Index to RBI Circulars - RBI - Reserve Bank of India
Index to RBI Circulars
Circular Number | Date Of Issue | Department | Subject | Meant For |
---|---|---|---|---|
Annual Policy 2007. | 31.01.2007 | Monetary Policy Department | Third Quarter Review of Annual Monetary Policy for the Year 2006-07 | |
RBI/2006-2007/164 REF.No.MPD.BC. 287/07.01.279/2006-07 | 31.10.2006 | Monetary Policy Department | Standing Liquidity Facilities for Banks and Primary Dealers | All Scheduled Banks [excluding Regional Rural Banks (RRBs)] and Primary Dealers |
Mid-term Review Annual Policy 2007 | 31.10.2006 | Monetary Policy Department | Mid-term Review of Annual Policy for the Year 2006-07 | |
RBI/2006-2007/146 Ref. No. MPD.BC. 285/07.01.279/2006-07 | 11.10.2006 | Monetary Policy Department | Interest Rate Ceiling on Rupee Export Credit | All Scheduled Commercial Banks |
RBI/2006-2007/108 A. P. (DIR Series) Circular No. 05 | 16.08.2006 | Monetary Policy Department | NRIs/PIOs to use banking channels for purchase of immovable property | All Category - I Authorised Dealer Banks |
RBI/2006-2007/085 REF.No.MPD.BC. 284 /07.01.279/2006-07 | 25.07.2006 | Monetary Policy Department | Standing Liquidity Facilities for Banks and Primary Dealers | All Scheduled Banks [excluding Regional Rural Banks (RRBs) and Primary Dealers |
Annual Policy 2007 | 25.07.2006 | Monetary Policy Department | First Quarter Review of Annual Monetary Policy for the Year 2006-07 | |
RBI/2006-2007/069 Ref. FMD. No.8./02.06.001/2006-07 | 13.07.2006 | 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 |
RBI/2006-2007/063 Ref. MPD. No. 282/07.01.279/2006-07 | 12.07.2006 | Monetary Policy Department | Master Circular on Export Credit Refinance Facility | The Chairmen/Chief Executives of all Scheduled Banks (excluding RRBs) |
RBI/2005-2006/405 REF.No.MPD.BC. 281 /07.01.279/2005-06 | 09.06.2006 | Monetary Policy Department | Standing Liquidity Facilities for Banks and Primary Dealers | All Scheduled Banks [excluding Regional Rural Banks (RRBs)] and Primary Dealers |
RBI/2005-2006/403 FMD.MOAG. No. 5/.01.01.01/2005-06 | 08.06.2006 | Monetary Policy Department | Liquidity Adjustment Facility - Repo and Reverse Repo Rates | All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers |
RBI/2005-2006/374 Ref. No. MPD.BC.280/07.01.279/2005-06 | 24.04.2006 | Monetary Policy Department | Interest Rate Ceiling on Rupee Export Credit | All Scheduled Commercial Banks |
Annual Policy 2006-07 | 18.04.2006 | Monetary Policy Department | Annual Policy Statement for the Year 2006-07 by Dr. Y. Venugopal Reddy, Governor, Reserve Bank of India | |
RBI/2005-2006/299 FMD.MOAG.No.4 /01.01.01/2005-06 | 10.02.2006 | Monetary Policy Department | Liquidity Adjustment Facility - Modifications | All Scheduled Commercial Bank (excluding RRBs) and Primary Dealers |
RBI/2005-2006/284 FMD.No. 311/.01.01.01/2005-06 | 24.01.2006 | Monetary Policy Department | Liquidity Adjustment Facility - Repo and Reverse Repo Rates | All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers |
RBI/2005-2006/287 REF.No.MPD.BC. 278 /07.01.279/2005-06 | 24.01.2006 | Monetary Policy Department | Standing Liquidity Facilities for Banks and Primary Dealers | All Scheduled Banks [excluding Regional Rural Banks (RRBs)] and Primary Dealers |
fer45t | 25.11.2005 | Monetary Policy Department | Tender Form for Overnight Repo Auction | |
jeiow908 | 25.11.2005 | Monetary Policy Department | Tender Form for Fixed - Rate Overnight Reverse Repo Auction | |
