{"data":{"id":"us/12-cfr-303.80","jurisdiction":"us","citation":"12 CFR 303.80","heading":"Scope.","body":"This subpart implements the provisions of the Change in Bank Control Act of 1978, section 7(j) of the FDI Act (12 U.S.C. 1817(j)) (CBCA), and sets forth the filing requirements and processing procedures for a notice of change in control with respect to the acquisition of control of a State nonmember bank, a State savings association, or certain parent companies of either a State nonmember bank or a State savings association.","path":["Title 12—Banks and Banking","CHAPTER III—FEDERAL DEPOSIT INSURANCE CORPORATION","SUBCHAPTER A—PROCEDURE AND RULES OF PRACTICE","PART 303—FILING PROCEDURES","Subpart E—Change in Bank Control"],"source_url":"https://www.ecfr.gov/api/versioner/v1/full/2026-08-25/title-12.xml","current_through":"2026-08-25","vintage":"","retrieved_at":"2026-08-27T02:24:16Z","sha256":"61c219b9a4bac55016fe3eff1968ed43e700961e4655c26e05129acef3f844bd","source_id":"us-cfr","stale":true,"prev":"us/12-cfr-303.66-303.79","next":"us/12-cfr-303.81"},"notice":"GroundRules: Original legal text. Not legal advice."}
