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H.R. 6550
U.S. House•House Floor Calendar
Summary
H.R. 6550, the American FIRST Act of 2025, was introduced in the House on Dec 10, 2025 by Rep. Barry Loudermilk (R) with 6 co-sponsors. It last saw action on Feb 25, 2026: Placed on the Union Calendar, Calendar No. 454.
Record
Text
H.R. 6550 has 6 co-sponsors.
hb6550/introduced-in-house.txt119 HR 6550 IH: American Financial Institution Regulatory Sovereignty and Transparency Act of 2025U.S. House of Representatives2025-12-10text/xmlENPursuant to Title 17 Section 105 of the United States Code, this file is not subject to copyright protection and is in the public domain.I 119th CONGRESS 1st Session H. R. 6550 IN THE HOUSE OF REPRESENTATIVES December 10, 2025 Mr. Loudermilk (for himself, Mr. Barr , and Mr. Flood ) introduced the following bill; which was referred to the Committee on Financial Services A BILLTo require annual reporting on interactions between Federal banking supervisory agencies and global financial regulatory or supervisory forums, and for other purposes.1.Short titleThis Act may be cited as the American Financial Institution Regulatory Sovereignty and Transparency Act of 2025 or the American FIRST Act of 2025 .2.Annual reporting on interactions between Federal banking supervisory agencies and global financial regulatory or supervisory forums(a)Board of Governors of the Federal Reserve SystemThe seventh undesignated paragraph of section 10 of the Federal Reserve Act ( 12 U.S.C. 247 ) is amended—(1)by striking The Board and inserting the following:(7)Annual report(A)In generalThe Board;(2)by striking the second sentence; and(3)by adding at the end the following:(B)Interactions with global financial regulatory or supervisory forumsThe report required under subparagraph (A) shall include a description of the Board’s interactions with global financial regulatory or supervisory forums, including—(i)a list of the global financial regulatory or supervisory forums in which the Board maintained membership during the period covered by the report; and(ii)for each such global financial regulatory or supervisory forum in the list provided pursuant to clause (i)—(I)a description of the general purposes of the global financial regulatory or supervisory forum, including a list of the current members and observers of the global financial regulatory or supervisory forum;(II)a discussion of how the general purposes of the global financial regulatory or supervisory forum align with the purposes of this Act and the other Acts that the Board implements;(III)an identification of the sources that provided a material amount of funding for the operations of the global financial regulatory or supervisory forum during the period covered by the report;(IV)a description of the organization the Board maintained during the period covered by the report to conduct interactions with the global financial regulatory or supervisory forum, including an organizational chart and an identification of the official staff of the Board with oversight responsibility for interactions with the global financial regulatory or supervisory forum;(V)a discussion of the financial regulatory or supervisory standard-setting issues under discussion at the global financial regulatory or supervisory forum during the period covered by the report;(VI)a description of the positions taken by representatives of the Board at the global financial regulatory or supervisory forum during the period covered by the report, including the rationale, objectives, and potential impacts of such positions;(VII)a summary of the meetings attended by representatives of the Board at the global financial regulatory or supervisory forum during the period covered by the report, including a discussion of the key outcomes from such meetings;(VIII)the text of any final policies, standards, or recommendations adopted by the global financial supervisory or regulatory forum during the period covered by the report, including any implementing material, annex, appendix, side letter, or similar document entered into contemporaneously or in conjunction with the underlying policy, standard, or recommendation, or an identification of a publicly available source for the text of such policy, standard, recommendation, or implementing material;(IX)a description of any amendments to Federal statutes, regulations of the Board, guidance of the Board, or changes to the Board’s supervisory practices the Board anticipates will be necessary to implement any final policies, standards, or recommendations adopted by the global financial supervisory or regulatory forum during the period covered by the report;(X)a discussion of rules proposed, rules under consideration, final rules adopted, guidance proposed, guidance under consideration, final guidance adopted, or any other similar actions taken by the Board during the period covered by the report to implement agreements of the global financial regulatory or supervisory forum, including an economic impact analysis and a justification for why the expected costs of implementing actions are at least offset by the expected benefits related to economic, national security, financial stability, or other national interests; and(XI)such other information relating to interactions with the global financial regulatory or supervisory forum during the period covered by the report separately requested in writing by the Committee on Banking, Housing, and Urban Affairs of the Senate or the Committee on Financial Services of the House of Representatives.(C)Global financial regulatory or supervisory forum(i)In generalIn this paragraph, the term global financial regulatory or supervisory forum means any association or union of nations through or by which two or more foreign authorities engage in some aspect of their conduct of international affairs regarding financial supervision and regulation, including—(I)the Bank for International Settlements;(II)the Basel Committee on Banking Supervision;(III)the Financial Stability Board;(IV)the International Association of Insurance Supervisors; and(V)the Network of Central Banks and Supervisors for Greening the Financial System.