| 12:3.0.1.1.6.0.5 | SUBJGRP 5
  |    Regulations |  | 
| 12:3.0.1.1.6.1 | SUBPART A
  | Subpart A - General Provisions |  | 
| 12:3.0.1.1.6.1.6.1 | SECTION 225.1
  |    225.1 Authority, purpose, and scope. |  | 
| 12:3.0.1.1.6.1.6.2 | SECTION 225.2
  |    225.2 Definitions. |  | 
| 12:3.0.1.1.6.1.6.3 | SECTION 225.3
  |    225.3 Administration. |  | 
| 12:3.0.1.1.6.1.6.4 | SECTION 225.4
  |    225.4 Corporate practices. |  | 
| 12:3.0.1.1.6.1.6.5 | SECTION 225.5
  |    225.5 Registration, reports, and inspections. |  | 
| 12:3.0.1.1.6.1.6.6 | SECTION 225.6
  |    225.6 Penalties for violations. |  | 
| 12:3.0.1.1.6.1.6.7 | SECTION 225.7
  |    225.7 Exceptions to tying restrictions. |  | 
| 12:3.0.1.1.6.1.6.8 | SECTION 225.8
  |    225.8 Capital planning and stress capital buffer requirement. |  | 
| 12:3.0.1.1.6.1.6.9 | SECTION 225.9
  |    225.9 Control over securities. |  | 
| 12:3.0.1.1.6.1.6.10 | SECTION 225.10
  |    225.10 Temporary relief for 2020 and 2021. |  | 
| 12:3.0.1.1.6.2 | SUBPART B
  | Subpart B - Acquisition of Bank Securities or Assets |  | 
| 12:3.0.1.1.6.2.6.1 | SECTION 225.11
  |    225.11 Transactions requiring Board approval. |  | 
| 12:3.0.1.1.6.2.6.2 | SECTION 225.12
  |    225.12 Transactions not requiring Board approval. |  | 
| 12:3.0.1.1.6.2.6.3 | SECTION 225.13
  |    225.13 Factors considered in acting on bank acquisition proposals. |  | 
| 12:3.0.1.1.6.2.6.4 | SECTION 225.14
  |    225.14 Expedited action for certain bank acquisitions by well-run bank holding companies. |  | 
| 12:3.0.1.1.6.2.6.5 | SECTION 225.15
  |    225.15 Procedures for other bank acquisition proposals. |  | 
| 12:3.0.1.1.6.2.6.6 | SECTION 225.16
  |    225.16 Public notice, comments, hearings, and other provisions governing applications and notices. |  | 
| 12:3.0.1.1.6.2.6.7 | SECTION 225.17
  |    225.17 Notice procedure for one-bank holding company formations. |  | 
| 12:3.0.1.1.6.3 | SUBPART C
  | Subpart C - Nonbanking Activities and Acquisitions by Bank Holding Companies |  | 
| 12:3.0.1.1.6.3.6.1 | SECTION 225.21
  |    225.21 Prohibited nonbanking activities and acquisitions; exempt bank holding companies. |  | 
| 12:3.0.1.1.6.3.6.2 | SECTION 225.22
  |    225.22 Exempt nonbanking activities and acquisitions. |  | 
| 12:3.0.1.1.6.3.6.3 | SECTION 225.23
  |    225.23 Expedited action for certain nonbanking proposals by well-run bank holding companies. |  | 
| 12:3.0.1.1.6.3.6.4 | SECTION 225.24
  |    225.24 Procedures for other nonbanking proposals. |  | 
| 12:3.0.1.1.6.3.6.5 | SECTION 225.25
  |    225.25 Hearings, alteration of activities, and other matters. |  | 
| 12:3.0.1.1.6.3.6.6 | SECTION 225.26
  |    225.26 Factors considered in acting on nonbanking proposals. |  | 
| 12:3.0.1.1.6.3.6.7 | SECTION 225.27
  |    225.27 Procedures for determining scope of nonbanking activities. |  | 
| 12:3.0.1.1.6.3.6.8 | SECTION 225.28
  |    225.28 List of permissible nonbanking activities. |  | 
| 12:3.0.1.1.6.4 | SUBPART D
  | Subpart D - Control and Divestiture Proceedings |  | 
| 12:3.0.1.1.6.4.6.1 | SECTION 225.31
  |    225.31 Control proceedings. |  | 
| 12:3.0.1.1.6.4.6.2 | SECTION 225.32
