No. 13 : Relative Rates of Return in Major Financial Markets - ఆర్బిఐ - Reserve Bank of India
83299284
ప్రచురించబడిన తేదీ సెప్టెంబర్ 30, 1997
No. 13 : Relative Rates of Return in Major Financial Markets
------------------------------------------------------------------------------------------------------------------------------- Item Last Week/Fortnight of Month ----------------------------------------------------------------------------------------- March 1996 March 1997 May 1997 June 1997 July 1997 ------------------------------------------------------------------------------------------------------------------------------- 1 2 3 4 5 6 ------------------------------------------------------------------------------------------------------------------------------- 1. Call Money Rate (Mumbai) 16.28 3.66 7.12 5.03 2.91 (DFHI Average Lending Rate) 2. 91-day Treasury Bills (Auction) 12.97 7.96 6.75 7.00 6.71 (Cut-off yield) 3. 364-day Treasury Bills 13.12 10.10 8.98 8.98 8.42 (Cut-off yield) 4. Certificates of Deposit 17.13 11.38 .. .. .. (Middle Rate) 5. Commercial Paper 20.15 11.88 10.85 10.00 9.63 (Middle Discount Rate) 6. Deposit Rate (1) 12.00 10.00 9.00 8.00 8.00 7. Prime Lending Rate (2) 16.50 14.50-15.00 14.00-14.50 13.50-14.50 13.50 8. Coupon Rate of GOI Securities 14.00 (4) (3) 12.69(5) 12.59(7) 10.85 (8) (Issued during the month) 12.14(6) 9. Capital Market (Ordinary Shares) a. Gross Yield (All Industries) 3.61 (9) 4.76 .. .. .. b. Change in RBI Index -3.5 1.5 -3.1(p) 9.00(p) .. (All Industries) Memo Item : Annual Inflation Rate 5.0 6.9 5.9(p) 5.6(p) 4.0(p) (WPI on Point-to-Point Basis) -------------------------------------------------------------------------------------------------------------------------------
प्ले हो रहा है
వినండి
ఈ పేజీ ఉపయోగకరంగా ఉందా?