(ii)ExceptionThe term global financial regulatory or supervisory forum does not include—(I)international financial institutions, as defined in section 1701(c)(2) of the International Financial Institutions Act ( 22 U.S.C. 262r(c)(2) ); or(II)any international organization with respect to which the Board participates pursuant to a treaty to which the United States is a party..(b)Office of the Comptroller of the Currency(1)In generalThe second section 333 of the Revised Statutes of the United States ( 12 U.S.C. 14 ; relating to an annual report) is amended to read as follows:333.Report of Comptroller(a)In generalThe Comptroller of the Currency shall make an annual report to Congress.(b)Interactions with global financial regulatory or supervisory forumsThe report required under subsection (a) shall include a description of the Comptroller’s interactions with global financial regulatory or supervisory forums, including—(1)a list of the global financial regulatory or supervisory forums in which the Comptroller maintained membership during the period covered by the report; and(2)for each such global financial regulatory or supervisory forum in the list provided pursuant to paragraph (1)—(A)a description of the general purposes of the global financial regulatory or supervisory forum, including a list of the current members and observers of the global financial regulatory or supervisory forum;(B)a discussion of how the general purposes of the global financial regulatory or supervisory forum align with the purposes of this chapter, title LXII, and the other Acts that the Comptroller implements;(C)an identification of the sources that provided a material amount of funding for the operations of the global financial regulatory or supervisory forum during the period covered by the report;(D)a description of the organization the Comptroller maintained during the period covered by the report to conduct interactions with the global financial regulatory or supervisory forum, including an organizational chart and an identification of the official staff of the Office of the Comptroller of the Currency with oversight responsibility for interactions with the global financial regulatory or supervisory forum;(E)a discussion of the financial regulatory or supervisory standard-setting issues under discussion at the global financial regulatory or supervisory forum during the period covered by the report;(F)a description of the positions taken by representatives of the Comptroller at the global financial regulatory or supervisory forum during the period covered by the report, including the rationale, objectives, and potential impacts of such positions;(G)a summary of the meetings attended by representatives of the Comptroller at the global financial regulatory or supervisory forum during the period covered by the report, including a discussion of the key outcomes from such meetings;(H)the text of any final policies, standards, or recommendations adopted by the global financial supervisory or regulatory forum during the period covered by the report, including any implementing material, annex, appendix, side letter, or similar document entered into contemporaneously or in conjunction with the underlying policy, standard, or recommendation, or an identification of a publicly available source for the text of such policy, standard, recommendation, or implementing material;(I)a description of any amendments to Federal statutes, regulations of the Comptroller, guidance of the Comptroller, or changes to the Comptroller’s supervisory practices the Comptroller anticipates will be necessary to implement any final policies, standards, or recommendations adopted by the global financial supervisory or regulatory forum during the period covered by the report;(J)a discussion of rules proposed, rules under consideration, final rules adopted, guidance proposed, guidance under consideration, final guidance adopted, or any other similar actions taken by the Comptroller during the period covered by the report to implement agreements of the global financial regulatory or supervisory forum, including an economic impact analysis and a justification for why the expected costs of implementing actions are at least offset by the expected benefits related to economic, national security, financial stability, or other national interests; and(K)such other information relating to interactions with the global financial regulatory or supervisory forum during the period covered by the report separately requested in writing by the Committee on Banking, Housing, and Urban Affairs of the Senate or the Committee on Financial Services of the House of Representatives.(c)Global financial regulatory or supervisory forum(1)In generalIn this section, the term global financial regulatory or supervisory forum means any association or union of nations through or by which two or more foreign authorities engage in some aspect of their conduct of international affairs regarding financial supervision and regulation, including—(A)the Bank for International Settlements;(B)the Basel Committee on Banking Supervision;(C)the Financial Stability Board;(D)the International Association of Insurance Supervisors; and(E)the Network of Central Banks and Supervisors for Greening the Financial System.(2)ExceptionThe term global financial regulatory or supervisory forum does not include—(A)international financial institutions, as defined in section 1701(c)(2) of the International Financial Institutions Act ( 22 U.S.C. 262r(c)(2) ); or(B)any international organization with respect to which the Comptroller participates pursuant to a treaty to which the United States is a party..