Press Releases - Regulating Commercial Banking - આરબીઆઈ - Reserve Bank of India
પ્રેસ રિલીઝ
મે 28, 2020
Reserve Bank of India imposes monetary penalty on Karnataka Bank Limited
The Reserve Bank of India (RBI) has, by an order dated May 27, 2020, imposed a monetary penalty of ₹1.20 crore on Karnataka Bank Ltd. (the bank) for non-compliance with certain provisions of directions issued by RBI on “Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances - Divergence in NPA Accounts” and “Prudential norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances”. The penalty h
The Reserve Bank of India (RBI) has, by an order dated May 27, 2020, imposed a monetary penalty of ₹1.20 crore on Karnataka Bank Ltd. (the bank) for non-compliance with certain provisions of directions issued by RBI on “Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances - Divergence in NPA Accounts” and “Prudential norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances”. The penalty h
મે 20, 2020
Scheduled Banks’ Statement of Position in India as on Friday, May 08, 2020
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 10-May-19 24-APR-2020 * 08-MAY-2020 * 10-May-19 24-APR-2020 * 08-MAY-2020 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 172391.67 243507.22 258427.12 176883.83 248980.75 263834.35 ** b) Borrowings from banks 67404.78 64521.46 66681.15 67491.44 64521.46 66681.2 c) Other demand & time liabilities 12782.94 15717.35 16143.48 12883.9 15863.05
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 10-May-19 24-APR-2020 * 08-MAY-2020 * 10-May-19 24-APR-2020 * 08-MAY-2020 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 172391.67 243507.22 258427.12 176883.83 248980.75 263834.35 ** b) Borrowings from banks 67404.78 64521.46 66681.15 67491.44 64521.46 66681.2 c) Other demand & time liabilities 12782.94 15717.35 16143.48 12883.9 15863.05
મે 12, 2020
Marginal Cost of Funds Based Lending Rate (MCLR) for the month of April 2020
The Reserve Bank of India has today released Lending Rates of Scheduled Commercial Banks based on data received during the month of April 2020. Ajit Prasad Director Press Release: 2019-2020/2348
The Reserve Bank of India has today released Lending Rates of Scheduled Commercial Banks based on data received during the month of April 2020. Ajit Prasad Director Press Release: 2019-2020/2348
મે 08, 2020
Scheduled Banks’ Statement of Position in India as on Friday, April 24, 2020
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 26-Apr-19 10-APR-2020* 24-APR-2020* 26-Apr-19 10-APR-2020* 24-APR-2020* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 170025.81 243177.31 246113.31 174593.36 248657.1 251586.84** b) Borrowings from banks 74556.09 64665.44 59065.97 74764.4 64665.44 59065.97 c) Other demand & time liabilities 10225.66 15381.86 15739.03 10402.49 15515.97 15884
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 26-Apr-19 10-APR-2020* 24-APR-2020* 26-Apr-19 10-APR-2020* 24-APR-2020* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 170025.81 243177.31 246113.31 174593.36 248657.1 251586.84** b) Borrowings from banks 74556.09 64665.44 59065.97 74764.4 64665.44 59065.97 c) Other demand & time liabilities 10225.66 15381.86 15739.03 10402.49 15515.97 15884
એપ્રિલ 24, 2020
Scheduled Banks’ Statement of Position in India as on Friday, April 10, 2020
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 12-Apr-19 27-MAR-2020* 10-APR-2020* 12-Apr-19 27-MAR-2020* 10-APR-2020* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 171661.97 234348.3 243732.84 176348.65 239621.78 249212.63** b) Borrowings from banks 77511.34 64001.41 68479.55 77637.78 64017.31 68479.55 c) Other demand & time liabilities 8641.35 16163.35 15379.29 8810.68 16313.75 15513.
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 12-Apr-19 27-MAR-2020* 10-APR-2020* 12-Apr-19 27-MAR-2020* 10-APR-2020* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 171661.97 234348.3 243732.84 176348.65 239621.78 249212.63** b) Borrowings from banks 77511.34 64001.41 68479.55 77637.78 64017.31 68479.55 c) Other demand & time liabilities 8641.35 16163.35 15379.29 8810.68 16313.75 15513.
