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Oct 25, 2019
Reserve Bank of India imposes monetary penalty on Tamilnad Mercantile Bank Ltd
The Reserve Bank of India (RBI) has, by an order dated October 24, 2019, imposed monetary penalty of ₹ 35 lakh (Rupees Thirty Five Lakh) on Tamilnad Mercantile Bank Ltd. (the bank) for non-compliance with certain provisions of directions issued by RBI on “Reserve Bank of India (Frauds classification and reporting by commercial banks and select FIs) directions 2016”. This penalty has been imposed in exercise of powers vested in RBI under the provisions of Section 47A(1
The Reserve Bank of India (RBI) has, by an order dated October 24, 2019, imposed monetary penalty of ₹ 35 lakh (Rupees Thirty Five Lakh) on Tamilnad Mercantile Bank Ltd. (the bank) for non-compliance with certain provisions of directions issued by RBI on “Reserve Bank of India (Frauds classification and reporting by commercial banks and select FIs) directions 2016”. This penalty has been imposed in exercise of powers vested in RBI under the provisions of Section 47A(1
Oct 24, 2019
Scheduled Banks’ Statement of Position in India as on Friday, October 11, 2019
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 12-Oct-18 27-SEP-2019 * 11-OCT-2019 * 12-Oct-18 27-SEP-2019 * 11-OCT-2019 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 143672.09 187729.47 180706.56 148175.39 192430.94 185576.21 ** b) Borrowings from banks 79427.33 63162.98 56167.2 79613.03 63485.54 56330.9 c) Other demand & time liabilities 12309.71 11777.46 11803.03 12441.82 11915.56
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 12-Oct-18 27-SEP-2019 * 11-OCT-2019 * 12-Oct-18 27-SEP-2019 * 11-OCT-2019 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 143672.09 187729.47 180706.56 148175.39 192430.94 185576.21 ** b) Borrowings from banks 79427.33 63162.98 56167.2 79613.03 63485.54 56330.9 c) Other demand & time liabilities 12309.71 11777.46 11803.03 12441.82 11915.56
Oct 16, 2019
Reserve Bank of India imposes monetary penalty on SBM Bank (India) Ltd.
The Reserve Bank of India (RBI) has, by an order dated October 15, 2019, imposed a monetary penalty of ₹ 3 crore on SBM Bank (India) Ltd. for non-compliance by SBM Bank (Mauritius) Ltd. (amalgamated with SBM Bank (India) Ltd. on November 30, 2018) with certain provisions of directions issued by RBI on “Time-bound implementation and strengthening of SWIFT - related operational controls” and “Cyber Security Framework in Banks”. This penalty has been imposed in exercise
The Reserve Bank of India (RBI) has, by an order dated October 15, 2019, imposed a monetary penalty of ₹ 3 crore on SBM Bank (India) Ltd. for non-compliance by SBM Bank (Mauritius) Ltd. (amalgamated with SBM Bank (India) Ltd. on November 30, 2018) with certain provisions of directions issued by RBI on “Time-bound implementation and strengthening of SWIFT - related operational controls” and “Cyber Security Framework in Banks”. This penalty has been imposed in exercise
Oct 10, 2019
Scheduled Banks’ Statement of Position in India as on Friday, September 27, 2019
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 28-SEP-2018 13-SEP-2019* 27-SEP-2019* 28-SEP-2018 13-SEP-2019* 27-SEP-2019* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 148639.87 181589.47 187721.47 153202.4 186621.59 192422.94** b) Borrowings from banks 76139.98 66444.3 63081.05 77262.85 66476.61 63403.61 c) Other demand & time liabilities 11328.54 11792.65 11781.09 11450.71 11944.66 1
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 28-SEP-2018 13-SEP-2019* 27-SEP-2019* 28-SEP-2018 13-SEP-2019* 27-SEP-2019* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 148639.87 181589.47 187721.47 153202.4 186621.59 192422.94** b) Borrowings from banks 76139.98 66444.3 63081.05 77262.85 66476.61 63403.61 c) Other demand & time liabilities 11328.54 11792.65 11781.09 11450.71 11944.66 1
Oct 03, 2019
Reserve Bank of India imposes penalty on United Overseas Bank Limited
The Reserve Bank of India (RBI) has, by an order dated October 01, 2019, imposed a monetary penalty of ₹ One crore on United Overseas Bank Limited (the bank) for its failure to comply with the provisions of section 10B of the Banking Regulation Act, 1949 (the Act). This penalty has been imposed in exercise of powers vested in RBI under the provisions of section 47A(1)(c) read with section 46(4)(i) of the Act, taking into account the failure of the bank to adhere to th
