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FDIC Federal Register Citations

[December 22, 2003 (Volume 68, Number 245)]
[Unified Agenda]
From the Federal Register Online via GPO Access []

[Page 73938-73939]
Federal Deposit Insurance Corporation





Semiannual Regulatory Agenda

[[Page 73938]]


12 CFR Ch. III

Semiannual Agenda of Regulations

AGENCY: Federal Deposit Insurance Corporation.

ACTION: Semiannual regulatory agenda.


SUMMARY: The Federal Deposit Insurance Corporation (FDIC) is hereby
publishing items for the spring 2003 Unified Agenda of Federal
Regulatory and Deregulatory Actions. The agenda contains information
about FDIC's current and projected rulemakings, existing regulations
under review, and completed rulemakings.

FOR FURTHER INFORMATION CONTACT: Persons identified under regulations
listed in the agenda. Unless otherwise noted, the address for all FDIC
staff identified in the agenda is Federal Deposit Insurance
Corporation, 550 17th Street NW., Washington, DC 20429.

SUPPLEMENTARY INFORMATION: Twice each year, the FDIC publishes an
agenda of regulations to inform the public of its regulatory actions
and to enhance public participation in the rulemaking process.
Publication of the agenda is in accordance with the Regulatory
Flexibility Act (5 U.S.C. 601 et seq.). The FDIC amends its regulations
under the general rulemaking authority prescribed in section 9 of the
Federal Deposit Insurance Act (12 U.S.C. 1819) and under specific
authority granted by the Act and other statutes.

     On June 16, 2003, the FDIC and the other banking regulatory
agencies announced the start of a review of their regulations for
the purpose of reducing regulatory burden on insured institutions
pursuant to section 2222 of the Economic Growth and Regulatory
Paperwork Reduction Act of 1996 (68 FR 35589). The review, focused
on categories of regulations, will continue through 2006, and
involves requesting public comment in various forums. The first
three categories of regulations under review were announced on June
16, and the agencies plan to request public comment on the
remaining categories in the Federal Register on an approximately
semiannual basis. The agencies' reviews may result in rulemaking
initiatives to reduce regulatory burden that will be announced in
the semiannual agenda. More information about the reviews can be
obtained at, or

     Interested persons may petition the FDIC for the issuance,
amendment, or repeal of any regulation by submitting a written
petition to the Executive Secretary, Federal Deposit Insurance
Corporation, Washington, DC 20429. Petitioners should include
complete and concise statements of their interest in the subject
matter and reasons why the petitions should be granted.

Federal Deposit Insurance Corporation.

Robert E. Feldman,
Executive Secretary.

FDIC Prerule Stage

Sequence Number


4165 12 CFR 327 Assessments--Assessment Base
4166 Risk-Based Guidelines; Implementation of New Basel Capital Accord

FDIC Proposed Rule Stage

Sequence Number


4167 12 CFR 334 Fair Credit Reporting Act Regulations
4168 Risk-Based Capital Guidelines; Capital Adequacy Guidelines; Capital Maintenance

FDIC Final Rule Stage

Sequence Number


4169 Risk-Based Capital Guidelines; Capital Adequacy Guidelines; Capital Maintenance

FDIC Long-Term Actions

Sequence Number


4170 12 CFR 342 Qualification Requirements for the Recommendatio or Sale of Securities
4171 12 CFR 330 Deposit Insurance Coverage
4172 12 CFR 325 Risk-Based Capital Guidelines - Market Risk Measure; Securities Tranactions
4173 12 CFR 345 Community Reinvestment Act Regulations (Section 610 Review)
4174 12 CFR 330 Deposit Insurance Requlations; Living Trust Accounts
4175 Access of Persons with Disabilities to FDIC Programs, Activities, Facilities, and  Electronic and Information Technology
4176 Regulatory Publication and Review

FDIC Completed Actions

Sequence Number


4177 12 CFR 342 Brokers and Dealers
4178 12 CFR 325 Simplified Capital Framework for Noncomplex Financial Institutions
4179 12 CFR 303 Filing Procedures; Corporate Powers; International Banking; Management  Official Interlocks
4180 12 CFR 308 Removal, Suspension, and Debarment of Accountants From Performing Audit  Services
4181 Minimum Security Devices and Procedures and Bank Secrecy Act Compliance



Last Updated 1/7/2009

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