skip to main navigation skip to secondary navigation skip to content
Board of Governors of the Federal Reserve System
skip to content
Board of Governors of the Federal Reserve System

Supervision and Regulation Letters

Supervision and Regulation Letters logo Supervision and Regulation Letters, commonly known as SR Letters, address significant policy and procedural matters related to the Federal Reserve System's supervisory responsibilities. Active SR letters are listed here in reverse chronological order. Obsolete letters or letters that contain confidential supervisory information are not included.
Learn more about SR Letters

2013

SR 13-25
Interagency Statement Regarding the Treatment of Certain Collateralized Debt Obligations Backed by Trust Preferred Securities under the Volcker Rule
SR 13-24
Managing Foreign Exchange Settlement Risks for Physically Settled Transactions
SR 13-23
Risk Transfer Considerations When Assessing Capital Adequacy Supplemental Guidance on Consolidated Supervision Framework for Large Financial Institutions (SR letter 12-17/CA letter 12-14)
SR 13-21
Inspection Frequency and Scope Requirements for Bank Holding Companies and Savings and Loan Holding Companies with Total Consolidated Assets of $10 Billion or Less
SR 13-20 / CA 13-23
Interagency Statement on Supervisory Approach for Qualified and Non-Qualified Mortgage Loans
SR 13-19 / CA 13-21
Guidance on Managing Outsourcing Risk
SR 13-18
Uniform Agreement on the Classification and Appraisal of Securities Held by Depository Institutions
SR 13-17
Interagency Supervisory Guidance Addressing Certain Issues Related to Troubled Debt Restructurings
SR 13-16
End of Microsoft Support for Windows XP Operating System
SR 13-15 / CA 13-11
Federal Reserve Resources for Minority Depository Institutions
SR 13-14
Timing Standards for the Completion of Safety-and-Soundness Examination and Inspection Reports for Community Banking Organizations
SR 13-13 / CA 13-10
Supervisory Considerations for the Communication of Supervisory Findings
SR 13-12
Commodity Futures Trading Commission (CFTC) Swap Clearing Rules
SR 13-11
Filing Procedures for Annual Independent Audits and Reports Required Under Federal Deposit Insurance Corporation (FDIC) Rules
SR 13-10
Format for Safety-and-Soundness Reports of Examination and Inspection for Community State Member Banks and Holding Companies Rated Composite "4" or "5"
SR 13-9 / CA 13-6
Minimum Standards for Prioritization and Handling Borrower Files with Imminent Scheduled Foreclosure Sale
SR 13-8 / CA 13-5
Extension of the Use of Indicative Ratings for Savings and Loan Holding Companies
SR 13-7 / CA 13-4
State Member Bank Branching Considerations
SR 13-6 / CA 13-3
Supervisory Practices Regarding Banking Organizations and their Borrowers and Other Customers Affected by a Major Disaster or Emergency
SR 13-5
Revisions to the Required Data Fields for the Interagency Loan Data Request
SR 13-4
Advanced Approaches Risk-Based Capital Rule Examination Guidance on the Board's Public Website
SR 13-3
Interagency Guidance on Leveraged Lending
SR 13-1 / CA 13-1
Supplemental Policy Statement on the Internal Audit Function and Its Outsourcing

Return to topReturn to top

Last update: December 27, 2013