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Index to RBI Circulars

Circular Number Date Of Issue Department Subject Meant For
RBI/FED/2025-26/29
A.P. (DIR Series) Circular. No 02 /2025-26
22.04.2025 Foreign Exchange Department Amendments to Directions - Compounding of Contraventions under FEMA, 1999 All Authorised Dealer Category-I banks and Authorised banks
RBI/FED/2025-2026/135
FED Master Direction No.04/2025-26
22.04.2025 Foreign Exchange Department Master Directions - Compounding of Contraventions under FEMA, 1999, dated April 22, 2025 (Supersedes Master Direction- Compounding of Contraventions under FEMA, 1999, (Updated as on May 24, 2022)) All Authorised Dealer Category – I banks and Authorised banks
RBI/2025-2026/28
CO.DIT.DCD.No.S81/01-71-110/2025-26
22.04.2025 Department of Information Technology Circular - Migration to '.bank.in' domain All Commercial Banks All Primary (Urban) Co-operative Banks All State Co-operative Banks and District Central Co-operative Banks
RBI/2025-2026/27
DOR.LRG.REC.18/03.10.001/2025-26
21.04.2025 Department of Regulation Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR) – Review of haircuts on High Quality Liquid Assets (HQLA) and review of composition and run-off rates on certain categories of deposits All Commercial Banks (excluding Payments Banks, Regional Rural Banks and Local Area Banks)
RBI/2025-2026/26
DOR.MCS.REC.17/01.01.003/2025-26
21.04.2025 Department of Regulation Opening of and operation in deposit accounts of minors All Commercial Banks All Primary (Urban) Co-operative Banks All State Co-operative Banks and District Central Co-operative Banks
RBI/DOR/2025-2026/134
DOR.SOG(SPE).REC. 8/13.03.00/2025-26
01.04.2025 Department of Regulation Master Direction - Reserve Bank of India (Interest Rate on Deposits) Directions, 2025 All banks authorised to operate in India
RBI/2025-26/133
DCM (NE) No.G-5 /08.07.18/2025-26
01.04.2025 Department of Currency Management Master Direction – Facility for Exchange of Notes and Coins The Chairman / Managing Director / Chief Executive Officer All Banks
RBI/2025-2026/10
DOR.MRG.No.4/21.04.141/2025-26
01.04.2025 Department of Regulation Reserve Bank of India (Classification, Valuation and Operation of the Investment Portfolio of Commercial Banks) Directions, 2023 All commercial banks (excluding regional rural banks)
RBI/2025-26/13 DOR.CAP.REC.03/09.18.201/2025-26 01.04.2025 Department of Regulation Master Circular- Prudential Norms on Capital Adequacy - Primary (Urban) Co-operative Banks (UCBs)
RBI/DCM/2025-26/132
DCM (FNVD)/G4/16.01.05/2025-26
01.04.2025 Department of Currency Management Master Direction on Counterfeit Notes, 2025 – Detection, Reporting and Monitoring The Chairman / Managing Director / Chief Executive Officer All Banks
RBI/FIDD/2024-25/128
Master Directions FIDD.CO.PSD.BC.13/04.09.001/2024-25
24.03.2025 Financial Inclusion and Development Department Master Directions - Reserve Bank of India (Priority Sector Lending – Targets and Classification) Directions, 2025 The Chairman / Managing Director/ Chief Executive Officer All Commercial Banks including Regional Rural Banks, Small Finance Banks, Local Area Banks and Primary (Urban) Co-operative Banks other than Salary Earners’ Banks
RBI/2024-25/108 EFD.CO.No.1 /02.08.001/2024-25 30.01.2025 Enforcement Department Framework for imposing monetary penalty and compounding of offences under the Payment and Settlement Systems Act, 2007 The Chairman / Managing Director / Chief Executive Officer, Authorised Payment System Operators / Banks
RBI/DOR/2023-24/104 DOR.MRG.36/21.04.141/2023-24 12.09.2023 Department of Regulation Master Direction - Classification, Valuation and Operation of Investment Portfolio of Commercial Banks (Directions), 2023 (Updated as on April 01, 2025) All Commercial Banks (excluding Regional Rural Banks)
RBI/FMRD/2016-2017/31 FMRD Master Direction No. 1/2016-17 05.07.2016 Financial Markets Regulation Department Master Direction - Risk Management and Inter-Bank Dealings (Updated as on April 16, 2025) All Authorised Persons
RBI/FED/2015-2016/9 FED Master Direction No. 14/2015-16 04.01.2016 Foreign Exchange Department Master Direction - Deposits and Accounts (Updated as on April 16, 2025) All Authorised Dealer Category - I banks and Authorised banks
RBI/2010-2011/85 IDMD.DOD.12 /11.08. 36/2010-11 01.07.2010 Financial Markets Regulation 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/2010-2011/84 IDMD.DOD.14 /11.08.36/2010-11 01.07.2010 Financial Markets Regulation Department Master Circular - Guidelines for Issue of Commercial Paper The Chairmen/Chief Executives of All Scheduled Banks, Primary Dealers and All-India Financial Institutions
RBI/2010-2011/83 IDMD.DOD.13 /11.08.36/2010-11 01.07.2010 Financial Markets Regulation Department Master Circular - 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
RBI/2009-2010/515 IDMD.DOD. 11 /11.08.36/2009-10 30.06.2010 Financial Markets Regulation Department Reporting of OTC transactions in Certificates of Deposit (CDs) and Commercial Papers (CPs) To All RBI Regulated Entities
