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جون 13, 2025
Auction of 91-day, 182-day and 364-day Treasury Bills

Reserve Bank of India announces the auction of Government of India Treasury Bills as per the following details: Sr. No. Treasury Bill Notified Amount (in ₹ Crore) Auction Date Settlement Date 1 91-Day 9,000 June 18, 2025 (Wednesday) June 19, 2025 (Thursday) 2 182-Day 5,000 3 364-Day 5,000 Total 19,000

Reserve Bank of India announces the auction of Government of India Treasury Bills as per the following details: Sr. No. Treasury Bill Notified Amount (in ₹ Crore) Auction Date Settlement Date 1 91-Day 9,000 June 18, 2025 (Wednesday) June 19, 2025 (Thursday) 2 182-Day 5,000 3 364-Day 5,000 Total 19,000

جون 13, 2025
RBI approves the voluntary amalgamation of The Dhinoj Nagrik Sahakari Bank Ltd., Dhinoj, Gujarat with Akhand Anand Co-operative Bank Ltd., Surat, Gujarat

The Reserve Bank of India, in exercise of the powers conferred under sub-section (4) of Section 44A read with Section 56 of the Banking Regulation Act, 1949, has sanctioned the Scheme of Amalgamation of The Dhinoj Nagrik Sahakari Bank Ltd., Dhinoj, Gujarat with Akhand Anand Co-operative Bank Ltd., Surat, Gujarat.

The Reserve Bank of India, in exercise of the powers conferred under sub-section (4) of Section 44A read with Section 56 of the Banking Regulation Act, 1949, has sanctioned the Scheme of Amalgamation of The Dhinoj Nagrik Sahakari Bank Ltd., Dhinoj, Gujarat with Akhand Anand Co-operative Bank Ltd., Surat, Gujarat.

جون 13, 2025
Reserve Bank of India – Bulletin Weekly Statistical Supplement – Extract

1. Reserve Bank of India - Liabilities and Assets* (₹ Crore) Item 2024 2025 Variation June 07 May 30 June 06 Week Year 1 2 3 4 5 4 Loans and Advances 4.1 Central Government - 0 0 0 0 4.2 State Governments 28204 27482 30444 2962 2240 * Data are provisional; difference, if any, is due to rounding off.

1. Reserve Bank of India - Liabilities and Assets* (₹ Crore) Item 2024 2025 Variation June 07 May 30 June 06 Week Year 1 2 3 4 5 4 Loans and Advances 4.1 Central Government - 0 0 0 0 4.2 State Governments 28204 27482 30444 2962 2240 * Data are provisional; difference, if any, is due to rounding off.

جون 13, 2025
Government Stock - Full Auction Results

Auction Results 6.79% GS 2031 6.98% GOI SGrB 2054 7.09% GS 2074 I. Notified Amount ₹11,000 crore ₹5,000 crore ₹14,000 crore II. Underwriting Notified Amount ₹11,000 crore ₹5,000 crore ₹14,000 crore III. Competitive Bids Received (i) Number 178 90 216 (ii) Amount ₹27911.277 Crore ₹10943.500 Crore ₹38498.000 Crore IV. Cut-off price / Yield 102.84 NA 99.33

Auction Results 6.79% GS 2031 6.98% GOI SGrB 2054 7.09% GS 2074 I. Notified Amount ₹11,000 crore ₹5,000 crore ₹14,000 crore II. Underwriting Notified Amount ₹11,000 crore ₹5,000 crore ₹14,000 crore III. Competitive Bids Received (i) Number 178 90 216 (ii) Amount ₹27911.277 Crore ₹10943.500 Crore ₹38498.000 Crore IV. Cut-off price / Yield 102.84 NA 99.33

جون 13, 2025
Government Stock - Auction Results: Cut-off

6.79% GS 2031 6.98% GOI SGrB 2054 7.09% GS 2074 I. Notified Amount ₹11,000 crore ₹5,000 crore ₹14,000 crore II. Cut off Price (₹) / Implicit Yield at cut-off 102.84/6.2535% - 99.33/7.1389% III. Amount accepted in the auction ₹11,000 crore NIL ₹14,000 crore IV. Devolvement on Primary Dealers NIL NIL NIL