(2)Technical correctionChapter nine of title VII of the Revised Statutes of the United States is amended—(A)by redesignating the first section 333 ( 12 U.S.C. 14a ; relating to data standards) as section 332;(B)by moving such section so as to appear after section 331; and(C)in the table of contents of such chapter, by amending the item relating to section 332 to read as follows:332. DATA STANDARDS; OPEN DATA PUBLICATION..(c)Federal Deposit Insurance CorporationSection 17(a) of the Federal Deposit Insurance Act ( 12 U.S.C. 1827(a) ) is amended by striking paragraph (3) and inserting the following:(3)Interactions with global financial regulatory or supervisory forumsThe report required under paragraph (1) shall include a description of the Corporation’s interactions with global financial regulatory or supervisory forums, including—(A)a list of the global financial regulatory or supervisory forums in which the Corporation maintained membership during the period covered by the report; and(B)for each such global financial regulatory or supervisory forum in the list provided pursuant to subparagraph (A)—(i)a description of the general purposes of the global financial regulatory or supervisory forum, including a list of the current members and observers of the global financial regulatory or supervisory forum;(ii)a discussion of how the general purposes of the global financial regulatory or supervisory forum align with the purposes of this Act and the other Acts that the Corporation implements;(iii)an identification of the sources that provided a material amount of funding for the operations of the global financial regulatory or supervisory forum during the period covered by the report;(iv)a description of the organization the Corporation maintained during the period covered by the report to conduct interactions with the global financial regulatory or supervisory forum, including an organizational chart and an identification of the official staff of the Corporation with oversight responsibility for interactions with the global financial regulatory or supervisory forum;(v)a discussion of the financial regulatory or supervisory standard-setting issues under discussion at the global financial regulatory or supervisory forum during the period covered by the report;(vi)a description of the positions taken by representatives of the Corporation at the global financial regulatory or supervisory forum during the period covered by the report, including the rationale, objectives, and potential impacts of such positions;(vii)a summary of the meetings attended by representatives of the Corporation at the global financial regulatory or supervisory forum during the period covered by the report, including a discussion of the key outcomes from such meetings;(viii)the text of any final policies, standards, or recommendations adopted by the global financial supervisory or regulatory forum during the period covered by the report, including any implementing material, annex, appendix, side letter, or similar document entered into contemporaneously or in conjunction with the underlying policy, standard, or recommendation, or an identification of a publicly available source for the text of such policy, standard, recommendation, or implementing material;(ix)a description of any amendments to Federal statutes, regulations of the Corporation, guidance of the Corporation, or changes to the Corporation’s supervisory practices the Corporation anticipates will be necessary to implement any final policies, standards, or recommendations adopted by the global financial supervisory or regulatory forum during the period covered by the report;(x)a discussion of rules proposed, rules under consideration, final rules adopted, guidance proposed, guidance under consideration, final guidance adopted, or any other similar actions taken by the Corporation during the period covered by the report to implement agreements of the global financial regulatory or supervisory forum, including an economic impact analysis and a justification for why the expected costs of implementing actions are at least offset by the expected benefits related to economic, national security, financial stability, or other national interests; and(xi)such other information relating to interactions with the global financial regulatory or supervisory forum during the period covered by the report separately requested in writing by the Committee on Banking, Housing, and Urban Affairs of the Senate or the Committee on Financial Services of the House of Representatives.(4)Global financial regulatory or supervisory forum(A)In generalIn this subsection, the term global financial regulatory or supervisory forum means any association or union of nations through or by which two or more foreign authorities engage in some aspect of their conduct of international affairs regarding financial supervision and regulation, including—(i)the Bank for International Settlements;(ii)the Basel Committee on Banking Supervision;(iii)the Financial Stability Board;(iv)the International Association of Insurance Supervisors; and(v)the Network of Central Banks and Supervisors for Greening the Financial System.(B)ExceptionThe term global financial regulatory or supervisory forum does not include—(i)international financial institutions, as defined in section 1701(c)(2) of the International Financial Institutions Act ( 22 U.S.C. 262r(c)(2) ); or(ii)any international organization with respect to which the Corporation participates pursuant to a treaty to which the United States is a party..3.Biannual congressional testimony on interactions with global financial regulatory or supervisory forumsParagraph (12) of section 10 of the Federal Reserve Act ( 12 U.S.C. 247b ) is amended by inserting before the period at the end the following: and with respect to the conduct of interactions at global financial regulatory or supervisory forums (as defined in paragraph (7)(C)) .