RBI/2005-2006/221 FMD.No. 2 /01.01.01/2005-06 | 25.11.2005 | Monetary Policy Department | Second Liquidity Adjustment Facility | All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers |
ertger45r34 | 25.11.2005 | Monetary Policy Department | Scheme | |
RBI/2005-2006/194 Ref.No.MPD.BC.276/07.01.279/2005-06 | 28.10.2005 | Monetary Policy Department | Interest Rate Ceiling on Rupee Export Credit | All Scheduled Commercial Banks |
RBI/2005-2006/192 REF:No.MPD.BC.275/07.01.279/2005-06 | 25.10.2005 | Monetary Policy Department | Standing Liquidity Facilities for Banks and Primary Dealers (PDs) | All Scheduled Banks (excluding Regional Rural Banks (RRBs)) and Primary Dealers |
Mid-Term | 25.10.2005 | Monetary Policy Department | Statement by Dr. Y. Venugopal Reddy, Governor, Reserve Bank of India on the Mid-term Review of Annual Policy for the year 2005-06 | |
RBI/2005-2006/189 FMD.No.1 /01.01.01/2005-06 | 25.10.2005 | Monetary Policy Department | Liquidity Adjustment Facility - Repo and Reverse Repo Rates | All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers |
trhdgb | 14.07.2005 | Industrial Export and Credit Department | Tender for Non - Competitive Bids | |
RBI/2005-2006/15 Ref. MPD. No.270/07.01.279/2005-06 | 01.07.2005 | Monetary Policy Department | Master Circular on Export Credit Refinance Facility | The Chairmen/Chief Executives of all Scheduled Banks (excluding RRBs) |
RBI/2005-2006/17 Ref.No. MPD. 272/07.01.279/2005-06 | 01.07.2005 | 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/2005-2006/14 Ref. MPD. No.269/07.01.279/2005-06 | 01.07.2005 | 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/2005-2006/16 Ref.No. MPD 271/07.01.279/2005-06 | 01.07.2005 | Monetary Policy Department | Master Circular on Guidelines for Issue of Certificates of Deposit | The Chairmen/Chief Executives of All Scheduled Banks (excluding RRBs and LABs) and All-India Term Lending and Refinancing Institutions |
dfvdrf | 02.06.2005 | Industrial Export and Credit Department | GOI Notification | |
RBI/2004-2005/478 Ref.No.MPD.BC. 268 /07.01.279/2004-05 | 21.05.2005 | Monetary Policy Department | Information on Interest Rates | All scheduled commercial banks |
RBI/2004-2005/445 REF: No. MPD. BC.266/07.01.279/ 2004-05 | 29.04.2005 | Monetary Policy Department | Participation in Call/Notice Money Market | All-India Financial Institutions, Insurance Companies and select Mutual Funds |
RBI/2004-2005/442 Ref No. MPD.BC.264 /07.01.279/2004-05 | 29.04.2005 | Monetary Policy Department | Interest Rate Ceiling on Rupee Export Credit | All Scheduled Commercial Banks |
RBI/2004-2005/444 REF: No. MPD. BC.265/07.01.279/ 2004-05 | 29.04.2005 | Monetary Policy Department | Call/Notice Money Market - Review of Benchmark | All Scheduled Commercial Banks (excluding Regional Rural Banks) |
RBI/2004-2005/446 REF: No. MPD. BC.267 /07.01.279/ 2004-05 | 29.04.2005 | Monetary Policy Department | Reporting of Term Money Transactions on NDS Platform | All Scheduled Banks, Primary Dealers and select Financial Institutions |
RBI/2004-2005/440 Ref.No. MPD.263 /07.01.279/2004-05 | 28.04.2005 | Monetary Policy Department | Certificates of Deposit | The Chairmen/Chief Executives of All Scheduled Commercial Banks (excluding RRBs and LABs) |
RBI/2004-2005/422 REF: NO. MPD.BC. 261/07.01.279/2004-05 | 13.04.2005 | Monetary Policy Department | Reporting of Commercial Paper (CP) Issuance on NDS Platform | All Scheduled Banks |