  |    225.32 Rebuttable presumptions of control of a company. |  | 
| 12:3.0.1.1.6.4.6.3 | SECTION 225.33
  |    225.33 Rebuttable presumption of noncontrol of a company. |  | 
| 12:3.0.1.1.6.4.6.4 | SECTION 225.34
  |    225.34 Total equity. |  | 
| 12:3.0.1.1.6.5 | SUBPART E
  | Subpart E - Change in Bank Control |  | 
| 12:3.0.1.1.6.5.6.1 | SECTION 225.41
  |    225.41 Transactions requiring prior notice. |  | 
| 12:3.0.1.1.6.5.6.2 | SECTION 225.42
  |    225.42 Transactions not requiring prior notice. |  | 
| 12:3.0.1.1.6.5.6.3 | SECTION 225.43
  |    225.43 Procedures for filing, processing, publishing, and acting on notices. |  | 
| 12:3.0.1.1.6.5.6.4 | SECTION 225.44
  |    225.44 Reporting of stock loans. |  | 
| 12:3.0.1.1.6.6 | SUBPART F
  | Subpart F - Limitations on Nonbank Banks |  | 
| 12:3.0.1.1.6.6.6.1 | SECTION 225.52
  |    225.52 Limitation on overdrafts. |  | 
| 12:3.0.1.1.6.7 | SUBPART G
  | Subpart G - Appraisal Standards for Federally Related Transactions |  | 
| 12:3.0.1.1.6.7.6.1 | SECTION 225.61
  |    225.61 Authority, purpose, and scope. |  | 
| 12:3.0.1.1.6.7.6.2 | SECTION 225.62
  |    225.62 Definitions. |  | 
| 12:3.0.1.1.6.7.6.3 | SECTION 225.63
  |    225.63 Appraisals required; transactions requiring a State certified or licensed appraiser. |  | 
| 12:3.0.1.1.6.7.6.4 | SECTION 225.64
  |    225.64 Minimum appraisal standards. |  | 
| 12:3.0.1.1.6.7.6.5 | SECTION 225.65
  |    225.65 Appraiser independence. |  | 
| 12:3.0.1.1.6.7.6.6 | SECTION 225.66
  |    225.66 Professional association membership; competency. |  | 
| 12:3.0.1.1.6.7.6.7 | SECTION 225.67
  |    225.67 Enforcement. |  | 
| 12:3.0.1.1.6.8 | SUBPART H
  | Subpart H - Notice of Addition or Change of Directors and Senior Executive Officers |  | 
| 12:3.0.1.1.6.8.6.1 | SECTION 225.71
  |    225.71 Definitions. |  | 
| 12:3.0.1.1.6.8.6.2 | SECTION 225.72
  |    225.72 Director and officer appointments; prior notice requirement. |  | 
| 12:3.0.1.1.6.8.6.3 | SECTION 225.73
  |    225.73 Procedures for filing, processing, and acting on notices; standards for disapproval; waiver of notice. |  | 
| 12:3.0.1.1.6.9 | SUBPART I
  | Subpart I - Financial Holding Companies |  | 
| 12:3.0.1.1.6.9.6 | SUBJGRP 6
  |    Interpretations |  | 
| 12:3.0.1.1.6.9.6.1 | SECTION 225.81
  |    225.81 What is a financial holding company |  | 
| 12:3.0.1.1.6.9.6.2 | SECTION 225.82
  |    225.82 How does a bank holding company elect to become a financial holding company |  | 
| 12:3.0.1.1.6.9.6.3 | SECTION 225.83
  |    225.83 What are the consequences of failing to continue to meet applicable capital and management requirements |  | 
| 12:3.0.1.1.6.9.6.4 | SECTION 225.84
  |    225.84 What are the consequences of failing to maintain a satisfactory or better rating under the Community Reinvestment Act at all insured depository institution subsidiaries |  | 
| 12:3.0.1.1.6.9.6.5 | SECTION 225.85
  |    225.85 Is notice to or approval from the Board required prior to engaging in a financial activity |  | 
| 12:3.0.1.1.6.9.6.6 | SECTION 225.86
  |    225.86 What activities are permissible for any financial holding company |  | 