Tracker
The tracker indicates the progress of this legislation as it moves through the legislative process.
- Introduced2025-12-10
- Passed House
- Passed Senate
- Conference
- To President
- Became Law
To require annual reporting on interactions between Federal banking supervisory agencies and global financial regulatory or supervisory forums, and for other purposes.
Sponsors
Rep. Barry Loudermilk (R) sponsors H.R. 6550, and 6 members have co-sponsored it, 2 of them from the day it was introduced.

Rep. · R–GA-11 · Sponsor
Introduced Dec 10, 2025

Rep. · R–KY-6 · Co-sponsor
Joined Dec 10, 2025 · Original

Rep. · R–NE-1 · Co-sponsor
Joined Dec 10, 2025 · Original

Rep. · R–OH-8 · Co-sponsor
Joined Dec 16, 2025

Rep. · R–TN-6 · Co-sponsor
Joined Dec 16, 2025

Rep. · R–TX-17 · Co-sponsor
Joined Dec 16, 2025

Rep. · R–NC-14 · Co-sponsor
Joined Dec 17, 2025
Committees
H.R. 6550 went before 1 committee: Financial Services.
Reports
1 committee report has been filed on H.R. 6550, the latest H. Rept. 119-529.
- H. Rept. 119-529 — AMERICAN FINANCIAL INSTITUTION REGULATORY SOVEREIGNTY AND TRANSPARENCY ACT OF 2025
Actions
H.R. 6550 has taken 7 actions since Dec 10, 2025, the latest on Feb 25, 2026.
| Chamber | Action | |||
|---|---|---|---|---|
Feb 25, 2026 | House | Reported (Amended) by the Committee on Financial Services. H. Rept. 119-529.Financial Services Committee | ||
Feb 25, 2026 | House | Placed on the Union Calendar, Calendar No. 454. | ||
Dec 17, 2025 | House | Ordered to be Reported (Amended) by the Yeas and Nays: 29 - 23.Financial Services Committee | ||
Dec 17, 2025 | House | Committee Consideration and Mark-up Session HeldFinancial Services Committee | ||
Dec 16, 2025 | House | Committee Consideration and Mark-up Session HeldFinancial Services Committee |
Votes
H.R. 6550 has not gone to a roll call.
Related bills
1 bill is related to H.R. 6550.
Titles
H.R. 6550 goes by 6 titles, 4 of them short titles.
- American FIRST Act of 2025 — Short Title(s) as Reported to House
- American Financial Institution Regulatory Sovereignty and Transparency Act of 2025 — Short Title(s) as Reported to House
- American FIRST Act of 2025 — Display Title
- American FIRST Act of 2025 — Short Title(s) as Introduced
- American Financial Institution Regulatory Sovereignty and Transparency Act of 2025 — Short Title(s) as Introduced
- To require annual reporting on interactions between Federal banking supervisory agencies and global financial regulatory or supervisory forums, and for other purposes. — Official Title as Introduced
Lobbying
2 clients hired 2 firms and 29 registered lobbyists who named H.R. 6550 in 4 quarterly filings, 2025 to 2026. Reported under the Lobbying Disclosure Act; a filing’s income covers everything its registrant worked that quarter, so the amounts below are the filings’, not this bill’s.
