Banking regulation (61 - 65 of 65 items)
Regulations and Activities regarding Certificate of Deposit Maturity Notification
GGD-79-11: Published: Oct 20, 1978. Publicly Released: Oct 20, 1978.
A survey was performed of the Federal Home Loan Bank Board's (FHLBB) regulations and of savings and loan associations' (S&L) activities regarding certificate of deposit (CD) maturity notification. FHLBB has not issued regulations covering such notification, and procedures are left to the discretion of the individual S&L. Notification procedures varied among S&L. Six of seven Washington, D.C., S&L...
Comments on H.R. 2176
094671: Nov 29, 1977
No summary is currently available...
Smithsonian Institution's Banking Practices for Private Funds
GGD-77-67: Published: Sep 20, 1977. Publicly Released: Sep 20, 1977.
The Smithsonian Institution maintained 41 accounts in financial institutions and the United States Treasury. Most of these were small checking accounts used to pay expenses at Smithsonian locations outside the District of Columbia. The use of five principal accounts was reviewed, two at the American Security and Trust Company, two at the Riggs National Bank, and a deposit suspense account in the U...
Changing Ownership of Mutual Savings and Loan Associations: An Evaluation
FOD-77-10: Published: May 26, 1977. Publicly Released: May 26, 1977.
In 1974, the Federal Home Loan Bank Board was permitted to approve 41 savings and loan association conversions from a mutual to stock form of ownership. The sale-of-stock method of conversion has provided opportunities for an association to raise additional capital, expand operations, and increase earnings. In eight associations reviewed by GAO, the primary reason given for converting from a mutua...