Federal Deposit Insurance Act

12 USC 1811 et seq.; 64 Stat. 873 (September 21, 1950)
  • Section
  • Definitions
  • Admission of banks to federal deposit insurance
  • Factors to be considered
  • Assessments; reports
  • Termination of status as insured depository institution
  • Administration of corporation 
  • Corporation monies
  • Regulations governing insured banks
  • Penalty for unauthorized participation by convicted individual
  • Retention of records by insured depository institutions
  • Activities of insured state banks
  • Assuring consistent oversight of subsidiaries of holding companies
  • Agency disapproval of directors and senior executive officers of insured depository institutions or depository institution holding companies
  • Depository institution employee protection remedy
  • Coordination of risk analysis between SEC and federal banking agencies
  • Early identification of needed improvements in financial management
  • Accounting objectives, standards, and requirements
  • Prompt corrective action
  • Source of strength
  • Standards for safety and soundness
  • Payments on foreign deposits prohibited
  • Notice of branch closure
  • Interstate bank mergers
  • Authority of state insurance regulator and Securities and Exchange Commission
  • Safety and soundness firewalls applicable to financial subsidiaries of banks
  • Insurance customer protections
  • CRA Sunshine requirements
  • Enforcement of agreements