RBI/2004-2005/384 MPD.No.2524/09.01.01(FC)/2004-05 | 03.03.2005 | Monetary Policy Department | Credit for Procurement of Foodgrains - Rabi 2005 Season | All The Principal Secretaries of the State Governments/Union Territories. (as per list attached). |
RBI/2004-2005/295 REF: No. MPD. BC. 260/07.01.279/ 2004-05 | 10.12.2004 | Monetary Policy Department | Reporting of Call/Notice Money Market Transactions | All Scheduled Commercial Banks (excluding Regional Rural Banks)/ Co-operative Banks/ Primary Dealers/ select Financial Institutions/ Insurance Companies/ Mutual Funds |
RBI/2004-2005/243 Ref.No. MPD. 258/07.01.279/2004-05 | 26.10.2004 | Monetary Policy Department | Guidelines for Issue of Commercial Paper | The Chairmen/Chief Executives of All Scheduled Banks, Primary Dealers and All-India Financial Institutions |
RBI/2004-2005/245 REF: No. MPD. BC.259/07.01.279/ 2004-05 | 26.10.2004 | Monetary Policy Department | Moving Towards Pure Inter-Bank Call/Notice Money Market | All-India Financial Institutions, Insurance Companies and select Mutual Funds |
RBI/2004-2005/117 MPD.No. 218 /09.01.01(FC)/2004-05 | 13.08.2004 | Monetary Policy Department | Credit for Procurement of Foodgrains - Kharif 2004-05 Season | All The Principal Secretaries of the State Governments/Union Territories |
RBI/2004-2005/101 MPD.No. 255 /07.01.279/2004-05 | 06.08.2004 | Monetary Policy Department | Merger of functions of erstwhile Industrial and Export Credit Department of Reserve Bank of India with Monetary Policy Department | Chairman and Managing Directors/Chief Executive Officers of All Commercial Banks / Financial Institutions |
RBI/2004-2005/38 MPD. No.254/07.01.279/2004-05 | 12.07.2004 | Monetary Policy Department | Master Circular on Guidelines for Issue of Certificates of Deposit | The Chairmen/Chief Executives of all Scheduled Banks (excluding RRBs and LABs) |
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/2004-2005/13 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/2004-2005/10 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/2004/274 IECD.No.14/01.01.43/2003-04 | 30.06.2004 | Industrial Export and Credit Department | Merger of functions of Industrial and Export Credit Department of Reserve Bank of India with its other Departments | The Chairman and Managing Directors/ Chief Executive Officers of All Commercial Banks / Financial Institutions |
RBI/2004/273 Ref:IECD.5615/09.01.01/2003-04 | 30.06.2004 | Industrial Export and Credit Department | Food Credit Arrangements | To All the State Governments and Union Territories (as per list attached) |
RBI/2004/206 MPD. BC.250/07.01.279/ 2003-04 | 25.05.2004 | Monetary Policy Department | Moving Towards Pure Inter-Bank Call/Notice Money Market | All-India Financial Institutions, Insurance Companies and select Mutual Funds |
RBI/2004/203 IECD No. 12 /04.02.02/Gold Card/2003-04 | 18.05.2004 | Industrial Export and Credit Department | Gold Card Scheme for exporters | All Scheduled Commercial Banks |
RBI/2004/204 IECD No.13 /04.02.01/2003-04 | 18.05.2004 | Industrial Export and Credit Department | Export Credit Interest Rates for Gold Card holder exporters | The Chairmen/Chief Executives of all commercial banks |
RBI/2004/178 IECD.IRD.No. 11 /06.33.01/2003-04 | 27.04.2004 | Industrial Export and Credit Department | Half- yearly Reporting system in respect of SSI sick and non-SSI sick/weak industrial units | The Chairmen/Chief Executives of all commercial banks |
