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Title 12 Part 250

Title 12 → Chapter II → Subchapter A → Part 250

Electronic Code of Federal Regulations e-CFR

Title 12 Part 250

Title 12Chapter IISubchapter APart 250


TITLE 12—Banks and Banking

CHAPTER II—FEDERAL RESERVE SYSTEM (CONTINUED)

SUBCHAPTER A—BOARD OF GOVERNORS OF THE FEDERAL RESERVE SYSTEM (CONTINUED)

PART 250—MISCELLANEOUS INTERPRETATIONS

rule

Interpretations

§250.141
Member bank purchase of stock of “operations subsidiaries.”
§250.142
Meaning of “obligor or maker” in determining limitation on securities investments by member State banks.
§250.143
Member bank purchase of stock of foreign operations subsidiaries.
§250.160
Federal funds transactions.
§250.163
Inapplicability of amount limitations to “ineligible acceptances.”
§250.164
Bankers' acceptances.
§250.165
Bankers' acceptances: definition of participations.
§250.166
Treatment of mandatory convertible debt and subordinated notes of state member banks and bank holding companies as “capital”.
§250.180
Reports of changes in control of management.
§250.181
Reports of change in control of bank management incident to a merger.
§250.182
Terms defining competitive effects of proposed mergers.
§250.200
Investment in bank premises by holding company banks.
§250.220
Whether member bank acting as trustee is prohibited by section 20 of the Banking Act of 1933 from acquiring majority of shares of mutual fund.
§250.221
Issuance and sale of short-term debt obligations by bank holding companies.
§250.260
Miscellaneous interpretations; gold coin and bullion.

Interpretations of Section 32 of the Glass-Steagall Act

§250.400
Service of open-end investment company.
§250.401
Director serving member bank and closed-end investment company being organized.
§250.402
Service as officer, director, or employee of licensee corporation under the Small Business Investment Act of 1958.
§250.403
Service of member bank and real estate investment company.
§250.404
Serving as director of member bank and corporation selling own stock.
§250.405
No exception granted a special or limited partner.
§250.406
Serving member bank and investment advisor with mutual fund affiliation.
§250.407
Interlocking relationship involving securities affiliate of brokerage firm.
§250.408
Short-term negotiable notes of banks not securities under section 32, Banking Act of 1933.
§250.409
Investment for own account affects applicability of section 32.
§250.410
Interlocking relationships between bank and its commingled investment account.
§250.411
Interlocking relationships between member bank and variable annuity insurance company.
§250.412
Interlocking relationships between member bank and insurance company-mutual fund complex.
§250.413
“Bank-eligible” securities activities.

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