Press Releases - ਆਰਬੀਆਈ - Reserve Bank of India
rbi.page.title.1
rbi.page.title.2
Press Releases
-
ਜੂਨ 19, 2001Subsidiary General Ledger Account Transactions in Government Dated Securities and Treasury Bills at RBI, Mumbai on 18 June 2001--------------------------------------------------------------------------- Loan Nomenclature Amount Price * YTM % Code (Face Value) Per Rs.100 Indicative (in Rs.Crore) nominal --------------------------------------------------------------------------- I. Outright Transactions A.Government of India Dated Securities Contract Date : June 15, 2001 99008 11.68 % 2006 5.00 110.61 8.9161 Contract Date : June 16, 2001 97009 10.85 % 2001 0.45 100.25 8.5245 98004 11.10 % 2003--------------------------------------------------------------------------- Loan Nomenclature Amount Price * YTM % Code (Face Value) Per Rs.100 Indicative (in Rs.Crore) nominal --------------------------------------------------------------------------- I. Outright Transactions A.Government of India Dated Securities Contract Date : June 15, 2001 99008 11.68 % 2006 5.00 110.61 8.9161 Contract Date : June 16, 2001 97009 10.85 % 2001 0.45 100.25 8.5245 98004 11.10 % 2003
-
ਜੂਨ 19, 2001Money Market Operations as on June 18, 2001(Amount in Rupees crore andrate in per cent per annum)1. Call/Notice Money Market* (i) Volumes BanksPrimary DealersNon-Bank InstitutionsTotalBorrowings14599.008788.00 23387.00Lendings13912.003331.004986.3722229.37(ii) Interest RatesBorrowingsLendings (a)Weighted average rate7.717.73 (b) Range of rates6.50-8.005.72-8.252 Term Money Market*Volume(Turnover)Range of RatesBorrowings40.008.60-8.60Lendings49.008.60-9.253. Standing(Amount in Rupees crore andrate in per cent per annum)1. Call/Notice Money Market* (i) Volumes BanksPrimary DealersNon-Bank InstitutionsTotalBorrowings14599.008788.00 23387.00Lendings13912.003331.004986.3722229.37(ii) Interest RatesBorrowingsLendings (a)Weighted average rate7.717.73 (b) Range of rates6.50-8.005.72-8.252 Term Money Market*Volume(Turnover)Range of RatesBorrowings40.008.60-8.60Lendings49.008.60-9.253. Standing
-
ਜੂਨ 19, 2001RBI Reference Rate for US $June 19, 2001The Reserve Bank of Indias Reference Rate for the US dollar is Rs.46.97 on 19.06.2001. Based on the Reference Rate for US dollar and middle rates of the cross currency quotes at 12 noon, the exchange rates of major currencies against the rupee are given below : DateCURRENCY 1 USD1 GBP1 EURO100 YEN18 June, 2001 46.990066.044440.573538.1519 June, 2001 46.970065.847240.340237.9900Note : The reference rate is based on 12 noon rates of a few select banks in MJune 19, 2001The Reserve Bank of Indias Reference Rate for the US dollar is Rs.46.97 on 19.06.2001. Based on the Reference Rate for US dollar and middle rates of the cross currency quotes at 12 noon, the exchange rates of major currencies against the rupee are given below : DateCURRENCY 1 USD1 GBP1 EURO100 YEN18 June, 2001 46.990066.044440.573538.1519 June, 2001 46.970065.847240.340237.9900Note : The reference rate is based on 12 noon rates of a few select banks in M
-
ਜੂਨ 19, 2001Liquidity Adjustment Facility : Auction ResultsThere were no bids received for Repo and Reverse Repo auctions today under Liquidity Adjustment Facility.P.V. Sadanandan Asst. ManagerPress Release : 2000-01/1698There were no bids received for Repo and Reverse Repo auctions today under Liquidity Adjustment Facility.P.V. Sadanandan Asst. ManagerPress Release : 2000-01/1698
-
ਜੂਨ 19, 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 20, 2001 (Wednesday) 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.mThe 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 20, 2001 (Wednesday) 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
-