6.79% GS 2031 6.98% GOI SGrB 2054 7.09% GS 2074 I. Notified Amount ₹11,000 crore ₹5,000 crore ₹14,000 crore II. Cut off Price (₹) / Implicit Yield at cut-off 102.84/6.2535% - 99.33/7.1389% III. Amount accepted in the auction ₹11,000 crore NIL ₹14,000 crore IV. Devolvement on Primary Dealers NIL NIL NIL

جون 13, 2025
Result of Underwriting Auction conducted on June 13, 2025

In the underwriting auction conducted on June 13, 2025, for Additional Competitive Underwriting (ACU) of the undernoted Government securities, the Reserve Bank of India has set the cut-off rates for underwriting commission payable to Primary Dealers as given below: Nomenclature of the Security Notified Amount (₹ crore) Minimum Underwriting Commitment (MUC) Amount (₹ crore) Additional Competitive Underwriting Amount Accepted (₹ crore) Total Amount underwritten (₹ crore) ACU Commission Cut-off rate (paise per ₹100)

In the underwriting auction conducted on June 13, 2025, for Additional Competitive Underwriting (ACU) of the undernoted Government securities, the Reserve Bank of India has set the cut-off rates for underwriting commission payable to Primary Dealers as given below: Nomenclature of the Security Notified Amount (₹ crore) Minimum Underwriting Commitment (MUC) Amount (₹ crore) Additional Competitive Underwriting Amount Accepted (₹ crore) Total Amount underwritten (₹ crore) ACU Commission Cut-off rate (paise per ₹100)

جون 13, 2025
Money Market Operations as on June 12, 2025

(Amount in ₹ Crore, Rate in Per cent) MONEY MARKETS@ Volume (One Leg) Weighted Average Rate Range A. Overnight Segment (I+II+III+IV) 6,31,349.23 5.16 2.00-6.55 I. Call Money 15,397.47 5.29 4.35-5.36 II. Triparty Repo 4,16,931.50 5.20 4.75-5.29 III. Market Repo 1,96,954.26 5.07 2.00-5.50 IV. Repo in Corporate Bond 2,066.00 5.39 5.35-6.55

(Amount in ₹ Crore, Rate in Per cent) MONEY MARKETS@ Volume (One Leg) Weighted Average Rate Range A. Overnight Segment (I+II+III+IV) 6,31,349.23 5.16 2.00-6.55 I. Call Money 15,397.47 5.29 4.35-5.36 II. Triparty Repo 4,16,931.50 5.20 4.75-5.29 III. Market Repo 1,96,954.26 5.07 2.00-5.50 IV. Repo in Corporate Bond 2,066.00 5.39 5.35-6.55

جون 12, 2025
14-day Main Operation under Liquidity Management Framework

On a review of the current and evolving liquidity conditions, it has been decided not to conduct the 14-day main operation on Friday, June 13, 2025, for the upcoming fortnight.

On a review of the current and evolving liquidity conditions, it has been decided not to conduct the 14-day main operation on Friday, June 13, 2025, for the upcoming fortnight.

جون 12, 2025
Scheduled Banks’ Statement of Position in India as on Friday, May 30, 2025

(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 31-May-2024 16-May-2025* 30-May-2025* 31-May-2024 16-May-2025* 30-May-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 283850.22 356142.91 365140.08 287722.27 362130.00 370999.12** b) Borrowings from banks 163095.32 112740.77 110567.25 162607.11 112743.77 110589.25 c) Other demand & time liabilities 76511.12 24239.07 25102.81 76730.29 24626.53 25497.28

(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 31-May-2024 16-May-2025* 30-May-2025* 31-May-2024 16-May-2025* 30-May-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 283850.22 356142.91 365140.08 287722.27 362130.00 370999.12** b) Borrowings from banks 163095.32 112740.77 110567.25 162607.11 112743.77 110589.25 c) Other demand & time liabilities 76511.12 24239.07 25102.81 76730.29 24626.53 25497.28

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صفحے پر آخری اپ ڈیٹ: ستمبر 25, 2025

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