12 CFR Part 238 - PART 238—SAVINGS AND LOAN HOLDING COMPANIES (REGULATION LL)
- Subpart A—General Provisions (§§ 238.1 - 238.10)
- Subpart B—Acquisitions of Saving Association Securities or Assets (§§ 238.11 - 238.15)
- Subpart C—Control Proceedings (§§ 238.21 - 238.23)
- Subpart D—Change in Bank Control (§§ 238.31 - 238.33)
- Subpart E—Qualified Stock Issuances (§ 238.41)
- Subpart F—Savings and Loan Holding Company Activities and Acquisitions (§§ 238.51 - 238.54)
- Subpart G—Financial Holding Company Activities (§§ 238.61 - 238.66)
- Subpart H—Notice of Change of Director or Senior Executive Officer (§§ 238.71 - 238.77)
- Subpart I—Prohibited Service at Savings and Loan Holding Companies (§§ 238.81 - 238.90)
- Subpart J—Management Official Interlocks (§§ 238.91 - 238.99)
- Subpart K—Dividends by Subsidiary Savings Associations (§§ 238.101 - 238.104)
- Subpart L—Investigative Proceedings and Formal Examination Proceedings (§§ 238.111 - 238.117)
- 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 Billion (§§ 238.118 - 238.119)
- 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 More (§§ 238.120 - 238.124)
- Subpart O—Supervisory Stress Test Requirements for Covered Savings and Loan Holding Companies (§§ 238.130 - 238.135)
- Subpart P—Company-Run Stress Test Requirements for Savings and Loan Holding Companies (§§ 238.140 - 238.146)
- Subpart Q—Single Counterparty Credit Limits for Covered Savings and Loan Holding Companies (§§ 238.150 - 238.158)
- Subpart R—Company-Run Stress Test Requirements for Foreign Savings and Loan Holding Companies With Total Consolidated Assets Over $250 Billion (§§ 238.160 - 238.162)
- Subpart S—Capital Planning and Stress Capital Buffer Requirement (§ 238.170)