Notifications - Foreign Exchange Management - ربی - Reserve Bank of India
notifications
جنوری 13, 2003
Retention of Proceeds of ADRs/GDRs abroad
A.P. (DIR Series) Circular No.69 (January 13, 2003)
A.P. (DIR Series) Circular No.69 (January 13, 2003)
Reserve Bank of IndiaExchange Control DepartmentCentral OfficeMumbai- 400 001January 13, 2003A.P. (DIR Series) Circular No.69 ToAll Authorised Dealers in Foreign ExchangeMadam/Sir,Retention of Proceeds of ADRs/GDRs abroad Attention of authorised dealers is invited to Clause (4) of Regulation 4 of Schedule I to Notification No.FEMA.20/2000-RB dated May 3, 2000, in terms of which, Indian companies issuing shares to overseas depository for the purpose of issuing ADRs/GDR
Reserve Bank of IndiaExchange Control DepartmentCentral OfficeMumbai- 400 001January 13, 2003A.P. (DIR Series) Circular No.69 ToAll Authorised Dealers in Foreign ExchangeMadam/Sir,Retention of Proceeds of ADRs/GDRs abroad Attention of authorised dealers is invited to Clause (4) of Regulation 4 of Schedule I to Notification No.FEMA.20/2000-RB dated May 3, 2000, in terms of which, Indian companies issuing shares to overseas depository for the purpose of issuing ADRs/GDR
جنوری 10, 2003
Foreign Exchange Management (Second Amendment) Regulations, 2003
RESERVE BANK OF INDIA EXCHANGE CONTROL DEPARTMENT CENTRAL OFFFICE MUMBAI-400 001 Notification No.FEMA.82/2003-RB Dated the January 10, 2003 Foreign Exchange Management (Borrowing or Lending in Foreign Exchange) (Second Amendment) Regulations, 2003 In exercise of the powers conferred by clause (d) of sub-section (3) of Section 6, sub-section (2) of Section 47 of the Foreign Exchange Management Act, 1999 (42 of 1999) and in partial modification of its Notification No.FE
RESERVE BANK OF INDIA EXCHANGE CONTROL DEPARTMENT CENTRAL OFFFICE MUMBAI-400 001 Notification No.FEMA.82/2003-RB Dated the January 10, 2003 Foreign Exchange Management (Borrowing or Lending in Foreign Exchange) (Second Amendment) Regulations, 2003 In exercise of the powers conferred by clause (d) of sub-section (3) of Section 6, sub-section (2) of Section 47 of the Foreign Exchange Management Act, 1999 (42 of 1999) and in partial modification of its Notification No.FE
جنوری 08, 2003
Foreign Exchange Management (Borrowing or Lending in Foreign Exchange) (Amendment) Regulations, 2003
RESERVE BANK OF INDIA EXCHANGE CONTROL DEPARTMENT CENTRAL OFFICE MUMBAI 400 001 NOTIFICATION No.FEMA. 80 /2003-RB January 8, 2003 Foreign Exchange Management (Borrowing or Lending in Foreign Exchange) (Amendment) Regulations, 2003 In exercise of the powers conferred by clause (d) of sub-section (3) of Section 6 and sub-section (2) of Section 47 of the Foreign Exchange Management Act, 1999 (42 of 1999), and in partial modification of its Notification No.FEMA.3/2000-RB
RESERVE BANK OF INDIA EXCHANGE CONTROL DEPARTMENT CENTRAL OFFICE MUMBAI 400 001 NOTIFICATION No.FEMA. 80 /2003-RB January 8, 2003 Foreign Exchange Management (Borrowing or Lending in Foreign Exchange) (Amendment) Regulations, 2003 In exercise of the powers conferred by clause (d) of sub-section (3) of Section 6 and sub-section (2) of Section 47 of the Foreign Exchange Management Act, 1999 (42 of 1999), and in partial modification of its Notification No.FEMA.3/2000-RB
جنوری 08, 2003
Foreign Exchange Management Regulations, 2003
Reserve Bank of India Exchange Control Department Central Office Mumbai-400 001 Notification No. FEMA. 81/2003-RB Dated the January 8, 2003 Foreign Exchange Management (Foreign exchange derivative contracts) (Amendment) Regulations, 2003 In exercise of the powers conferred by clause (h) of sub-section (2) of Section 47 of the Foreign Exchange Management Act, 1999 (Act 42 of 1999), and in partial modification of its Notification No. FEMA 25/RB-2000 dated May 3, 2000, t