RBI/2009-2010/403 IDMD.DOD.08 /11.08.38/2009-10 19.04.2010 Financial Markets Regulation Department Ready Forward Contracts in Corporate Debt Securities To All Market Participants
RBI/2009-2010/356 IDMD/4135/11.08.43/2009-10 23.03.2010 Financial Markets Regulation Department Guidelines for Accounting of Repo / Reverse Repo Transactions To All RBI regulated entities (Commercial Banks, Co-operative Banks, Primary Dealers, Financial Institutions, RRBs and NBFCs)
RBI/2009-2010/284 IDMD.DOD. 05 /11.08.38/2009-10 08.01.2010 Financial Markets Regulation Department Ready Forward Contracts in Corporate Debt Securities To All Market Participants
RBI/2009-2010/184 IDMD No.1764 /11.08.38/2009-10 16.10.2009 Financial Markets Regulation Department Settlement of OTC transactions in corporate bonds on DvP-I basis To All RBI Regulated Entities
RBI/2009-2010/102 IDMD.DOD.No. 334/ 11.08.36/ 2009-10 20.07.2009 Financial Markets Regulation Department Ready Forward Contracts All RBI Regulated Entities
RBI/2007-2008/335 IDMD.DOD.No. 5893 /10.25.66/ 2007-08 27.05.2008 Financial Markets Regulation Department NDS - Order Matching (OM) System - Access through the CSGL Route All SGL/CSGL Account holders
RBI/2007-2008/220 IDMD.DOD.No.3165 /11.01.01(B)/ 2007-08 01.01.2008 Financial Markets Regulation Department Secondary Market Transactions in Government Securities - Short-selling All Scheduled Commercial Banks (except RRBs) & Primary Dealers
RBI/2007-2008/122 IDMD/11.08.15/809/ 2007-08 23.08.2007 Financial Markets Regulation Department Reporting Platform for OTC Interest Rate Derivatives All Scheduled Commercial Banks (excluding RRBs and LABs) and Primary Dealers
RBI/2006-2007/417 IDMD.DOD.No.5341/10.25.66/ 2006-07 25.05.2007 Financial Markets Regulation Department CSGL Option on NDS - Order Matching All SGL/CSGL Account holders
RBI/2006-2007/243 IDMD.No /11.01.01(B) / 2006-07 31.01.2007 Financial Markets Regulation Department Secondary Market Transactions in Government Securities - Short-selling All Scheduled Commercial Banks (except RRBs) & Primary Dealers
RBI/2005-2006/309 IDMD.No 03/11.01.01(B)/2005-06 28.02.2006 Financial Markets Regulation Department Secondary Market Transactions in Government Securities - Intra-day short-selling All Scheduled Commercial Banks (other than RRBs and LABs) & Primary Dealers
RBI/2005-2006/132 IDMD.No. 766/10.26.65A/2005-06 22.08.2005 Financial Markets Regulation Department NDS-OM - Counterparty Confirmation All RBI Regulated Entities
RBI/2004-2005/441 IDMD.OMO.No. 09/03.75.00/2004-05 28.04.2005 Financial Markets Regulation Department Liquidity Adjustment Facility - Increase in Reverse Repo Rate to 5.00 percent All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2004-2005/251 IDMD.OMO No. 08 /03.75.00/2004-05 27.10.2004 Financial Markets Regulation Department Liquidity Adjustment Facility - Revised Scheme All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2004-2005/246 IDMD.OMO.No. 07 /03.75.00/2004-05 26.10.2004 Financial Markets Regulation 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
1 1 01.07.2003 Financial Markets Regulation Department Trading of Government of India Securities on Stock Exchanges
1 1 11.06.2003 Financial Markets Regulation Department Guidelines on Exchange Traded Interest Rate Derivatives
1 1 03.06.2003 Financial Markets Regulation Department Guidelines on Exchange Traded Interest Rate Derivatives (for Banks)
1 1 24.04.2003 Financial Markets Regulation Department Guidelines on exchange traded interest rate derivatives Draft Circular for Quick Comments
1 1 24.03.2003 Financial Markets Regulation Department Guidelines for uniform accounting for Repo / Reverse repo transactions
1 1 13.03.2003 Financial Markets Regulation Department Trading of Government Securities on Stock Exchanges
1 1 26.12.2002 Financial Markets Regulation Department Trading of Government Securities on the Stock Exchanges
1 1 22.06.2001 Notifications Annexing of Audited Balance Sheet in respect of Subsidiaries to Parent Bank's Balance Sheet
1 1 15.05.2001 Internal Debt Management Department Auction for Sale (Re-issue ) of '10.47 per cent Government Stock, 2015'
1 Ref. IDMC.No.4376 /03.75.00/2000-01 03.05.2001 Financial Markets Regulation Department Scheme of Liquidity Adjustment Facility: 2001-2002
Circular No.31 02.05.2001 Foreign Exchange Department Exim Bank's Line of Credit of US$ 5 million to East African Development Bank, Uganda A.P.(DIR Series) Circular No. 31(April 20, 2001)
1 1 29.03.2001 Press Release Annexing of Balance Sheet, Profit & Loss Account, Auditor's Report and Director's Report in respect of Subsidiaries to Parent Bank's Balance Sheet
A.P.(DIR Series) Circular No.27 09.03.2001 Foreign Exchange Department Foreign Exchange Management Act, 1999 - Export of goods and services - Forwarder's Cargo Receipt A.P.(DIR Series) Circular No.27 (March 2, 2001)
Circular No.21 09.12.2000 Foreign Exchange Department Exim Bank's credit line of US$ 20 million to Korea Development Bank, South Korea A.P.(DIR Series) Circular No.21 (December 4, 2000)
1 1 01.11.2000 Tenders Guidelines for Constituent's Subsidiary General Ledger (CSGL) Account

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Page Last Updated on: April 22, 2025