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சொத்து வெளியீட்டாளர்

Ratio and Rates
82685251

Ratio and Rates

(Per cent)

Item/Week Ended

2012

2013

May 11

Apr. 12

Apr. 19

Apr. 26

May 3

May 10

1

2

3

4

5

6

Ratios

 

 

 

 

 

 

Cash Reserve Ratio

4.75

4.00

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

..

..

5.11

..

4.82

..

Credit-Deposit Ratio

..

..

77.36

..

77.59

..

Incremental Credit-Deposit Ratio

..

..

31.13

..

59.06

..

Investment-Deposit Ratio

..

..

29.56

..

29.61

..

Incremental Investment-Deposit Ratio

..

..

17.33

..

24.42

..

Rates

 

 

 

 

 

 

Policy Repo Rate

8.00

7.50

7.50

7.50

7.25

7.25

Reverse Repo Rate

7.00

6.50

6.50

6.50

6.25

6.25

Marginal Standing Facility (MSF) Rate

9.00

8.50

8.50

8.50

8.25

8.25

Bank Rate

9.00

8.50

8.50

8.50

8.25

8.25

Base Rate

9.75/10.50

9.70/10.25

9.70/10.25

9.70/10.25

9.70/10.25

9.70/10.25

Term Deposit Rate >1 Year

8.00/9.25

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)

8.37

7.59

7.52

7.57

7.56

7.30

91-Day Treasury Bill (Primary) Yield

8.44

7.81

7.73

7.64

7.56

7.48

182-Day Treasury Bill (Primary) Yield

8.42

7.79

..

7.64

..

7.49

364-Day Treasury Bill (Primary) Yield

..

..

7.58

..

7.48

..

10-Year Government Securities Yield

8.56

7.87

7.78

7.74

7.74

7.59

RBI Reference Rate and Forward Premia

 

 

 

 

 

 

INR-US$ Spot Rate ( ` Per Foreign Currency)

53.64

54.44

54.03

54.29

53.95

54.54

INR-Euro Spot Rate ( ` Per Foreign Currency)

69.29

71.33

70.49

70.68

70.50

71.11

Forward Premia of US$ 1-month

7.61

7.60

7.33

7.29

7.23

7.04

                                  3-month

7.08

7.53

7.33

7.22

7.12

6.89

                                  6-month

6.19

7.26

7.00

6.93

6.86

6.53

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