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Regulation G

Sec. 207-10 Transition provisions.

(a) Disclosure of covered agreements entered into before the effective date of this part. The following disclosure requirements apply to covered agreements that were entered into after November 12, 1999, and that terminated before April 1, 2001.
     (1) Disclosure to the public. Each NGEP and each insured depository institution or affiliate that was a party to the agreement must make the agreement available to the public under Sec. 207.6 until at least April 1, 2002.
     (2) Disclosure to the relevant supervisory agency--(i) Each NGEP that was a party to the agreement must make the agreement available to the relevant supervisory agency under Sec. 207.6 until at least April 1, 2002.
     (ii) Each insured depository institution or affiliate that was a party to the agreement must, by June 30, 2001, provide each relevant supervisory agency either--
     (A) A copy of the agreement under Sec. 207.6(d)(1)(i); or
     (B) The information described in Sec. 207.6(d)(1)(ii) for each agreement.

(b) Filing of annual reports that relate to fiscal years ending on or before December 31, 2000. In the event that a NGEP, insured depository institution or affiliate has any information to report under Sec. 207.7 for a fiscal year that ends on or before December 31, 2000, and that concerns a covered agreement entered into between May 12, 2000, and December 31, 2000, the annual report for that fiscal year must be provided no later than June 30, 2001, to--
     (1) Each relevant supervisory agency; or
     (2) In the case of a NGEP, to an insured depository institution or affiliate that is a party to the agreement in accordance with Sec. 207.7(f)(2).



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