Filed under Banking, Budget/Appropriations, Consumer Issues/Safety/Products, Financial Institutions/Investments/Securities, Housing, Taxation/Internal Revenue Code, Accounting, Agriculture.
Clients
Who paid to be heard, by how many filings named the bill.
| Client | Business | State | Firms | Filings | Reported |
|---|---|---|---|---|---|
| AMERICAN BANKERS ASSOCIATION | — | District of Columbia | 1 | 3 | — |
| AMERICANS FOR FINANCIAL REFORM | — | District of Columbia | 1 | 1 | — |
Firms
Registrants who filed on the bill, by filings.
| Registrant | Clients | Filings | Reported |
|---|---|---|---|
| AMERICAN BANKERS ASSOCIATION | 1 | 3 | — |
| AMERICANS FOR FINANCIAL REFORM | 1 | 1 | — |
Lobbyists
Named on the filings that cite the bill. The 20 named most often, of 29.
| Lobbyist | Firms | Clients | Filings |
|---|---|---|---|
| ALEX CATANESE | 1 | 1 | 3 |
| ALISON TOUHEY | 1 | 1 | 3 |
| ANTHONY PARDAL | 1 | 1 | 3 |
| BLAKE EARLEY | 1 | 1 | 3 |
| CHRIS FISHER | 1 | 1 | 3 |
| EDWARD CONNOR | 1 | 1 | 3 |
| EDWIN ELFMANN | 1 | 1 | 3 |
| FRANK PIGULSKI | 1 | 1 | 3 |
| HUGH CARNEY | 1 | 1 | 3 |
| JENNIFER HATTEN | 1 | 1 | 3 |
| JESS SHARP | 1 | 1 | 3 |
| JOHN KEVIN MCKECHNIE | 1 | 1 | 3 |
| JOSEPH PIGG | 1 | 1 | 3 |
| JOSHUA STEIN | 1 | 1 | 3 |
| JUSTIN MELVIN | 1 | 1 | 3 |
| KIRSTEN SUTTON | 1 | 1 | 3 |
| MICHAEL GULLETTE | 1 | 1 | 3 |
| NAOMI CAMPER | 1 | 1 | 3 |
| ROBERT FLOCK | 1 | 1 | 3 |
| ROBERT NICHOLS | 1 | 1 | 3 |
Filings
The documents themselves, on the Senate’s Lobbying Disclosure site, largest reported first.
| Client | Registrant | Period | Reported | Document |
|---|---|---|---|---|
| AMERICAN BANKERS ASSOCIATION | AMERICAN BANKERS ASSOCIATION | 2026 second_quarter | $3.5M | 2nd Quarter - Report |
| AMERICAN BANKERS ASSOCIATION | AMERICAN BANKERS ASSOCIATION | 2026 first_quarter | $3.1M | 1st Quarter - Report |
| AMERICAN BANKERS ASSOCIATION | AMERICAN BANKERS ASSOCIATION | 2025 fourth_quarter | $1.7M | 4th Quarter - Report |
| AMERICANS FOR FINANCIAL REFORM | AMERICANS FOR FINANCIAL REFORM | 2025 fourth_quarter | $150K | 4th Quarter - Report |
Classification
The Congressional Research Service files H.R. 6550 under Finance and Financial Sector, one of its 31 policy areas, and gives it 7 legislative subjects.
CRS Subjects
CRS assigns every bill one policy area from its 31; H.R. 6550’s is Finance and Financial Sector.
hr6550/policy-areas.txtLegislative Subjects
H.R. 6550 carries 7 of CRS’s legislative subjects, from Banking and financial institutions regulation to Government studies and investigations.
hr6550/subjects.txtConstitutional authority
The clause the sponsor cites as Congress’s power to enact H.R. 6550, as entered in the Congressional Record.
[Congressional Record Volume 171, Number 208 (Wednesday, December 10, 2025)][House]From the Congressional Record Online through the Government Publishing Office [www.gpo.gov]By Mr. LOUDERMILK:H.R. 6550.Congress has the power to enact this legislation pursuantto the following:Article 1 , Section 8[Page H5561]
Source: congress.gov · legiscan.com