Press Releases - আরবিআই - Reserve Bank of India
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Press Releases
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জুন 16, 2001Repo/Reverse Repo Auction under LAFThe Reserve Bank of India under the Scheme of Liquidity Adjustment Facility, has announced one day repo auction and reverse repo auction in Government of India dated securities and treasury bills of all maturities of 91, 182 and 364 day Treasury Bills on June 18, 2001 (Monday) for scheduled commercial banks and Primary Dealers holding SGL Account and Current Account with it at Mumbai. The eligible banks/institutions may submit separate applications before 10.30 a.m. oThe Reserve Bank of India under the Scheme of Liquidity Adjustment Facility, has announced one day repo auction and reverse repo auction in Government of India dated securities and treasury bills of all maturities of 91, 182 and 364 day Treasury Bills on June 18, 2001 (Monday) for scheduled commercial banks and Primary Dealers holding SGL Account and Current Account with it at Mumbai. The eligible banks/institutions may submit separate applications before 10.30 a.m. o
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জুন 15, 2001Money Market Operations as on June 14, 2001(Amount in Rupees crore and rate in per cent per annum)1. Call/Notice Money Market* (i) Volumes BanksPrimary DealersNon-Bank InstitutionsTotalBorrowings12260.006907.00 19167.00Lendings10478.001387.004266.0016131.00(ii) Interest RatesBorrowingsLendings (a)Weighted average rate7.187.19 (b) Range of rates6.00-8.505.23-8.102 Term Money Market*Volume(Turnover)Range of RatesBorrowings -Lendings5.0010.00-10.003. Standing Liquidity Facility Availed from RBI $ Amount (outstand(Amount in Rupees crore and rate in per cent per annum)1. Call/Notice Money Market* (i) Volumes BanksPrimary DealersNon-Bank InstitutionsTotalBorrowings12260.006907.00 19167.00Lendings10478.001387.004266.0016131.00(ii) Interest RatesBorrowingsLendings (a)Weighted average rate7.187.19 (b) Range of rates6.00-8.505.23-8.102 Term Money Market*Volume(Turnover)Range of RatesBorrowings -Lendings5.0010.00-10.003. Standing Liquidity Facility Availed from RBI $ Amount (outstand
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জুন 15, 2001Liquidity Adjustment Facility : Auction ResultsThere were no bids received for Repo and Reverse Repo auctions today, June 15, 2001 under Liquidity Adjustment Facility.There were no bids received for Repo and Reverse Repo auctions today, June 15, 2001 under Liquidity Adjustment Facility.
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জুন 14, 2001Money Market Operations as on June 13, 2001(Amount in Rupees crore and rate in per cent per annum)1. Call/Notice Money Market* (i) Volumes BanksPrimary DealersNon-Bank InstitutionsTotalBorrowings14696.008914.00 23610.00Lendings14710.00906.005687.0021303.00(ii) Interest RatesBorrowingsLendings (a)Weighted average rate7.007.17 (b) Range of rates6.00-8.256.42-8.252 Term Money Market*Volume(Turnover)Range of RatesBorrowings400.008.25-8.25Lendings500.008.25-8.903. Standing Liquidity Facility Availed from RBI $ Amou(Amount in Rupees crore and rate in per cent per annum)1. Call/Notice Money Market* (i) Volumes BanksPrimary DealersNon-Bank InstitutionsTotalBorrowings14696.008914.00 23610.00Lendings14710.00906.005687.0021303.00(ii) Interest RatesBorrowingsLendings (a)Weighted average rate7.007.17 (b) Range of rates6.00-8.256.42-8.252 Term Money Market*Volume(Turnover)Range of RatesBorrowings400.008.25-8.25Lendings500.008.25-8.903. Standing Liquidity Facility Availed from RBI $ Amou
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জুন 14, 2001Liquidity Adjustment Facility : Auction ResultsThere were no bids received for repo and reverse repo auctions today, June 14, 2001 under Liquidity Adjustment Facility.P.V. Sadanandan Asst. ManagerPress Release : 2000-01/1682There were no bids received for repo and reverse repo auctions today, June 14, 2001 under Liquidity Adjustment Facility.P.V. Sadanandan Asst. ManagerPress Release : 2000-01/1682
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জুন 14, 2001Repo/Reverse Repo Auction under LAFThe Reserve Bank of India under the Scheme of Liquidity Adjustment Facility, has announced three day repo auction and reverse repo auction in Government of India dated securities and treasury bills of all maturities of 91, 182 and 364 day Treasury Bills on June 15, 2001 (Friday) for scheduled commercial banks and Primary Dealers holding SGL Account and Current Account with it at Mumbai. The eligible banks/institutions may submit separate applications before 10.30 a.m.The Reserve Bank of India under the Scheme of Liquidity Adjustment Facility, has announced three day repo auction and reverse repo auction in Government of India dated securities and treasury bills of all maturities of 91, 182 and 364 day Treasury Bills on June 15, 2001 (Friday) for scheduled commercial banks and Primary Dealers holding SGL Account and Current Account with it at Mumbai. The eligible banks/institutions may submit separate applications before 10.30 a.m.
