Index to RBI Circulars - ആർബിഐ - Reserve Bank of India
index-to-rbi-circulars
circular-number | date-of-issue | index-to-rbi-circular-department | Subject | meant-for |
---|---|---|---|---|
RBI/2004-2005/251 IDMD.OMO No. 08 /03.75.00/2004-05 | 27.10.2004 | Internal Debt Management Department | Liquidity Adjustment Facility - Revised Scheme | All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers |
RBI/2004-2005/236 RPCD.PLNFS.BC.No. 43 /06.02.31/2004-05 | 26.10.2004 | Rural Planning and Credit Department | Banks' Investments in Securitised Assets to be treated as Direct Lending to SSI Sector | The Chairman/Managing Director All Scheduled Commercial Banks (Including RRBs & Local Area Banks) |
RBI/2004-2005/246 IDMD.OMO.No. 07 /03.75.00/2004-05 | 26.10.2004 | Internal Debt Management Department | Revised Liquidity Adjustment Facility | All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers |
RBI/2004-2005/197 IDMD.OMO.No. 04 /03.75.00/2004-05 | 30.09.2004 | Financial Markets Regulation Department | Liquidity Adjustment Facility - International Usage of terms 'Repo' and Reverse Repo' | All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers |
RBI/2004-2005/191 RPCD.PLNFS.BC. No. 36 / 09.04.01 /2004-2005 | 24.09.2004 | Rural Planning and Credit Department | Revised Target under PMRY for 2004-05 | The Chairman/ Managing Director All Indian Scheduled Commercial Banks (Excluding RRBs) |
FEMA.111/2000-RB FEMA.111/2000-RB | 01.09.2004 | Foreign Exchange Department | Foreign Exchange Management (Transfer or Issue of Security by a Person Resident outside India) (Amendment) Regulations, 2004 | |
RBI/2004-2005/13 MPD. No.252/07.01.279/2004-05 | 03.07.2004 | Monetary Policy Department | Master Circular on Export Credit Refinance Facility | The Chairmen/Chief Executives of all Scheduled Banks (excluding RRBs) |
RBI/2004-2005/14 MPD. No.253 /07.01.279/2004-05 | 03.07.2004 | Monetary Policy Department | Master Circular on Call/Notice Money Market Operations | The Chairmen/Chief Executives of all Scheduled Commercial Banks (excluding RRBs) / Co-operative Banks / Primary Dealers/ Financial Institutions/ Insurance Companies/ Mutual Funds |
RBI/2004-2005/10 MPD. 251/07.01.279/2004-05 | 01.07.2004 | Monetary Policy Department | Master Circular on Guidelines for Issue of Commercial Paper | The Chairmen/Chief Executives of All Scheduled Banks, Primary Dealers and All-India Financial Institutions |
RBI/2004/170 DGBA/CDD/13-01-299/ H-6103 / 2003-04 | 21.04.2004 | Department of Government and Bank Accounts | Master Circular on Nomination facilities for Relief / Savings Bond Holders | All Treasury Offices in India |
RBI/2004/169 DGBA/CDD/13-01-299/ H-6103 /2003-04 | 21.04.2004 | Department of Government and Bank Accounts | Master Circular on Appointment & delisting of Brokers for Relief / Savings Bonds | All Treasury Offices in India |
RBI/2004/171 DGBA/CDD/13-01-299/ H-6104 /2003-04 | 21.04.2004 | Department of Government and Bank Accounts | Master Circular on Rates of Brokerage etc. for Relief / Savings Bonds | All Treasury Offices in India |
RBI/2004/155 DGBA.CO.DT.No.13.01.298/ H-6018 /2003-04 | 17.04.2004 | Department of Government and Bank Accounts | Relief Bonds/Saving Bonds - Payment of maturity value | The Chairman/ Managing Director State Bank of India/Associate Banks/ 17 Nationalised Banks/ 4 Private Sector Banks & SHCIL |
RBI/2004/167 DGBA.GAD(MC)No.H- 1076 31.05.001/2003-2004 | 16.04.2004 | Department of Government and Bank Accounts | Master Circular on Reserve Bank's Role as Banker to State Government | The Chairman / Managing Director of all Agency Bank's |
RBI/2004/166 DGBA.GAD(MC)No.H-1075/31.05.001/2003-2004 | 16.04.2004 | Department of Government and Bank Accounts | Master Circular on Payment of Dearness Allowance / Relief to Government Pensioners | The Chairman / Managing Director of all Agency Bank's |
RBI/2004/168 DGBA.GAD(MC)No.H-1077/42.01.001/2003-2004 | 16.04.2004 | Department of Government and Bank Accounts | Master Circular ON Collection of Direct Taxes and Banker to Central Government Departments/Ministries | The Chairman / Managing Director of all Agency Bank's |
1 1 | 22.09.2003 | Publications | Entry of banks into Insurance business | |
1 1 | 01.07.2003 | Internal Debt Management Department | Trading of Government of India Securities on Stock Exchanges | |