એપ્રિલ 10, 2020
Scheduled Banks’ Statement of Position in India as on Friday, March 27, 2020
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 29-Mar-19 13-MAR-2020 * 27-MAR-2020 * 29-Mar-19 13-MAR-2020 * 27-MAR-2020 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 176827.73 225264.96 230769.71 181651.43 230353.78 236043.19 ** b) Borrowings from banks 79459.13 51594.1 80950.71 79486.67 51707.45 80966.61 c) Other demand & time liabilities 15139.32 14926.77 16311.61 15212.07 15077.17
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 29-Mar-19 13-MAR-2020 * 27-MAR-2020 * 29-Mar-19 13-MAR-2020 * 27-MAR-2020 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 176827.73 225264.96 230769.71 181651.43 230353.78 236043.19 ** b) Borrowings from banks 79459.13 51594.1 80950.71 79486.67 51707.45 80966.61 c) Other demand & time liabilities 15139.32 14926.77 16311.61 15212.07 15077.17
એપ્રિલ 03, 2020
Marginal Cost of Funds Based Lending Rate (MCLR) for the month of March 2020
The Reserve Bank of India has today released Lending Rates of Scheduled Commercial Banks based on data received during the month of March 2020. Ajit Prasad Director Press Release: 2019-2020/2172
The Reserve Bank of India has today released Lending Rates of Scheduled Commercial Banks based on data received during the month of March 2020. Ajit Prasad Director Press Release: 2019-2020/2172
માર્ચ 30, 2020
Directions under Section 35 A of the Banking Regulation Act, 1949 (AACS) - The Maratha Sahakari Bank Ltd, Mumbai, Maharashtra
The Maratha Sahakari Bank Ltd, Mumbai, Maharashtra, was placed under directions from close of business on August 31, 2016 vide directive No. DCBS.CO.BSD-I.D-4/12.22.141/2016-17 dated August 31, 2016. The validity of the directions was extended from time to time vide subsequent Directives, the last being Directive DOR.CO.AID.No.D-43/12.22.140/2019-20 dated December 20, 2019 and is valid up to March 31, 2020 subject to review. 2. It is hereby notified for the informatio
The Maratha Sahakari Bank Ltd, Mumbai, Maharashtra, was placed under directions from close of business on August 31, 2016 vide directive No. DCBS.CO.BSD-I.D-4/12.22.141/2016-17 dated August 31, 2016. The validity of the directions was extended from time to time vide subsequent Directives, the last being Directive DOR.CO.AID.No.D-43/12.22.140/2019-20 dated December 20, 2019 and is valid up to March 31, 2020 subject to review. 2. It is hereby notified for the informatio
માર્ચ 28, 2020
Branches of Oriental Bank of Commerce and United Bank of India to operate as branches of Punjab National Bank from April 1, 2020
The Amalgamation of Oriental Bank of Commerce and United Bank of India into Punjab National Bank Scheme, 2020 dated March 4, 2020, issued by the Government of India was published under Extraordinary Part II-Section 3-Sub-section (i) in the Gazette of India sanctioning the Amalgamation of Oriental Bank of Commerce and United Bank of India into Punjab National Bank in terms of section 9 of the Banking Companies (Acquisition and Transfer of Undertakings) Act, 1970 (5 of
The Amalgamation of Oriental Bank of Commerce and United Bank of India into Punjab National Bank Scheme, 2020 dated March 4, 2020, issued by the Government of India was published under Extraordinary Part II-Section 3-Sub-section (i) in the Gazette of India sanctioning the Amalgamation of Oriental Bank of Commerce and United Bank of India into Punjab National Bank in terms of section 9 of the Banking Companies (Acquisition and Transfer of Undertakings) Act, 1970 (5 of
માર્ચ 28, 2020
Branches of Allahabad Bank to operate as branches of Indian Bank from April 1, 2020
The Amalgamation of Allahabad Bank into Indian Bank Scheme, 2020 dated March 4, 2020, issued by the Government of India was published under Extraordinary Part II-Section 3-Sub-section (i) in the Gazette of India sanctioning the Amalgamation of Allahabad Bank into Indian Bank in terms of section 9 of the Banking Companies (Acquisition and Transfer of Undertakings) Act, 1970 (5 of 1970). The scheme comes into force on the 1st day of April 2020. Consequently, all branche
The Amalgamation of Allahabad Bank into Indian Bank Scheme, 2020 dated March 4, 2020, issued by the Government of India was published under Extraordinary Part II-Section 3-Sub-section (i) in the Gazette of India sanctioning the Amalgamation of Allahabad Bank into Indian Bank in terms of section 9 of the Banking Companies (Acquisition and Transfer of Undertakings) Act, 1970 (5 of 1970). The scheme comes into force on the 1st day of April 2020. Consequently, all branche
પેજની છેલ્લી અપડેટની તારીખ: ડિસેમ્બર 03, 2024