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জুন 13, 2001Money Market Operations as on June 12, 2001(Amount in Rupees crore and rate in per cent per annum)1. Call/Notice Money Market* (i) Volumes BanksPrimary DealersNon-Bank InstitutionsTotalBorrowings14156.009864.00 24020.00Lendings14884.002640.005464.0022988.00(ii) Interest RatesBorrowingsLendings (a)Weighted average rate7.107.05 (b) Range of rates5.09-8.305.09-8.102 Term Money Market*Volume(Turnover)Range of RatesBorrowings270.007.00-7.25Lendings50.008.75-9.503. Standing Liquidity Facility Availed from RBI $ Amou(Amount in Rupees crore and rate in per cent per annum)1. Call/Notice Money Market* (i) Volumes BanksPrimary DealersNon-Bank InstitutionsTotalBorrowings14156.009864.00 24020.00Lendings14884.002640.005464.0022988.00(ii) Interest RatesBorrowingsLendings (a)Weighted average rate7.107.05 (b) Range of rates5.09-8.305.09-8.102 Term Money Market*Volume(Turnover)Range of RatesBorrowings270.007.00-7.25Lendings50.008.75-9.503. Standing Liquidity Facility Availed from RBI $ Amou
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জুন 13, 2001Liquidity Adjustment Facility : Auction ResultsThe results of the RBI Repo/Reverse Repo auctions held on June 13, 2001 are :ItemRepo Auction (Sale of securities by RBI)Reverse Repo Auction (Purchase of securities by RBI)1. Applications received for one day repo period: (i) Number (ii) Amount (Face value in Rs. crore) 1 5000 Nil NA2. Applications accepted for one day repo period: (i) Number (ii) Amount (Face Value in Rs.crore) (iii) Cut-off Rate (per cent) 1 5000 6.50 NA NA NA3. Weighted average Cut-off Rate (per cThe results of the RBI Repo/Reverse Repo auctions held on June 13, 2001 are :ItemRepo Auction (Sale of securities by RBI)Reverse Repo Auction (Purchase of securities by RBI)1. Applications received for one day repo period: (i) Number (ii) Amount (Face value in Rs. crore) 1 5000 Nil NA2. Applications accepted for one day repo period: (i) Number (ii) Amount (Face Value in Rs.crore) (iii) Cut-off Rate (per cent) 1 5000 6.50 NA NA NA3. Weighted average Cut-off Rate (per c
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জুন 13, 2001Repo/Reverse Repo Auction under LAFThe Reserve Bank of India under the Scheme of Liquidity Adjustment Facility, has announced one day repo auction and reverse repo auction in Government of India dated securities and treasury bills of all maturities of 91, 182 and 364 day Treasury Bills on June 14, 2001 (Thursday) for scheduled commercial banks and Primary Dealers holding SGL Account and Current Account with it at Mumbai.The eligible banks/institutions may submit separate applications before 10.30 a.m.The Reserve Bank of India under the Scheme of Liquidity Adjustment Facility, has announced one day repo auction and reverse repo auction in Government of India dated securities and treasury bills of all maturities of 91, 182 and 364 day Treasury Bills on June 14, 2001 (Thursday) for scheduled commercial banks and Primary Dealers holding SGL Account and Current Account with it at Mumbai.The eligible banks/institutions may submit separate applications before 10.30 a.m.
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জুন 12, 2001Money Market Operations as on June 11, 2001(Amount in Rupees crore and rate in per cent per annum)1. Call/Notice Money Market* (i) Volumes BanksPrimary DealersNon-Bank InstitutionsTotalBorrowings12869.009490.00 22359.00Lendings12264.002746.005243.0020253.00(ii) Interest RatesBorrowingsLendings (a)Weighted average rate7.627.64 (b) Range of rates6.50-8.105.75-8.252 Term Money Market*Volume(Turnover)Range of RatesBorrowings129.007.70-12.00Lendings50.009.60-10.353. Standing Liquidity Facility Availed from RBI $ Am(Amount in Rupees crore and rate in per cent per annum)1. Call/Notice Money Market* (i) Volumes BanksPrimary DealersNon-Bank InstitutionsTotalBorrowings12869.009490.00 22359.00Lendings12264.002746.005243.0020253.00(ii) Interest RatesBorrowingsLendings (a)Weighted average rate7.627.64 (b) Range of rates6.50-8.105.75-8.252 Term Money Market*Volume(Turnover)Range of RatesBorrowings129.007.70-12.00Lendings50.009.60-10.353. Standing Liquidity Facility Availed from RBI $ Am
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