The Reserve Bank of India (RBI) has, by an order dated October 01, 2019, imposed a monetary penalty of ₹ One crore on United Overseas Bank Limited (the bank) for its failure to comply with the provisions of section 10B of the Banking Regulation Act, 1949 (the Act). This penalty has been imposed in exercise of powers vested in RBI under the provisions of section 47A(1)(c) read with section 46(4)(i) of the Act, taking into account the failure of the bank to adhere to th
Oct 03, 2019
Marginal Cost of Funds Based Lending Rate (MCLR) for the month September 2019
The Reserve Bank of India has today released Lending Rates of Scheduled Commercial Banks based on data received during the month of September 2019. Ajit Prasad Director Press Release : 2019-2020/855
The Reserve Bank of India has today released Lending Rates of Scheduled Commercial Banks based on data received during the month of September 2019. Ajit Prasad Director Press Release : 2019-2020/855
Sep 26, 2019
Scheduled Banks’ Statement of Position in India as on Friday, September 13, 2019
(Amount in Crores of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 14-Sep-18 30-AUG-2019 * 13-SEP-2019 * 14-Sep-18 30-AUG-2019 * 13-SEP-2019 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 146726.57 180831.49 181590.5 151295.86 185889.07 186622.62 ** b) Borrowings from banks 84331.94 72094.58 66444.26 85262.72 72192.19 66476.57 c) Other demand & time liabilities 10476.52 13120.54 11737.69 10635.46 13242.9
(Amount in Crores of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 14-Sep-18 30-AUG-2019 * 13-SEP-2019 * 14-Sep-18 30-AUG-2019 * 13-SEP-2019 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 146726.57 180831.49 181590.5 151295.86 185889.07 186622.62 ** b) Borrowings from banks 84331.94 72094.58 66444.26 85262.72 72192.19 66476.57 c) Other demand & time liabilities 10476.52 13120.54 11737.69 10635.46 13242.9
Sep 13, 2019
RBI releases “Draft Guidelines for ‘on tap’ Licensing of Small Finance Banks in the Private Sector”
Reserve Bank of India (RBI) in its Second Bi-monthly Monetary Policy Statement, 2019-20 dated June 06, 2019 announced that it is proposed to issue Draft Guidelines for ‘on tap’ Licensing of Small Finance Banks. Accordingly, RBI has today released on its website ‘Draft Guidelines for ‘on tap’ Licensing of Small Finance Banks in the Private Sector’ for comments of stakeholders and members of the public. Suggestions and comments on the draft guidelines may be sent by Oct
Reserve Bank of India (RBI) in its Second Bi-monthly Monetary Policy Statement, 2019-20 dated June 06, 2019 announced that it is proposed to issue Draft Guidelines for ‘on tap’ Licensing of Small Finance Banks. Accordingly, RBI has today released on its website ‘Draft Guidelines for ‘on tap’ Licensing of Small Finance Banks in the Private Sector’ for comments of stakeholders and members of the public. Suggestions and comments on the draft guidelines may be sent by Oct
Sep 12, 2019
Scheduled Banks’ Statement of Position in India as on Friday, August 30, 2019
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs) ALL SCHEDULED BANKS 31-AUG-2018 16-AUG-2019 * 30-AUG-2019 * 31-AUG-2018 16-AUG-2019 * 30-AUG-2019 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 148495 178836 180834 153154 183926 185892 ** b) Borrowings from banks 70873 75113 72095 71789 75472 72193 c) Other demand & time liabilities 15569 12034 13133 15734 12173 13255 II LIABILITIES TO OTHERS (A) a) Deposits (other
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs) ALL SCHEDULED BANKS 31-AUG-2018 16-AUG-2019 * 30-AUG-2019 * 31-AUG-2018 16-AUG-2019 * 30-AUG-2019 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 148495 178836 180834 153154 183926 185892 ** b) Borrowings from banks 70873 75113 72095 71789 75472 72193 c) Other demand & time liabilities 15569 12034 13133 15734 12173 13255 II LIABILITIES TO OTHERS (A) a) Deposits (other
Sep 09, 2019
Marginal Cost of Funds Based Lending Rate (MCLR) for the month August 2019
The Reserve Bank of India has today released Lending Rates of Scheduled Commercial Banks based on data received during the month of August 2019. Ajit Prasad Director Press Release: 2019-2020/653
The Reserve Bank of India has today released Lending Rates of Scheduled Commercial Banks based on data received during the month of August 2019. Ajit Prasad Director Press Release: 2019-2020/653

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