ਜੂਨ 18, 2001Subsidiary General Ledger Account Transactions in Government Dated Securities and Treasury Bills at RBI, Mumbai on 16 June 2001--------------------------------------------------------------------------- Loan Nomenclature Amount Price * YTM % Code (Face Value) Per Rs.100 Indicative (in Rs.Crore) nominal --------------------------------------------------------------------------- I. Outright Transactions A.Government of India Dated Securities Contract Date : June 13, 2001 01005 9.81 % 2013 1.00 100.28 9.7687 Contract Date : June 14, 2001 01001 10.47 % 2015 5.00 103.30 10.0176 01001 10.47 % 2015--------------------------------------------------------------------------- Loan Nomenclature Amount Price * YTM % Code (Face Value) Per Rs.100 Indicative (in Rs.Crore) nominal --------------------------------------------------------------------------- I. Outright Transactions A.Government of India Dated Securities Contract Date : June 13, 2001 01005 9.81 % 2013 1.00 100.28 9.7687 Contract Date : June 14, 2001 01001 10.47 % 2015 5.00 103.30 10.0176 01001 10.47 % 2015
-
ਜੂਨ 18, 2001Reserve Bank of India - Foreign Exchange Data from 28/05/2001 to 01/06/2001All Figures are in USD Millions Merchant InterBank FCY/INR FCY/FCY FCY/INR FCY/FCY PositionSpotForwardForwardSpotForwardForwardSpotSwapForwardSpotSwapForwardDate Cancel- ation Cancel- ation PURCHASES 28/05/2001242412951153534576218667029/05/20013079123861685501,2141323613601930/05/200141648138821165271,47983374104831/05/200141210793826297182,2101323601681301/06/2001241651782195961,446494047716SALES28/05/20011731212641353394345818867029/05/20012884386263095791,22965375All Figures are in USD Millions Merchant InterBank FCY/INR FCY/FCY FCY/INR FCY/FCY PositionSpotForwardForwardSpotForwardForwardSpotSwapForwardSpotSwapForwardDate Cancel- ation Cancel- ation PURCHASES 28/05/2001242412951153534576218667029/05/20013079123861685501,2141323613601930/05/200141648138821165271,47983374104831/05/200141210793826297182,2101323601681301/06/2001241651782195961,446494047716SALES28/05/20011731212641353394345818867029/05/20012884386263095791,22965375
-
ਜੂਨ 18, 2001Money Market Operations as on June 16, 2001(Amount in Rupees crore and rate in per cent per annum)1. Call/Notice Money Market* (i) Volumes BanksPrimary DealersNon-Bank InstitutionsTotalBorrowings10546.004462.00 15008.00Lendings8047.003080.002361.0213488.02(ii) Interest RatesBorrowingsLendings (a)Weighted average rate7.647.66 (b) Range of rates6.50-8.007.00-8.252 Term Money Market*Volume(Turnover)Range of RatesBorrowings26.006.00-8.55Lendings35.008.55-8.703. Standing Liquidity Facility Availed from RBI $ Amount(Amount in Rupees crore and rate in per cent per annum)1. Call/Notice Money Market* (i) Volumes BanksPrimary DealersNon-Bank InstitutionsTotalBorrowings10546.004462.00 15008.00Lendings8047.003080.002361.0213488.02(ii) Interest RatesBorrowingsLendings (a)Weighted average rate7.647.66 (b) Range of rates6.50-8.007.00-8.252 Term Money Market*Volume(Turnover)Range of RatesBorrowings26.006.00-8.55Lendings35.008.55-8.703. Standing Liquidity Facility Availed from RBI $ Amount
-
ਜੂਨ 18, 2001RBI Reference Rate for US $June 18, 2001The Reserve Bank of Indias Reference Rate for the US dollar is Rs.46.99 on 18.06.2001. Based on the Reference Rate for US dollar and middle rates of the cross currency quotes at 12 noon, the exchange rates of major currencies against the rupee are given below : DateCURRENCY 1 USD1 GBP1 EURO100 YEN15 June, 200147.000065.858840.554038.690018 June, 200146.990066.044440.573538.1500Note : The reference rate is based on 12 noon rates of a few select banks in MJune 18, 2001The Reserve Bank of Indias Reference Rate for the US dollar is Rs.46.99 on 18.06.2001. Based on the Reference Rate for US dollar and middle rates of the cross currency quotes at 12 noon, the exchange rates of major currencies against the rupee are given below : DateCURRENCY 1 USD1 GBP1 EURO100 YEN15 June, 200147.000065.858840.554038.690018 June, 200146.990066.044440.573538.1500Note : The reference rate is based on 12 noon rates of a few select banks in M
-
ਜੂਨ 18, 2001Liquidity Adjustment Facility : Auction ResultsThere were no bids received for Repo and Reverse Repo auctions today, June 18, 2001 under Liquidity Adjustment Facility.There were no bids received for Repo and Reverse Repo auctions today, June 18, 2001 under Liquidity Adjustment Facility.