| 12:3.0.1.1.6.9.6.7 | SECTION 225.87
  |    225.87 Is notice to the Board required after engaging in a financial activity |  | 
| 12:3.0.1.1.6.9.6.8 | SECTION 225.88
  |    225.88 How to request the Board to determine that an activity is financial in nature or incidental to a financial activity |  | 
| 12:3.0.1.1.6.9.6.9 | SECTION 225.89
  |    225.89 How to request approval to engage in an activity that is complementary to a financial activity |  | 
| 12:3.0.1.1.6.9.6.10 | SECTION 225.90
  |    225.90 What are the requirements for a foreign bank to be treated as a financial holding company |  | 
| 12:3.0.1.1.6.9.6.11 | SECTION 225.91
  |    225.91 How may a foreign bank elect to be treated as a financial holding company |  | 
| 12:3.0.1.1.6.9.6.12 | SECTION 225.92
  |    225.92 How does an election by a foreign bank become effective |  | 
| 12:3.0.1.1.6.9.6.13 | SECTION 225.93
  |    225.93 What are the consequences of a foreign bank failing to continue to meet applicable capital and management requirements |  | 
| 12:3.0.1.1.6.9.6.14 | SECTION 225.94
  |    225.94 What are the consequences of an insured branch or depository institution failing to maintain a satisfactory or better rating under the Community Reinvestment Act |  | 
| 12:3.0.1.1.6.9.6.15 | SECTION 225.101
  |    225.101 Bank holding company's subsidiary banks owning shares of nonbanking companies. |  | 
| 12:3.0.1.1.6.9.6.16 | SECTION 225.102
  |    225.102 Bank holding company indirectly owning nonbanking company through subsidiaries. |  | 
| 12:3.0.1.1.6.9.6.17 | SECTION 225.103
  |    225.103 Bank holding company acquiring stock by dividends, stock splits or exercise of rights. |  | 
| 12:3.0.1.1.6.9.6.18 | SECTION 225.104
  |    225.104 “Services” under section 4(c)(1) of Bank Holding Company Act. |  | 
| 12:3.0.1.1.6.9.6.19 | SECTION 225.107
  |    225.107 Acquisition of stock in small business investment company. |  | 
| 12:3.0.1.1.6.9.6.20 | SECTION 225.109
  |    225.109 “Services” under section 4(c)(1) of Bank Holding Company Act. |  | 
| 12:3.0.1.1.6.9.6.21 | SECTION 225.111
  |    225.111 Limit on investment by bank holding company system in stock of small business investment companies. |  | 
| 12:3.0.1.1.6.9.6.22 | SECTION 225.112
  |    225.112 Indirect control of small business concern through convertible debentures held by small business investment company. |  | 
| 12:3.0.1.1.6.9.6.23 | SECTION 225.113
  |    225.113 Services under section 4(a) of Bank Holding Company Act. |  | 
| 12:3.0.1.1.6.9.6.24 | SECTION 225.115
  |    225.115 Applicability of Bank Service Corporation Act in certain bank holding company situations. |  | 
| 12:3.0.1.1.6.9.6.25 | SECTION 225.118
  |    225.118 Computer services for customers of subsidiary banks. |  | 
| 12:3.0.1.1.6.9.6.26 | SECTION 225.121
  |    225.121 Acquisition of Edge corporation affiliate by State member banks of registered bank holding company. |  | 
| 12:3.0.1.1.6.9.6.27 | SECTION 225.122
  |    225.122 Bank holding company ownership of mortgage companies. |  | 
| 12:3.0.1.1.6.9.6.28 | SECTION 225.123
  |    225.123 Activities closely related to banking. |  | 
| 12:3.0.1.1.6.9.6.29 | SECTION 225.124
