Money Market Operations as on July 30, 2001 - ربی - Reserve Bank of India

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ناشر الأصول

53735559

Money Market Operations as on July 30, 2001

(Amount in Rupees crore and
rate in per cent per annum)

1. Call/Notice Money Market*

(i) Volumes

    
 

Banks

Primary Dealers

Non-Bank Institutions

Total

Borrowings

14390.00

10495.00

 

24885.00

Lendings

15157.00

2112.00

5656.02

22925.02

(ii) Interest Rates

Borrowings

Lendings

 

(a)Weighted average rate

7.00

7.01

 

(b) Range of rates

6.00- 7.80

5.03- 7.80

2 Term Money Market*

Volume(Turnover)

Range of Rates

Borrowings

 

-

Lendings

35.00

8.75- 9.75

3. Standing Liquidity Facility Availed from RBI $

 

Amount (outstanding)

Rate of Interest

Normal

2941.92

at Bank Rate

Back-Stop

10.00

9.50

4. Liquidity Adjustment Facility

 

Amount Accepted

Rate

Repo

  

Day

0.00

 

Amount Outstanding

0.00

 
   

Reverse Repo

  

Day

0.00

 

Amount Outstanding

0.00

 

5. RBI's OMO net sales(-)/purchases(+)

0.00

6.

Scheduled Commercial Banks' Cumulative

Cash Balances with RBI as on July 27, 2001

960092.96

(For the reporting fortnight ending 27/07/2001)


* Data cover 75-80 per cent of total transactions reported by major participants.
$ Data relates to Mumbai center.

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