§ 217.30 - 217.64-217.99)
- Subpart E—Risk-Weighted Assets—Internal Ratings-Based and Advanced Measurement Approaches (§§ 217.100 - 217.174-217.200)
- Subpart F—Risk-Weighted Assets—Market Risk (§§ 217.201 - 217.213-217.299)
- Subpart G—Transition Provisions (§§ 217.300 - 217.306)
- Subpart H—Risk-based Capital Surcharge for Global Systemically Important Bank Holding Companies (§§ 217.400 - 217.406)
- Subpart I—Application of Capital Rules (§§ 217.501 - 217.502)
- Subpart J—Risk-Based Capital Requirements for Board-Regulated Institutions Significantly Engaged in Insurance Activities (§§ 217.601 - 217.608)
- SUBPART (§§ - )
- Appendix A to Part 217—The Federal Reserve Board's Framework for Implementing the Countercyclical Capital Buffer