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جولائی 31, 2021
Scheduled Banks’ Statement of Position in India as on Friday, July 16, 2021
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 17-Jul-20 02-JUL-2021 * 16-JUL-2021 * 17-Jul-20 02-JUL-2021 * 16-JUL-2021 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 244532.1 176773.24 187199.48 249682.48 181043.68 191490.20 ** b) Borrowings from banks 57779.84 39950.6 42428.08 57779.84 40424.24 42428.1 c) Other demand & time liabilities 15384.65 17473.53 17810.01 15541.58 17710.67 1
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 17-Jul-20 02-JUL-2021 * 16-JUL-2021 * 17-Jul-20 02-JUL-2021 * 16-JUL-2021 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 244532.1 176773.24 187199.48 249682.48 181043.68 191490.20 ** b) Borrowings from banks 57779.84 39950.6 42428.08 57779.84 40424.24 42428.1 c) Other demand & time liabilities 15384.65 17473.53 17810.01 15541.58 17710.67 1
جولائی 30, 2021
Lending and Deposit Rates of Scheduled Commercial Banks for the month of July 2021
The Reserve Bank of India has today released Lending and Deposit Rates of Scheduled Commercial Bank based on data received during the month of July 2021. Rupambara Director Press Release: 2021-2022/613
The Reserve Bank of India has today released Lending and Deposit Rates of Scheduled Commercial Bank based on data received during the month of July 2021. Rupambara Director Press Release: 2021-2022/613
جولائی 15, 2021
Scheduled Banks’ Statement of Position in India as at the close of business on Friday, July 02, 2021, with comparative position of Friday of preceding fortnight and corresponding Friday of the previous year
(Amount in crores of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 03-Jul-20 18-JUN-2021 * 02-JUL-2021 * 03-Jul-20 18-JUN-2021 * 02-JUL-2021 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 243942.69 185044.24 176450.76 249039.16 189393.8 180721.20 ** b) Borrowings from banks 55601.14 40629.42 39969.52 55608.52 41034.32 40443.16 c) Other demand & time liabilities 15350.33 18230.62 17473.03 15509.44 18473.5
(Amount in crores of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 03-Jul-20 18-JUN-2021 * 02-JUL-2021 * 03-Jul-20 18-JUN-2021 * 02-JUL-2021 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 243942.69 185044.24 176450.76 249039.16 189393.8 180721.20 ** b) Borrowings from banks 55601.14 40629.42 39969.52 55608.52 41034.32 40443.16 c) Other demand & time liabilities 15350.33 18230.62 17473.03 15509.44 18473.5
جولائی 02, 2021
Scheduled Banks’ Statement of Position in India as on Friday, June 18, 2021
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs) ALL SCHEDULED BANKS 19-Jun-20 04-JUN-2021* 18-JUN-2021* 19-Jun-20 04-JUN-2021* 18-JUN-2021* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 248891.91 174658.78 185044.24 254127.85 179080.37 189393.80 ** b) Borrowings from banks 57419.95 40075.25 40806.64 57419.95 40293.19 41211.54 c) Other demand & time liabilities 16653.99 17954.19 18550.77 16810.59 18196.99 18793.65 II
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs) ALL SCHEDULED BANKS 19-Jun-20 04-JUN-2021* 18-JUN-2021* 19-Jun-20 04-JUN-2021* 18-JUN-2021* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 248891.91 174658.78 185044.24 254127.85 179080.37 189393.80 ** b) Borrowings from banks 57419.95 40075.25 40806.64 57419.95 40293.19 41211.54 c) Other demand & time liabilities 16653.99 17954.19 18550.77 16810.59 18196.99 18793.65 II
جون 30, 2021
Marginal Cost of Funds Based Lending Rate (MCLR) for the month June 2021
The Reserve Bank of India has today released Lending Rates of Scheduled Commercial Banks based on data received during the month of June 2021. Ajit Prasad Director Press Release: 2021-2022/452
The Reserve Bank of India has today released Lending Rates of Scheduled Commercial Banks based on data received during the month of June 2021. Ajit Prasad Director Press Release: 2021-2022/452
جون 28, 2021
Financial Action Task Force (FATF) High risk and other monitored jurisdictions - June 25, 2021

The Financial Action Task Force (FATF), vide public document ‘High-Risk Jurisdictions subject to a Call for Action’ dated June 25, 2021, has called on its members and other jurisdictions to refer to the statement on these jurisdictions adopted in February 2020. FATF had earlier identified the following jurisdictions as having strategic deficiencies which have developed an action plan with the FATF to deal with them. These jurisdictions are: Albania, Barbados, Botswana