  |    225.124 Foreign bank holding companies. |  | 
| 12:3.0.1.1.6.9.6.30 | SECTION 225.125
  |    225.125 Investment adviser activities. |  | 
| 12:3.0.1.1.6.9.6.31 | SECTION 225.126
  |    225.126 Activities not closely related to banking. |  | 
| 12:3.0.1.1.6.9.6.32 | SECTION 225.127
  |    225.127 Investment in corporations or projects designed primarily to promote community welfare. |  | 
| 12:3.0.1.1.6.9.6.33 | SECTION 225.129
  |    225.129 Activities closely related to banking. |  | 
| 12:3.0.1.1.6.9.6.34 | SECTION 225.130
  |    225.130 Issuance and sale of short-term debt obligations by bank holding companies. |  | 
| 12:3.0.1.1.6.9.6.35 | SECTION 225.131
  |    225.131 Activities closely related to banking. |  | 
| 12:3.0.1.1.6.9.6.36 | SECTION 225.132
  |    225.132 Acquisition of assets. |  | 
| 12:3.0.1.1.6.9.6.37 | SECTION 225.133
  |    225.133 Computation of amount invested in foreign corporations under general consent procedures. |  | 
| 12:3.0.1.1.6.9.6.38 | SECTION 225.134
  |    225.134 Escrow arrangements involving bank stock resulting in a violation of the Bank Holding Company Act. |  | 
| 12:3.0.1.1.6.9.6.39 | SECTION 225.136
  |    225.136 Utilization of foreign subsidiaries to sell long-term debt obligations in foreign markets and to transfer the proceeds to their United States parent(s) for domestic purposes. |  | 
| 12:3.0.1.1.6.9.6.40 | SECTION 225.137
  |    225.137 Acquisitions of shares pursuant to section 4(c)(6) of the Bank Holding Company Act. |  | 
| 12:3.0.1.1.6.9.6.41 | SECTION 225.138
  |    225.138 Statement of policy concerning divestitures by bank holding companies. |  | 
| 12:3.0.1.1.6.9.6.42 | SECTION 225.139
  |    225.139 Presumption of continued control under section 2(g)(3) of the Bank Holding Company Act. |  | 
| 12:3.0.1.1.6.9.6.43 | SECTION 225.140
  |    225.140 Disposition of property acquired in satisfaction of debts previously contracted. |  | 
| 12:3.0.1.1.6.9.6.44 | SECTION 225.141
  |    225.141 Operations subsidiaries of a bank holding company. |  | 
| 12:3.0.1.1.6.9.6.45 | SECTION 225.142
  |    225.142 Statement of policy concerning bank holding companies engaging in futures, forward and options contracts on U.S. Government and agency securities and money market instruments. |  | 
| 12:3.0.1.1.6.9.6.46 | SECTION 225.143
  |    225.143 Policy statement on nonvoting equity investments by bank holding companies. |  | 
| 12:3.0.1.1.6.9.6.47 | SECTION 225.145
  |    225.145 Limitations established by the Competitive Equality Banking Act of 1987 on the activities and growth of nonbank banks. |  | 
| 12:3.0.1.1.6.10 | SUBPART J
  | Subpart J - Merchant Banking Investments |  | 
| 12:3.0.1.1.6.10.7 | SUBJGRP 7
  |    Conditions to Orders |  | 
| 12:3.0.1.1.6.10.7.1 | SECTION 225.170
  |    225.170 What type of investments are permitted by this subpart, and under what conditions may they be made |  | 
| 12:3.0.1.1.6.10.7.2 | SECTION 225.171
  |    225.171 What are the limitations on managing or operating a portfolio company held as a merchant banking investment |  | 
| 12:3.0.1.1.6.10.7.3 | SECTION 225.172
