Regulations last checked for updates: Nov 23, 2024

Title 12 - Banks and Banking last revised: Nov 20, 2024
§ 303.0 - Scope.

(a) This part describes the procedures to be followed by both the FDIC and applicants with respect to applications, requests, or notices (filings) required to be filed by statute or regulation. Additional details concerning processing are explained in related FDIC statements of policy.

(b) Additional application procedures may be found in the following FDIC regulations:

(1) 12 CFR part 327—Assessments (Request for review of assessment risk classification);

(2) 12 CFR part 328—Advertisement of Membership (Application for temporary waiver of advertising requirements);

(3) 12 CFR part 345—Community Reinvestment (CRA strategic plans and requests for designation as a wholesale or limited purpose institution);

Subpart A [§ 303.1 - § 303.19] - Subpart A—Rules of General Applicability
Subpart B [§ 303.20 - § 303.39] - Subpart B—Deposit Insurance
Subpart C [§ 303.40 - § 303.59] - Subpart C—Establishment and Relocation of Domestic Branches and Offices
Subpart D [§ 303.60 - § 303.79] - Subpart D—Merger Transactions
Subpart E [§ 303.80 - § 303.99] - Subpart E—Change in Bank Control
Subpart F [§ 303.100 - § 303.119] - Subpart F—Change of Director or Senior Executive Officer
Subpart G [§ 303.120 - § 303.139] - Subpart G—Activities of Insured State Banks
Subpart H [§ 303.140 - § 303.159] - Subpart H—Activities of Insured Savings Associations
Subpart I [§ 303.160 - § 303.179] - Subpart I—Mutual-To-Stock Conversions
Subpart J [§ 303.180 - § 303.199] - Subpart J—International Banking
Subpart K [§ 303.200 - § 303.219] - Subpart K—Prompt Corrective Action
Subpart L [§ 303.220 - § 303.231] - Subpart L—Section 19 of the Federal Deposit Insurance Act (Consent To Service of Persons Convicted of, or Who Have Program Entries for, Certain Criminal Offenses)
Subpart M [§ 303.240 - § 303.259] - Subpart M—Other Filings
source: 67 FR 79247, Dec. 27, 2002, unless otherwise noted.
cite as: 12 CFR 303.0