Reserve Bank of India Exchange Control Department Central Office Mumbai-400 001 Notification No. FEMA. 81/2003-RB Dated the January 8, 2003 Foreign Exchange Management (Foreign exchange derivative contracts) (Amendment) Regulations, 2003 In exercise of the powers conferred by clause (h) of sub-section (2) of Section 47 of the Foreign Exchange Management Act, 1999 (Act 42 of 1999), and in partial modification of its Notification No. FEMA 25/RB-2000 dated May 3, 2000, t
جنوری 06, 2003
Foreign Exchange Management Act, 1999 -
Advance Remittances for Services to be Rendered
A.P. (DIR Series) Circular No.65 (January 6, 2003)
Advance Remittances for Services to be Rendered
A.P. (DIR Series) Circular No.65 (January 6, 2003)
Reserve Bank of IndiaExchange Control DepartmentCentral OfficeMumbai – 400 001A.P. (DIR Series) Circular No.65January 6, 2003ToAll Authorised Dealers in Foreign ExchangeMadam/Sirs,Foreign Exchange Management Act, 1999 –Advance Remittances for Services to be Rendered Attention of authorised dealers is invited to paragraph 5 of A.P. (DIR Series) Circular No.19 dated October 30, 2000 in terms of which authorised dealers are required to obtain a bank guarantee from a bank
Reserve Bank of IndiaExchange Control DepartmentCentral OfficeMumbai – 400 001A.P. (DIR Series) Circular No.65January 6, 2003ToAll Authorised Dealers in Foreign ExchangeMadam/Sirs,Foreign Exchange Management Act, 1999 –Advance Remittances for Services to be Rendered Attention of authorised dealers is invited to paragraph 5 of A.P. (DIR Series) Circular No.19 dated October 30, 2000 in terms of which authorised dealers are required to obtain a bank guarantee from a bank
دسمبر 24, 2002
Resident Foreign Currency (Domestic) Account -Facility for Resident Individuals
A.P.(DIR Series) Circular No.64 (December 24, 2002)
A.P.(DIR Series) Circular No.64 (December 24, 2002)
Reserve Bank of IndiaExchange Control DepartmentCentral OfficeMumbai 400 001December 24, 2002A.P.(DIR Series) Circular No.64 ToAll Authorised Dealers in Foreign ExchangeMadam/Sir,Resident Foreign Currency (Domestic) Account –Facility for Resident IndividualsAttention of authorised dealers is invited to A.P.(DIR Series) Circular No.53 dated November 23, 2002 and Notification No.FEMA.74/2002-RB dated November 1, 2002, in terms of which residents are permitted to open, h
Reserve Bank of IndiaExchange Control DepartmentCentral OfficeMumbai 400 001December 24, 2002A.P.(DIR Series) Circular No.64 ToAll Authorised Dealers in Foreign ExchangeMadam/Sir,Resident Foreign Currency (Domestic) Account –Facility for Resident IndividualsAttention of authorised dealers is invited to A.P.(DIR Series) Circular No.53 dated November 23, 2002 and Notification No.FEMA.74/2002-RB dated November 1, 2002, in terms of which residents are permitted to open, h
دسمبر 21, 2002
Risk Management and Inter Bank Dealings
A.P.(DIR Series) Circular No.63 (December 21, 2002)
A.P.(DIR Series) Circular No.63 (December 21, 2002)
Reserve Bank of IndiaExchange Control DepartmentCentral OfficeMumbai-400 001December 21, 2002A.P.(DIR Series) Circular No.63ToAll Authorised Dealers in Foreign ExchangeMadam/Sir,Risk Management and Inter Bank Dealings Attention of Authorised dealers is invited to A.P.(DIR Series) Circular No.19 dated January 24, 2002 and subsequent amendments referred to in the following paragraphs. It has been decided to permit the following further relaxations: 1. Foreign currency-r
