Money Market Operations as on July 3, 2001 - આરબીઆઈ - Reserve Bank of India

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Money Market Operations as on July 3, 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

15491.00

11125.00

 

26616.00

Lendings

18051.00

2281.00

5179.25

25511.25

(ii) Interest Rates

Borrowings

Lendings

 

(a)Weighted average rate

6.94

6.95

 

(b) Range of rates

5.52-7.40

5.52-7.50

2 Term Money Market*

Volume(Turnover)

Range of Rates

Borrowings

71.00

6.00-8.10

Lendings

200.00

10.30-11.00

3. Standing Liquidity Facility Availed from RBI $

 

Amount (outstanding)

Rate of Interest

Normal

2384.40

at Bank Rate

Back-Stop

0.00

 

4. Liquidity Adjustment Facility

 

Amount Accepted

Rate

Repo

  

One Day

6000.00

6.50

Amount Outstanding

6000.00

 
   

Reverse Repo

  

One Day

0.00

 

Amount Outstanding

0.00

 

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

-2.22

6.

Scheduled Commercial Banks' Cumulative

Cash Balances with RBI as on June 28, 2001

879101.84

Cash Balances with RBI as on June 29, 2001

953275.26

Cash Balances with RBI as on June 30, 2001

74173.42

Cash Balances with RBI as on July 01, 2001

148346.84

(For the reporting fortnight ending 13/07/2001)


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

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