-
ਜੂਨ 18, 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 19, 2001 (Tuesday) 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 19, 2001 (Tuesday) 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.
-
ਜੂਨ 16, 2001Money Market Operations as on June 15, 2001(Amount in Rupees crore and rate in per cent per annum)1. Call/Notice Money Market* (i) Volumes BanksPrimary DealersNon-Bank InstitutionsTotalBorrowings8674.007444.40 16118.40Lendings8121.001333.503222.2812676.78(ii) Interest RatesBorrowingsLendings (a)Weighted average rate7.427.46 (b) Range of rates6.50-8.006.75-8.102 Term Money Market*Volume(Turnover)Range of RatesBorrowings50.008.00-8.00Lendings60.008.00-8.753. Standing Liquidity Facility Availed from RBI $ Amount(Amount in Rupees crore and rate in per cent per annum)1. Call/Notice Money Market* (i) Volumes BanksPrimary DealersNon-Bank InstitutionsTotalBorrowings8674.007444.40 16118.40Lendings8121.001333.503222.2812676.78(ii) Interest RatesBorrowingsLendings (a)Weighted average rate7.427.46 (b) Range of rates6.50-8.006.75-8.102 Term Money Market*Volume(Turnover)Range of RatesBorrowings50.008.00-8.00Lendings60.008.00-8.753. Standing Liquidity Facility Availed from RBI $ Amount
-
ਜੂਨ 16, 2001Subsidiary General Ledger Account Transactions in Government Dated Securities and Treasury Bills at RBI, Mumbai on 15 June 2001--------------------------------------------------------------------------- Loan Nomenclature Amount Price * YTM % Code (Face Value) Per Rs.100 Indicative (in Rs.Crore) nominal --------------------------------------------------------------------------- I. Outright Transactions A.Government of India Dated Securities Contract Date : June 13, 2001 98008 11.50 % 2004 5.00 106.91 8.7479 90009 11.25 % 2005 10.00 107.93 8.8497 90009 11.25 % 2005 10.00 107.93 8.8497 00017 11.--------------------------------------------------------------------------- Loan Nomenclature Amount Price * YTM % Code (Face Value) Per Rs.100 Indicative (in Rs.Crore) nominal --------------------------------------------------------------------------- I. Outright Transactions A.Government of India Dated Securities Contract Date : June 13, 2001 98008 11.50 % 2004 5.00 106.91 8.7479 90009 11.25 % 2005 10.00 107.93 8.8497 90009 11.25 % 2005 10.00 107.93 8.8497 00017 11.