Reserve Bank of IndiaExchange Control DepartmentCentral OfficeMumbai-400 001December 21, 2002A.P.(DIR Series) Circular No.63ToAll Authorised Dealers in Foreign ExchangeMadam/Sir,Risk Management and Inter Bank Dealings Attention of Authorised dealers is invited to A.P.(DIR Series) Circular No.19 dated January 24, 2002 and subsequent amendments referred to in the following paragraphs. It has been decided to permit the following further relaxations: 1. Foreign currency-r
دسمبر 17, 2002
Exchange Earners' Foreign Currency (EEFC) Account Scheme
A.P. (DIR Series) Circular No.62 (December 17, 2002)
A.P. (DIR Series) Circular No.62 (December 17, 2002)
Reserve Bank of IndiaExchange Control DepartmentCentral OfficeMumbai - 400 001December 17, 2002A.P. (DIR Series) Circular No.62ToAll Authorised Dealers in Foreign ExchangeMadam/Sirs,Exchange Earners' Foreign Currency (EEFC) Account Scheme Attention of authorised dealers is invited to sub-paragraph No.1(A)(ii) of the Schedule to the Reserve Bank Notification No.FEMA 10/2000-RB dated 3rd May 2000 as amended from time to time, in terms of which payments received in forei
Reserve Bank of IndiaExchange Control DepartmentCentral OfficeMumbai - 400 001December 17, 2002A.P. (DIR Series) Circular No.62ToAll Authorised Dealers in Foreign ExchangeMadam/Sirs,Exchange Earners' Foreign Currency (EEFC) Account Scheme Attention of authorised dealers is invited to sub-paragraph No.1(A)(ii) of the Schedule to the Reserve Bank Notification No.FEMA 10/2000-RB dated 3rd May 2000 as amended from time to time, in terms of which payments received in forei
دسمبر 14, 2002
"Write-off" of unrealised export bills-Surrender of export incentives
A.P.(DIR Series) Circular No.61(December 14, 2002)
A.P.(DIR Series) Circular No.61(December 14, 2002)
Reserve Bank of IndiaExchange Control DepartmentCentral OfficeMumbai-400 001 December 14, 2002A.P.(DIR Series) Circular No.61ToAll Authorised Dealers in Foreign ExchangeMadam/Sirs,"Write-off" of unrealised export bills-Surrender of export incentivesAttention of authorised dealers is invited to paragraph C.18 of A.P (DIR Series) Circular No.12 dated September 9, 2000 in terms of which they have been permitted to allow "write-off" of unrealised export dues and A.P. (DIR
Reserve Bank of IndiaExchange Control DepartmentCentral OfficeMumbai-400 001 December 14, 2002A.P.(DIR Series) Circular No.61ToAll Authorised Dealers in Foreign ExchangeMadam/Sirs,"Write-off" of unrealised export bills-Surrender of export incentivesAttention of authorised dealers is invited to paragraph C.18 of A.P (DIR Series) Circular No.12 dated September 9, 2000 in terms of which they have been permitted to allow "write-off" of unrealised export dues and A.P. (DIR
دسمبر 10, 2002
Full convertibility of Deposit Schemes -
NRNR/NRSR Accounts- Clarifications
A.P. (DIR Series) Circular No.60 (Dec 10, 2002)
NRNR/NRSR Accounts- Clarifications
A.P. (DIR Series) Circular No.60 (Dec 10, 2002)
Reserve Bank of IndiaExchange Control DepartmentCentral OfficeMumbai-400 001A.P. (DIR Series) Circular No.60December 10, 2002ToAll Authorised Dealers in Foreign ExchangeMadam/Sirs,Full convertibility of Deposit Schemes – NRNR/NRSR Accounts- Clarifications Attention of authorised dealers is invited to A.P(DIR Series) Circular No.28 dated March 4, 2002 and clarifications issued from time to time on the subject.2. Our clarifications to the queries from authorised dealers
Reserve Bank of IndiaExchange Control DepartmentCentral OfficeMumbai-400 001A.P. (DIR Series) Circular No.60December 10, 2002ToAll Authorised Dealers in Foreign ExchangeMadam/Sirs,Full convertibility of Deposit Schemes – NRNR/NRSR Accounts- Clarifications Attention of authorised dealers is invited to A.P(DIR Series) Circular No.28 dated March 4, 2002 and clarifications issued from time to time on the subject.2. Our clarifications to the queries from authorised dealers
صفحے پر آخری اپ ڈیٹ: نومبر 18, 2024