RBI/2004/180 IECD No.10 /04.02.01/2003-04 | 24.04.2004 | Industrial Export and Credit Department | Rupee Export Credit Interest Rates | The Chairmen/Chief Executives of all commercial banks |
RBI/2004/177 MPD.No. 248 /07.01.279/2003-04 | 23.04.2004 | Monetary Policy Department | Interest Rate Ceiling on Rupee Export Credit | All Scheduled Commercial Banks |
RBI/2004/137 MPD.BC.247/07.01.279/2003-04 | 07.04.2004 | Monetary Policy Department | Standing Liquidity Facilities for Banks for Export Credit: Rationalisation | All Scheduled Banks (excluding Regional Rural Banks (RRBs) |
RBI/2004/118 MPD. BC.246/07.01.279/ 2003-04 | 25.03.2004 | Monetary Policy Department | Standing Liquidity Facilities for Banks for Export Credit and Primary Dealers (PDs): Rationalisation | All Scheduled Banks (excluding Regional Rural Banks (RRBs) and Primary Dealers |
RBI/2004/94 IECD.No. 9 /08.12.01/2003-2004 | 11.03.2004 | Industrial Export and Credit Department | Master Circular on Lending to Non-Banking Financial Companies | The Chief Executives of all Commercial Banks |
RBI/2004/47 IECD.No.3652/9.01.01/2003-04 | 10.02.2004 | Industrial Export and Credit Department | Bank Credit for Public Procurement of Foodgrains - Rabi 2004 Season | All The Principal Secretaries, of the State Govts. /Union Territories (as per list attached) |
1 1 | 15.09.2003 | Monetary Policy Department | Interest Rate on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts) | |
1 1ewr | 15.09.2003 | Monetary Policy Department | Interest Rate on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts) | |
1 1 | 19.08.2003 | Monetary Policy Department | Guidelines for issue of Commercial Paper (CP) Defaults in Commercial Paper market | |
1 1 | 17.07.2003 | Monetary Policy Department | Interest Rate on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts) | |
1 1 | 29.04.2003 | Monetary Policy Department | Reporting of Call/Notice Money Market Transactions on NDS Platform | |
1 1 | 29.04.2003 | Monetary Policy Department | Export Credit Refinance Facility | |
1 1 | 29.04.2003 | Monetary Policy Department | Annual Monetary and Credit Policy for the year 2003-2004 | |
1 1 | 29.04.2003 | Monetary Policy Department | Participation of Non-bank Entities in Call/Notice Money Market | |
1 1 | 29.04.2003 | Monetary Policy Department | Rationalisation of Back-stop Facility Rate | |
1asd1 | 13.01.2003 | Monetary Policy Department | Daily Return on Reciprocal Line Facility | |
1 1 | 11.12.2002 | Monetary Policy Department | Reliance on Call/Notice Money Market: Prudential Norm | |
1 ferfwe | 16.08.2002 | Industrial Export and Credit Department | Guidelines on "Know Your Customer" norms and "Cash transactions" | |
o0o | 29.04.2002 | Monetary Policy Department | Interest Rate on FCNR(B) Deposits | |
1 ---Annual Policy--- | 22.10.2001 | Monetary Policy Department | Mid-term Monetary and Credit Policy for the year 2001-2002 | |
1 Ref.No.IECD.2 /08.15.01/2001-02 | 23.07.2001 | Industrial Export and Credit Department | Guidelines for Issue of Commercial Paper | The Chairmen/Chief Executives of All Scheduled Banks, Primary Dealers,Satellite Dealers and All-India Financial Institutions |
1 Ref.No.IECD. 3 /08.15.01/2000-2001 | 10.10.2000 | Industrial Export and Credit Department | Guidelines for Issue of Commercial Paper |
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