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e-CFR data is current as of August 12, 2020

Title 12Chapter IIISubchapter BPart 329


TITLE 12—Banks and Banking

CHAPTER III—FEDERAL DEPOSIT INSURANCE CORPORATION

SUBCHAPTER B—REGULATIONS AND STATEMENTS OF GENERAL POLICY

PART 329—LIQUIDITY RISK MEASUREMENT STANDARDS

rule

Subpart A—GENERAL PROVISIONS

§329.1
Purpose and applicability.
§329.2
Reservation of authority.
§329.3
Definitions.
§329.4
Certain operational requirements.
rule

Subpart B—LIQUIDITY COVERAGE RATIO

§329.10
Liquidity coverage ratio.
rule

Subpart C—HIGH-QUALITY LIQUID ASSETS

§329.20
High-quality liquid asset criteria.
§329.21
High-quality liquid asset amount.
§329.22
Requirements for eligible high-quality liquid assets.
rule

Subpart D—TOTAL NET CASH OUTFLOW

§329.30
Total net cash outflow amount.
§329.31
Determining maturity.
§329.32
Outflow amounts.
§329.33
Inflow amounts.
§329.34
Cash flows related to Covered Federal Reserve Facility Funding.
rule

Subpart E—LIQUIDITY COVERAGE SHORTFALL

§329.40
Liquidity coverage shortfall: Supervisory framework.
rule

Subpart F—TRANSITIONS

§329.50
Transitions.

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