1 1 |
05.05.2001 |
Press Release |
Interest Rates on Deposits - Capital Gains Accounts Scheme, 1988 |
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1 Ref. IDMC.No.4376 /03.75.00/2000-01 |
03.05.2001 |
Financial Markets Regulation Department |
Scheme of Liquidity Adjustment Facility: 2001-2002 |
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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) |
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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 |
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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) |
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1 1 |
29.03.2001 |
Press Release |
Voluntary Retirement Scheme (VRS) Expenditure - Accounting and Prudential Regulatory Treatment |
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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 |
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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) |
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1 1 |
08.03.2001 |
Tenders |
Loans and advances to staff - assignment of risk weight and treatment in the balance sheet |
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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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