RBI/2004-2005/251 IDMD.OMO No. 08 /03.75.00/2004-05 |
27.10.2004 |
Internal Debt Management Department |
Liquidity Adjustment Facility - Revised Scheme |
All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers |
RBI/2004-2005/236 RPCD.PLNFS.BC.No. 43 /06.02.31/2004-05 |
26.10.2004 |
Rural Planning and Credit Department |
Banks' Investments in Securitised Assets to be treated as Direct Lending to SSI Sector |
The Chairman/Managing Director All Scheduled Commercial Banks (Including RRBs & Local Area Banks) |
RBI/2004-2005/246 IDMD.OMO.No. 07 /03.75.00/2004-05 |
26.10.2004 |
Internal Debt Management Department |
Revised Liquidity Adjustment Facility |
All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers |
RBI/2004-2005/197 IDMD.OMO.No. 04 /03.75.00/2004-05 |
30.09.2004 |
Financial Markets Regulation Department |
Liquidity Adjustment Facility - International Usage of terms 'Repo' and Reverse Repo' |
All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers |
RBI/2004-2005/191 RPCD.PLNFS.BC. No. 36 / 09.04.01 /2004-2005 |
24.09.2004 |
Rural Planning and Credit Department |
Revised Target under PMRY for 2004-05 |
The Chairman/ Managing Director All Indian Scheduled Commercial Banks (Excluding RRBs) |
FEMA.111/2000-RB FEMA.111/2000-RB |
01.09.2004 |
Foreign Exchange Department |
Foreign Exchange Management (Transfer or Issue of Security by a Person Resident outside India) (Amendment) Regulations, 2004 |
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RBI/2004-2005/13 MPD. No.252/07.01.279/2004-05 |
03.07.2004 |
Monetary Policy Department |
Master Circular on Export Credit Refinance Facility |
The Chairmen/Chief Executives of all Scheduled Banks (excluding RRBs) |
RBI/2004-2005/14 MPD. No.253 /07.01.279/2004-05 |
03.07.2004 |
Monetary Policy Department |
Master Circular on Call/Notice Money Market Operations |
The Chairmen/Chief Executives of all Scheduled Commercial Banks (excluding RRBs) / Co-operative Banks / Primary Dealers/ Financial Institutions/ Insurance Companies/ Mutual Funds |
RBI/2004-2005/10 MPD. 251/07.01.279/2004-05 |
01.07.2004 |
Monetary Policy Department |
Master Circular on Guidelines for Issue of Commercial Paper |
The Chairmen/Chief Executives of All Scheduled Banks, Primary Dealers and All-India Financial Institutions |
RBI/2004/171 DGBA/CDD/13-01-299/ H-6104 /2003-04 |
21.04.2004 |
Department of Government and Bank Accounts |
Master Circular on Rates of Brokerage etc. for Relief / Savings Bonds |
All Treasury Offices in India |