  |    225.172 What are the holding periods permitted for merchant banking investments |  | 
| 12:3.0.1.1.6.10.7.4 | SECTION 225.173
  |    225.173 How are investments in private equity funds treated under this subpart |  | 
| 12:3.0.1.1.6.10.7.5 | SECTION 225.174
  |    225.174 What aggregate thresholds apply to merchant banking investments |  | 
| 12:3.0.1.1.6.10.7.6 | SECTION 225.175
  |    225.175 What risk management, record keeping and reporting policies are required to make merchant banking investments |  | 
| 12:3.0.1.1.6.10.7.7 | SECTION 225.176
  |    225.176 How do the statutory cross marketing and sections 23A and B limitations apply to merchant banking investments |  | 
| 12:3.0.1.1.6.10.7.8 | SECTION 225.177
  |    225.177 Definitions. |  | 
| 12:3.0.1.1.6.11 | SUBPART K
  | Subpart K - Proprietary Trading and Relationships With Hedge Funds and Private Equity Funds |  | 
| 12:3.0.1.1.6.11.8.1 | SECTION 225.180
  |    225.180 Definitions. |  | 
| 12:3.0.1.1.6.11.8.2 | SECTION 225.181
  |    225.181 Conformance Period for Banking Entities Engaged in Prohibited Proprietary Trading or Private Fund Activities. |  | 
| 12:3.0.1.1.6.11.8.3 | SECTION 225.182
  |    225.182 Conformance Period for Nonbank Financial Companies Supervised by the Board Engaged in Proprietary Trading or Private Fund Activities. |  | 
| 12:3.0.1.1.6.12 | SUBPART L
  | Subpart L - Conditions to Orders |  | 
| 12:3.0.1.1.6.12.8.1 | SECTION 225.200
  |    225.200 Conditions to Board's section 20 orders. |  | 
| 12:3.0.1.1.6.13 | SUBPART M
  | Subpart M - Minimum Requirements for Appraisal Management Companies |  | 
| 12:3.0.1.1.6.13.8.1 | SECTION 225.190
  |    225.190 Authority, purpose, and scope. |  | 
| 12:3.0.1.1.6.13.8.2 | SECTION 225.191
  |    225.191 Definitions. |  | 
| 12:3.0.1.1.6.13.8.3 | SECTION 225.192
  |    225.192 Appraiser panel - annual size calculation. |  | 
| 12:3.0.1.1.6.13.8.4 | SECTION 225.193
  |    225.193 Appraisal management company registration. |  | 
| 12:3.0.1.1.6.13.8.5 | SECTION 225.194
  |    225.194 Ownership limitations for State-registered appraisal management companies. |  | 
| 12:3.0.1.1.6.13.8.6 | SECTION 225.195
  |    225.195 Requirements for Federally regulated appraisal management companies. |  | 
| 12:3.0.1.1.6.13.8.7 | SECTION 225.196
  |    225.196 Information to be presented to the Appraisal Subcommittee by participating States. |  | 
| 12:3.0.1.1.6.14 | SUBPART 0
  |  |  | 
| 12:3.0.1.1.6.15.8.1.10 | APPENDIX Appendix A
  |    Appendix A to Part 225 - Capital Adequacy Guidelines for Bank Holding Companies: Risk-Based Measure |  | 
| 12:3.0.1.1.6.15.8.1.11 | APPENDIX Appendix B
  |    Appendix B to Part 225 [Reserved] |  | 
| 12:3.0.1.1.6.15.8.1.12 | APPENDIX Appendix C
  |    Appendix C to Part 225 - Small Bank Holding Company and Savings and Loan Holding Company Policy Statement |  | 
| 12:3.0.1.1.6.15.8.1.13 | APPENDIX 
  |    Appendixes D-E to Part 225 [Reserved] |  | 
| 12:3.0.1.1.6.15.8.1.14 | APPENDIX Appendix F
  |    Appendix F to Part 225 - Interagency Guidelines Establishing Information Security Standards |  | 
| 12:3.0.1.1.6.15.8.1.15 | APPENDIX Appendix G
  |    Appendix G to Part 225 [Reserved] |  |