Appendix Table II.2: Issue of Certificates of Deposit by Scheduled Commercial Banks - आरबीआय - Reserve Bank of India
Appendix Table II.2: Issue of Certificates of Deposit by Scheduled Commercial Banks
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Fortnight |
Total |
Rate of Interest |
Fortnight |
Total |
Rate of Interest |
||
ended |
Outstanding |
(Per cent) @ |
ended |
Outstanding |
(Per cent) @ |
||
(Rs. crore) |
(Rs. crore) |
||||||
|
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1 |
2 |
3 |
4 |
5 |
6 |
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|
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2001 |
2002 |
||||||
January |
12 |
1,180 |
7.25 - 11.00 |
January |
11 |
775 |
6.20 - 9.50 |
26 |
1,197 |
7.25 - 10.75 |
25 |
1,008 |
5.99 - 9.60 |
||
February |
9 |
1,153 |
7.25 - 11.00 |
February |
8 |
1,196 |
6.00 - 9.50 |
23 |
1,187 |
6.75 - 12.00 |
22 |
1,292 |
6.00 - 10.15 |
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March |
9 |
1,050 |
7.25 - 11.00 |
March |
8 |
1,503 |
5.95 - 10.00 |
23 |
771 |
5.50 - 11.00 |
22 |
1,583 |
5.00 - 10.03 |
||
April |
6 |
1,042 |
6.50 - 11.00 |
April |
5 |
1,474 |
5.00 - 10.88 |
20 |
905 |
7.00 - 11.00 |
19 |
1,393 |
5.00 - 10.28 |
||
May |
4 |
1,011 |
5.00 -10.80 |
May |
3 |
1,247 |
5.00 - 10.28 |
18 |
935 |
6.30 - 11.50 |
17 |
1,362 |
5.00 - 9.50 |
||
June |
1 |
960 |
6.80 - 10.50 |
31 |
1,360 |
6.00 - 8.90 |
|
15 |
979 |
5.00 - 10.00 |
June |
14 |
1,357 |
5.00 - 9.25 |
|
29 |
921 |
6.80 - 10.25 |
28 |
1,361 |
5.40 - 9.20 |
||
July |
13 |
787 |
5.00 - 10.50 |
July |
12 |
1,312 |
5.21 - 9.10 |
27 |
751 |
6.00 - 10.00 |
26 |
1,303 |
5.10 - 8.50 |
||
August |
10 |
786 |
6.00 - 10.50 |
August |
9 |
1,161 |
4.99 - 8.50 |
24 |
758 |
5.00 - 10.00 |
23 * |
1,007 |
5.03 - 8.50 |
||
September |
7 |
729 |
6.00 - 10.00 |
September |
6 * |
1,222 |
5.00 - 8.50 |
21 |
736 |
6.33 - 9.50 |
20* |
1,236 |
5.50- 8.75 |
||
October |
5 |
825 |
6.00 - 9.50 |
||||
19 |
786 |
6.20 - 9.75 |
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November |
2 |
766 |
6.44 - 9.40 |
||||
16 |
791 |
6.40 - 9.40 |
|||||
30 |
876 |
6.33 - 9.30 |
|||||
December |
14 |
798 |
5.00 - 9.50 |
||||
28 |
839 |
5.00 - 9.20 |
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* |
Provisional. |
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@ |
Effective interest rate range per annum. |