-
ਜੂਨ 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
-
ਜੂਨ 15, 2001Subsidiary General Ledger Account Transactions in Government Dated Securities and Treasury Bills at RBI, Mumbai on 14 June 2001--------------------------------------------------------------------------- Loan Nomenclature Amount Price * YTM % Code (Face Value) Per Rs.100 Indicative (in Rs.Crore) nominal --------------------------------------------------------------------------- I. Outright Transactions A.Government of India Dated Securities Contract Date : June 13, 2001 94006 12.08 % 2001 10.00 100.16 7.9368 97009 10.85 % 2001 10.00 100.31 8.1950 94009 11.75 % 2001 10.00 100.64 8.3095 94009 11--------------------------------------------------------------------------- Loan Nomenclature Amount Price * YTM % Code (Face Value) Per Rs.100 Indicative (in Rs.Crore) nominal --------------------------------------------------------------------------- I. Outright Transactions A.Government of India Dated Securities Contract Date : June 13, 2001 94006 12.08 % 2001 10.00 100.16 7.9368 97009 10.85 % 2001 10.00 100.31 8.1950 94009 11.75 % 2001 10.00 100.64 8.3095 94009 11
-
ਜੂਨ 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
-
ਜੂਨ 15, 2001RBI Reference Rate for US $June 15, 2001The Reserve Bank of India’s Reference Rate for the US dollar is Rs.47.00 on 15.06.2001. Based on the Reference Rate for US dollar and middle rates of the cross currency quotes at 12 noon, the exchange rates of major currencies against the rupee are given below : DateCURRENCY 1 USD1 GBP1 EURO100 YEN14 June, 2001 47.050065.430140.173638.5715 June, 2001 47.000065.858840.554038.6900Note : The reference rate is based on 12 noon rates of a few select banksJune 15, 2001The Reserve Bank of India’s Reference Rate for the US dollar is Rs.47.00 on 15.06.2001. Based on the Reference Rate for US dollar and middle rates of the cross currency quotes at 12 noon, the exchange rates of major currencies against the rupee are given below : DateCURRENCY 1 USD1 GBP1 EURO100 YEN14 June, 2001 47.050065.430140.173638.5715 June, 2001 47.000065.858840.554038.6900Note : The reference rate is based on 12 noon rates of a few select banks
-
ਜੂਨ 15, 2001Rejection of application for certificate of registrationThe Reserve Bank of India, in exercise of the powers conferred on it under Section 45 IA of the Reserve Bank of India Act, 1934, has rejected on June 9, 2001 the application for certificate of registration submitted by M/s. Kutumb Finance Private Limited, Kochas Bazar, Kochas (Rohtas), Bihar, for carrying on the business of a Non-Banking Financial Institution. As such, the above company cannot transact the business of a non-banking financial institution as defined inThe Reserve Bank of India, in exercise of the powers conferred on it under Section 45 IA of the Reserve Bank of India Act, 1934, has rejected on June 9, 2001 the application for certificate of registration submitted by M/s. Kutumb Finance Private Limited, Kochas Bazar, Kochas (Rohtas), Bihar, for carrying on the business of a Non-Banking Financial Institution. As such, the above company cannot transact the business of a non-banking financial institution as defined in
-
ਜੂਨ 15, 200191 Day Treasury Bills - Auction AnnouncedThe Reserve Bank of India has announced the auction of 91 day Government of India treasury bills for a notified amount of Rs.250 crore. The auction will be conducted using "Uniform Price Auction" method. The allocation to non-competitive bidders will be outside the notified amount, at the discretion of the Bank. The sale will be subject to the terms and conditions specified in the General Notification No. F. 2(12)-W&M/97 dated March 31, 1998 issued by the GovernmeThe Reserve Bank of India has announced the auction of 91 day Government of India treasury bills for a notified amount of Rs.250 crore. The auction will be conducted using "Uniform Price Auction" method. The allocation to non-competitive bidders will be outside the notified amount, at the discretion of the Bank. The sale will be subject to the terms and conditions specified in the General Notification No. F. 2(12)-W&M/97 dated March 31, 1998 issued by the Governme
-
ਜੂਨ 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.
ਪੇਜ ਅੰਤਿਮ ਅੱਪਡੇਟ ਦੀ ਤਾਰੀਖ: null