The Financial Action Task Force (FATF), vide public document ‘High-Risk Jurisdictions subject to a Call for Action’ dated June 25, 2021, has called on its members and other jurisdictions to refer to the statement on these jurisdictions adopted in February 2020. FATF had earlier identified the following jurisdictions as having strategic deficiencies which have developed an action plan with the FATF to deal with them. These jurisdictions are: Albania, Barbados, Botswana

جون 21, 2021
Scheduled Banks’ Statement of Position in India as on Friday, June 04, 2021
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs) ALL SCHEDULED BANKS 05-Jun-20 21-MAY-2021* 04-JUN-2021* 05-Jun-20 21-MAY-2021* 04-JUN-2021* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 249628.49 164248.8 174658.78 254887.19 168730.41 179080.37** b) Borrowings from banks 57788.4 53540.7 40077 57829.63 53547.95 40294.94 c) Other demand & time liabilities 15720.18 20028.07 17997.71 15881.23 20270.22 18240.51 II LIABIL
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs) ALL SCHEDULED BANKS 05-Jun-20 21-MAY-2021* 04-JUN-2021* 05-Jun-20 21-MAY-2021* 04-JUN-2021* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 249628.49 164248.8 174658.78 254887.19 168730.41 179080.37** b) Borrowings from banks 57788.4 53540.7 40077 57829.63 53547.95 40294.94 c) Other demand & time liabilities 15720.18 20028.07 17997.71 15881.23 20270.22 18240.51 II LIABIL
جون 18, 2021
RBI grants “In-principle” approval to Centrum Financial Services Limited to set up a Small Finance Bank
The Reserve Bank of India (RBI) has today decided to grant “in-principle” approval to Centrum Financial Services Limited (the applicant) to set up a small finance bank under general “Guidelines for ‘on tap’ Licensing of Small Finance Banks in the Private Sector” dated December 5, 2019. The RBI would consider granting a licence for commencement of banking business under Section 22 (1) of the Banking Regulation Act, 1949, on being satisfied that the applicant has compli
The Reserve Bank of India (RBI) has today decided to grant “in-principle” approval to Centrum Financial Services Limited (the applicant) to set up a small finance bank under general “Guidelines for ‘on tap’ Licensing of Small Finance Banks in the Private Sector” dated December 5, 2019. The RBI would consider granting a licence for commencement of banking business under Section 22 (1) of the Banking Regulation Act, 1949, on being satisfied that the applicant has compli
جون 14, 2021
Extension of time to give feedback and Suggestions to the Group of Advisors to Regulations Review Authority 2.0
The Reserve Bank of India has set up a Regulations Review Authority (RRA 2.0), initially for a period of one year from May 01, 2021, vide press release dated April 15, 2021. 2. A Group of Advisors (GoA) to assist RRA was also constituted on May 07, 2021. To undertake its preparatory work, the Group has invited feedback and suggestions from all regulated entities, industry bodies and other stakeholders. The last date for sending the suggestion and feedback to the Group
The Reserve Bank of India has set up a Regulations Review Authority (RRA 2.0), initially for a period of one year from May 01, 2021, vide press release dated April 15, 2021. 2. A Group of Advisors (GoA) to assist RRA was also constituted on May 07, 2021. To undertake its preparatory work, the Group has invited feedback and suggestions from all regulated entities, industry bodies and other stakeholders. The last date for sending the suggestion and feedback to the Group
جون 04, 2021
Scheduled Banks’ Statement of Position in India as on Friday, May 21, 2021
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 22-May-20 07-MAY-2021 * 21-MAY-2021 * 22-May-20 07-MAY-2021 * 21-MAY-2021 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 254678.06 174611.37 173435.07 260015.56 179158.96 177916.68 ** b) Borrowings from banks 67207.21 68178.13 46076.96 67247.21 68274.56 46084.21 c) Other demand & time liabilities 17410.68 18624.34 18270.47 17564.2 18895.45
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 22-May-20 07-MAY-2021 * 21-MAY-2021 * 22-May-20 07-MAY-2021 * 21-MAY-2021 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 254678.06 174611.37 173435.07 260015.56 179158.96 177916.68 ** b) Borrowings from banks 67207.21 68178.13 46076.96 67247.21 68274.56 46084.21 c) Other demand & time liabilities 17410.68 18624.34 18270.47 17564.2 18895.45

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