Ratio and Rates - आरबीआय - Reserve Bank of India
Ratio and Rates
(Per cent) |
||||||
Item/Week Ended |
2012 |
2013 |
||||
Mar. 9 |
Feb. 8 |
Feb. 15 |
Feb. 22 |
Mar. 1 |
Mar. 8 |
|
1 |
2 |
3 |
4 |
5 |
6 |
|
Ratios |
|
|
|
|
|
|
Cash Reserve Ratio |
5.50 |
4.25 |
4.00 |
4.00 |
4.00 |
4.00 |
Statutory Liquidity Ratio |
24.00 |
23.00 |
23.00 |
23.00 |
23.00 |
23.00 |
Cash-Deposit Ratio |
5.90 |
4.94 |
.. |
5.23 |
.. |
.. |
Credit-Deposit Ratio |
76.26 |
77.61 |
.. |
78.13 |
.. |
.. |
Incremental Credit-Deposit Ratio |
76.26 |
73.78 |
.. |
78.86 |
.. |
.. |
Investment-Deposit Ratio |
30.02 |
30.40 |
.. |
29.92 |
.. |
.. |
Incremental Investment-Deposit Ratio |
30.02 |
39.23 |
.. |
34.58 |
.. |
.. |
Rates |
|
|
|
|
|
|
Policy Repo Rate |
8.50 |
7.75 |
7.75 |
7.75 |
7.75 |
7.75 |
Reverse Repo Rate |
7.50 |
6.75 |
6.75 |
6.75 |
6.75 |
6.75 |
Marginal Standing Facility (MSF) Rate |
9.50 |
8.75 |
8.75 |
8.75 |
8.75 |
8.75 |
Bank Rate |
9.50 |
8.75 |
8.75 |
8.75 |
8.75 |
8.75 |
Base Rate |
10.00/10.75 |
9.70/10.50 |
9.70/10.50 |
9.70/10.50 |
9.70/10.25 |
9.70/10.25 |
Term Deposit Rate >1 Year |
8.50/9.25 |
7.50/9.00 |
7.50/9.00 |
7.50/9.00 |
7.50/9.00 |
7.50/9.00 |
Savings Deposit Rate |
4.00 |
4.00 |
4.00 |
4.00 |
4.00 |
4.00 |
Call Money Rate (Weighted Average) |
8.84 |
7.75 |
7.80 |
7.85 |
7.84 |
7.72 |
91-Day Treasury Bill (Primary) Yield |
9.06 |
7.98 |
7.98 |
8.02 |
8.10 |
8.10 |
182-Day Treasury Bill (Primary) Yield |
.. |
.. |
7.94 |
.. |
8.03 |
.. |
364-Day Treasury Bill (Primary) Yield |
8.45 |
7.88 |
.. |
7.90 |
.. |
7.88 |
10-Year Government Securities Yield |
8.28 |
7.84 |
7.83 |
7.80 |
7.91 |
7.84 |
RBI Reference Rate and Forward Premia |
|
|
|
|
|
|
INR-US$ Spot Rate ( ` Per Foreign Currency) |
50.02 |
53.57 |
53.99 |
54.43 |
54.48 |
54.40 |
INR-Euro Spot Rate (` Per Foreign Currency) |
66.18 |
71.79 |
72.09 |
71.91 |
71.27 |
71.24 |
Forward Premia of US$ 1-month |
9.96 |
7.17 |
7.11 |
7.50 |
8.48 |
8.60 |
3-month |
8.72 |
7.69 |
7.56 |
7.94 |
7.89 |
7.79 |
6-month |
7.44 |
7.13 |
7.15 |
7.28 |
7.34 |
7.13 |