Regulatory agencies (81 - 90 of 192 items)
Year 2000 Computing Crisis: Federal Deposit Insurance Corporation's Efforts to Ensure Bank Systems Are Year 2000 Compliant
T-AIMD-98-73: Published: Feb 10, 1998. Publicly Released: Feb 10, 1998.
Results Act: Observations on CFTC's Strategic Plan
T-GGD-98-17: Published: Oct 22, 1997. Publicly Released: Oct 22, 1997.
Bank and Thrift Examinations: Adoption of Risk-Focused Examination Strategies
T-GGD-98-13: Published: Oct 8, 1997. Publicly Released: Oct 8, 1997.
GSEs: Recent Trends and Policy Issues
T-OCE/GGD-97-76: Published: Jul 16, 1997. Publicly Released: Jul 16, 1997.
Mutual Funds: SEC Adjusted Its Oversight in Response to Rapid Industry Growth
GGD-97-67: Published: May 28, 1997. Publicly Released: May 28, 1997.
Financial Regulation: Bank Modernization Legislation
T-OCE/GGD-97-103: Published: May 7, 1997. Publicly Released: May 7, 1997.
Allegations of Improper Management Practices at NCUA
GGD/OSI-97-44R: Published: Apr 8, 1997. Publicly Released: Apr 8, 1997.
Bank Data: Material Loss of Oversight Information From Interstate Banking Is Unlikely
GGD-97-49: Published: Mar 26, 1997. Publicly Released: Mar 26, 1997.
Bank and Thrift Regulation: Implementation of FDICIA's Prompt Regulatory Action Provisions
GGD-97-18: Published: Nov 21, 1996. Publicly Released: Nov 21, 1996.
Bank Oversight Structure: U.S. and Foreign Experience May Offer Lessons for Modernizing U.S. Structure
GGD-97-23: Published: Nov 20, 1996. Publicly Released: Nov 20, 1996.