1 1 | 11.06.2003 | Financial Markets Regulation Department | Guidelines on Exchange Traded Interest Rate Derivatives | |
1 1 | 03.06.2003 | Financial Markets Regulation Department | Guidelines on Exchange Traded Interest Rate Derivatives (for Banks) | |
1 1 | 24.04.2003 | Financial Markets Regulation Department | Guidelines on exchange traded interest rate derivatives Draft Circular for Quick Comments | |
1 ....1 | 03.04.2003 | Internal Debt Management Department | 8 % Savings (Taxable) Bonds, 2003 | |
1 ....-1 | 03.04.2003 | Internal Debt Management Department | 8 % Savings (Taxable) Bonds, 2003 - Notification | |
1 1 | 24.03.2003 | Financial Markets Regulation Department | Guidelines for uniform accounting for Repo / Reverse repo transactions | |
1 1 | 15.03.2003 | Internal Debt Management Department | Notification : 6.5% Savings Bond, 2003 (Non-taxable) | |
1 1 | 15.03.2003 | Internal Debt Management Department | 6.5% Savings Bonds, 2003 (Non-taxable) - Regional Offices | |
1 1 | 15.03.2003 | Internal Debt Management Department | 6.5 % Savings Bond, 2003 (non-taxable) - Banks | |
1 1 | 13.03.2003 | Internal Debt Management Department | Trading of Government Securities on Stock Exchanges | |
1 1 | 21.02.2003 | Financial Markets Regulation Department | Ready Forward Contracts | |
1 1 | 31.01.2003 | Tenders | Public issue of shares and debentures - Underwriting by merchant banking subsidiaries of commercial banks | |
1 1 | 16.01.2003 | Department of Regulation | Trading of Government Securities on Stock Exchanges DBOD.No.FSC.BC. 60 /24.76.002/2002-03 | |
1 1 | 26.12.2002 | Financial Markets Regulation Department | Trading of Government Securities on the Stock Exchanges | |
1 1 | 31.07.2002 | Publications | Cancellation and Rebooking of Forward Contracts | |
1 1 | 26.03.2002 | Press Release | Cancellation and Rebooking of Forward Contracts | |
1 1 | 22.06.2001 | Notifications | Annexing of Audited Balance Sheet in respect of Subsidiaries to Parent Bank's Balance Sheet | |
1 1 | 14.06.2001 | Press Release | Internet Banking in India - Guidelines | |
A.P.(DIR Series) Circular No.35 | 11.06.2001 | Foreign Exchange Department | Foreign Exchange Management Act, 1999 - Export of Goods and Services A.P. (DIR Series) Circular No. 35 (June 11, 2001) | |
1 1 | 07.06.2001 | Publications | SSI Advances Guaranteed by Credit Guarantee Fund Trust for Small Industries (CGTSI) - Risk weights and Provisioning norms | |
1 1 | 15.05.2001 | Internal Debt Management Department | Auction for Sale (Re-issue ) of '10.47 per cent Government Stock, 2015' | |
1 1 | 12.05.2001 | Department of Banking Operations and Development | Credit Card business of banks | |
1 1 | 05.05.2001 | Press Release | Interest Rates on Deposits - Capital Gains Accounts Scheme, 1988 | |
1 Ref. IDMC.No.4376 /03.75.00/2000-01 | 03.05.2001 | Financial Markets Regulation Department | Scheme of Liquidity Adjustment Facility: 2001-2002 | |
Circular No.31 | 02.05.2001 | Foreign Exchange Department | Exim Bank's Line of Credit of US$ 5 million to East African Development Bank, Uganda A.P.(DIR Series) Circular No. 31(April 20, 2001) | |
1 1 | 19.04.2001 | Publications | Statement by Dr. Bimal Jalan, Governor, Reserve Bank of India on Monetary and Credit Policy for the year 2001-2002 | |
Circular No. 30 | 11.04.2001 | Foreign Exchange Department | Write off of unrealised export bills - Simplification of procedure A.P.(DIR Series ) Circular No. 30 (April 4 , 2001) | |
1 1 | 29.03.2001 | Press Release | Annexing of Balance Sheet, Profit & Loss Account, Auditor's Report and Director's Report in respect of Subsidiaries to Parent Bank's Balance Sheet | |
1 1 | 29.03.2001 | Press Release | Voluntary Retirement Scheme (VRS) Expenditure - Accounting and Prudential Regulatory Treatment | |
A.P.(DIR Series) Circular No.27 | 09.03.2001 | Foreign Exchange Department | Foreign Exchange Management Act, 1999 - Export of goods and services - Forwarder's Cargo Receipt A.P.(DIR Series) Circular No.27 (March 2, 2001) | |
1 1 | 08.03.2001 | Tenders | Loans and advances to staff - assignment of risk weight and treatment in the balance sheet | |
1 A.P.(DIR Series) Circular No.25 | 20.02.2001 | Press Release | ACU - Funding of Nostro Account on 'Tom' basis in addition to 'Spot' basis A.P. (DIR Series) Circular No.25 (February 17, 2001) |
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