Money Market Operations as on June 30, 2005 - ಆರ್ಬಿಐ - Reserve Bank of India
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ಪ್ರಕಟಿಸಲಾದ ದಿನಾಂಕ
ಜುಲೈ 01, 2005
Money Market Operations as on June 30, 2005
| (Amount in Rupees crore and rate in per cent per annum) | ||||
| 1. Call Money Market | ||||
| (i) Volumes | ||||
| Banks | Primary Dealers | Non-Bank Institutions | Total | |
| Borrowings | 392.87 | 116.11 | - | 508.98 |
| Lendings | 415.18 | 60.00 | 33.80 | 508.98 |
| Total | 808.05 | 176.11 | 33.80 | 1,017.96 |
| (ii) Interest Rates | ||||
| Borrowings | Lendings | |||
| (a) Weighted average rate | 5.60 | 5.60 | ||
| (b) Range of rates | 4.77 - 6.10 | 4.77 - 6.10 | ||
| 2. Notice Money Market | ||||
| (i) Volumes | ||||
| Banks | Primary Dealers | Non-Bank Institutions | Total | |
| Borrowings | 10,016.82 | 4,893.04 | - | 14,909.86 |
| Lendings | 13,935.06 | 2.42 | 972.38 | 14,909.86 |
| Total | 23,951.88 | 4,895.46 | 972.38 | 29,819.72 |
| (ii) Interest Rates | ||||
| Borrowings | Lendings | |||
| (a) Weighted average rate | 5.70 | 5.71 | ||
| (b) Range of rates | 4.60 - 6.25 | 4.60 - 6.25 | ||
| 3. Term Money Market | ||||
| Volume(Turnover) | Range of Rates | |||
| Borrowings | 595.00 | 5.55 – 6.50 | ||
| Lendings | 595.00 | 5.55 – 6.50 | ||
| Total | 1,190.00 | |||
| 4. Standing Liquidity Facility Availed from RBI $ | ||||
| Amount (Outstanding) | Rate of Interest | |||
| 100.00 | at Repo Rate | |||
| 5. Liquidity Adjustment Facility | ||||
| Repo Day | ||||
| Amount Accepted | Rate | |||
| 4 - 6 Day | 575.00 | 6.00 | ||
| Amount Outstanding | 575.00 | 0.00 | ||
| Reverse Repo Day | ||||
| Amount Accepted | Rate | |||
| 4 - 6 Day | 6,470.00 | 5.00 | ||
| Amount Outstanding | 6,470.00 | 0.00 | ||
| 6. RBI's OMO net sales (-)/purchases (+) | 0.00 | |||
| 7. Scheduled Commercial Banks Cumulative | ||||
| Cash Balances with RBI as on | 28/06/2005 | 394,152.66 | ||
| For the reporting fortnight ending | 08/07/2005 | |||
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