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federal_register: 2013-18716

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document_number title type abstract publication_date pub_year pub_month html_url pdf_url agency_names agency_ids excerpts regulation_id_numbers
2013-18716 Proposed Supervisory Guidance on Implementing Dodd-Frank Act Company-Run Stress Tests for Banking Organizations With Total Consolidated Assets of More Than $10 Billion But Less Than $50 Billion Proposed Rule The Board, FDIC and OCC, (collectively, the "agencies") are issuing this guidance, which outlines high-level principles for implementation of section 165(i)(2) of the Dodd-Frank Act Wall Street Reform and Consumer Protection Act ("DFA") stress tests, applicable to all bank and savings-and-loan holding companies, national banks, state-member banks, state non-member banks, Federal savings associations, and state chartered savings associations with more than $10 billion but less than $50 billion in total consolidated assets (collectively, the "$10-50 billion companies"). The guidance discusses supervisory expectations for DFA stress test practices and offers additional details about methodologies that should be employed by these companies. It also underscores the importance of stress testing as an ongoing risk management practice that supports a company's forward-looking assessment of its risks and better equips the company to address a range of macroeconomic and financial outcomes. 2013-08-05 2013 8 https://www.federalregister.gov/documents/2013/08/05/2013-18716/proposed-supervisory-guidance-on-implementing-dodd-frank-act-company-run-stress-tests-for-banking https://www.govinfo.gov/content/pkg/FR-2013-08-05/pdf/2013-18716.pdf Treasury Department; Comptroller of the Currency; Federal Reserve System; Federal Deposit Insurance Corporation 497,80,188,164 The Board, FDIC and OCC, (collectively, the "agencies") are issuing this guidance, which outlines high-level principles for implementation of section 165(i)(2) of the Dodd-Frank Act Wall Street Reform and Consumer Protection Act ("DFA") stress tests,...  

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