Ready Forward Contracts - ಆರ್ಬಿಐ - Reserve Bank of India
Ready Forward Contracts
IDMC.No.PDRS/ 4240 /10.02.01/2001-02 March 26, 2002 All Primary Dealers and Satellite Dealers Dear Sirs, Ready Forward Contracts In terms of the Notification No.S.O.185 (E) dated 1st March 2000 issued by Reserve Bank of India under powers derived under section 29A of the Securities Contracts (Regulation) Act, 1956, ready forward contracts in all Government Securities put through Subsidiary General Accounts with Reserve Bank of India, in accordance with terms and conditions specified by Reserve Bank of India, were permitted. The terms and conditions were specified by Reserve Bank of India vide its circular no.IDMC.3346/10.02.01/99-2000 dated March 7, 2000. 2. In supersession of the instructions contained in the above referred circular dated March 7, 2000, it is advised that the terms and conditions subject to which ready forward contracts (including reverse ready forward contracts) may be entered into, will be as under:
3. These terms and conditions will be the relevant terms and conditions specified by Reserve Bank of India under the notification No. S.O. 185(E) dated 1/3/2000 issued under (powers derived under ) Section 29A of SCRA 1956. 4. Please acknowledge receipt. Yours faithfully, (Usha Thorat) |