Liquidity Adjustment Facility

RBI revises Bank Rates

RBI/2013-14/468 DBOD.No.Ret.BC.88/12.01.001/2013-14 January 28, 2014 All Scheduled Commercial Banks & Local Area Banks Dear Sir, Bank Rate Please refer to our circular DBOD.No.Ret.BC.64/12.01.001/2013-14 dated October 29, 2013 on the subject. 2. Consequent to the increase in the policy repo rate under the Liquidity Adjustment Facility (LAF) as announced in the Third Quarter Review of Monetary Policy 2013-14 dated… Read More

Tags: Bank RateCentral bankInterestLiquidity Adjustment FacilityMonetary policyPercentageRepurchase agreementReserve requirement

Liquidity Adjustment Facility- Reverse Repo

RBI/2013-14/451 FMD.MOAG. No.95/01.01.001/2013-14 January 17, 2014 All Scheduled Commercial Banks (excluding RRBs) and Standalone Primary Dealers Madam / Sir, Liquidity Adjustment Facility- Reverse Repo Based on the feedback received from the market participants, it has been decided to revise the timings of Reverse Repo window under Liquidity Adjustment Facility (LAF). The Reverse Repo window will now… Read More

Tags: General managerJanuary 20 2014 MondayLAFLiquidity Adjustment FacilityMonetary policyRepurchase agreementReverse RepoRun batted in

Reverse Repo under LAF to be available between 7.00 p.m. to 7.30 p.m. from Monday

Based on the feedback received from the market participants, the Reserve Bank of India has decided to revise the timings of Reverse Repo window under Liquidity Adjustment Facility (LAF). The Reverse Repo window will now be available between 7.00 p.m. and 7.30 p.m. instead of the existing timings of 4.45 p.m. to 5.15 p.m. The change… Read More

Tags: 12-hour clockCentral bankLiquidity Adjustment FacilityMondayMonetary policyRepurchase agreementReserve Bank of IndiaReverse Repo

Term Repo under Liquidity Adjustment Facility

RBI/2013-14/319 FMD.MOAG. No. 89 /01.01.009/2013-14 October 08, 2013 All Scheduled Commercial Banks (excluding RRBs) Madam / Sir, Term Repo under Liquidity Adjustment Facility As announced yesterday, it has been decided to conduct auctions for term repos of 7-day and 14-day tenor for a notified amount equivalent to 0.25 per cent of net demand and time… Read More

Tags: AuctionFridayLiquidity Adjustment FacilityMicrosoftMumbaiNDTLRepurchase agreementRun batted in

Revised PD Returns for Primary Dealers

RBI/2013-14/168 IDMD.PDRD.No. 346 / 10.02.23 / 2013-14 July 31, 2013 All the Primary Dealers Dear Sir/Madam, Revised PD Returns for Primary Dealers A reference is invited to para 3.8 of RBI™s Master Circular IDMD.PDRD.01/03.64.00/2013-14 dated July 01, 2013 on Operational Guidelines to Primary Dealers regarding reporting requirements of various regulatory returns submitted at periodic intervals to RBI.… Read More

Tags: General managerGovernment of IndiaLiquidity Adjustment FacilityPrimary dealerPrincipal Chiefs of the CherokeeReserve Bank of IndiaRisk managementRun batted in

Liquidity Adjustment Facility Standalone Primary Dealers

RBI/2013-14/153 FMD.MOAG. No. 83/01.01.001/2013-14 July 23, 2013 All Standalone Primary Dealers Dear Sir, Liquidity Adjustment Facility As you are aware, Reserve Bank of India announced additional measures today to address the exchange rate volatility. As a part of these measures, it has been decided that the total amount of funds available to a standalone Primary… Read More

Tags: Exchange rateFridayGeneral managerLAFLiquidity Adjustment FacilityPrimary dealerReserve Bank of India

RBI Announces Liquidity Adjustment Facility

Over the last two months, the Reserve Bank of India (RBI) has undertaken several measures to contain the volatility in the foreign exchange market. Among them, some measures intended to check excessive speculation adding to undue volatility in market conditions were instituted vide the RBI's Press Release No.2013-2014/100 dated July 15, 2013. These measures have had… Read More

Tags: Exchange rateForeign exchange marketFridayLiquidity Adjustment FacilityrbiReserve Bank of IndiaReserve requirementRun batted in

RBI announces Additional measures to address Exchange Market Volatility

Over the last two months, the Reserve Bank of India (RBI) has undertaken several measures to contain the volatility in the foreign exchange market. Among them, some measures intended to check excessive speculation adding to undue volatility in market conditions were instituted vide the RBI's Press Release No.2013-2014/100 dated July 15, 2013. These measures have had… Read More

Tags: Exchange rateForeign exchange marketFridayLiquidity Adjustment FacilityrbiReserve Bank of IndiaReserve requirementRun batted in

Circular on Special Repo Window for Liquidity Requirement of Mutual Funds

RBI/2013-14/143 FMD.MOAG.No. 81/01.01.001/2013-14 July 17, 2013 All Scheduled Commercial Banks (excluding RRBs) Dear Sir, Special Repo Window for Liquidity Requirement of Mutual Funds As announced today, Reserve Bank of India will be opening a Special Repo window for a notified amount of Rs. 25,000 crore with a view to enabling banks to meet the liquidity… Read More

Tags: BankCBSCommercial bankLiquidity Adjustment FacilityMarket liquidityMutual fundReserve Bank of IndiaSaturdays

RBI announces Measures to address Exchange Rate Volatility

The market perception of likely tapering of US Quantitative Easing has triggered outflows of portfolio investment, particularly from the debt segment. Consequently, the Rupee has depreciated markedly in the last six weeks. Countries with large current account deficits, such as India, have been particularly affected despite their relatively promising economic fundamentals. The exchange rate pressure… Read More

Tags: Bank RateCentral bankIndiaLiquidity Adjustment FacilityMSFRepurchase agreementRun batted inRupee

Standing Liquidity Facilities for Banks and Primary Dealers

RBI/2012-13/490 MPD No.BC. 364/07.01.279/2012-13 May 3, 2013 To All Scheduled Banks [excluding Regional Rural Banks(RRBs) ] and Primary Dealers Dear Sir/Madam, Standing Liquidity Facilities for Banks and Primary Dealers Please refer to the Monetary Policy Statement 2013-14 dated May 3, 2013, in terms of which the repo rate under the Liquidity Adjustment Facility (LAF) has been… Read More

Tags: BankBasis pointCentral bankLiquidity Adjustment FacilityMarket liquidityMonetary policyRegional Rural BankRepurchase agreement

Liquidity Adjustment Facility Repo and Reverse Repo and Marginal Standing Facility Rates

RBI/2012-13/486 FMD.MOAG. No. 78 /01.01.001/2012-13 May 03, 2013 All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers Dear Sir, Liquidity Adjustment Facility Repo and Reverse Repo and Marginal Standing Facility Rates As announced today by the Governor in the Monetary Policy Statement for 2013-14, it has been decided to reduce the Repo rate under the… Read More

Tags: BankBasis pointCommercial bankLAFLiquidity Adjustment FacilityMonetary policyPercentageRepurchase agreement

RBI’s Standing Liquidity Facilities for Banks and Primary Dealers based on new Repo rates

Standing Liquidity Facilities for Banks and Primary Dealers RBI/2012-13/446 MPD.BC.362/07.01.279/2012-13 Phalguna 28, 1934 (S) March 19, 2013 To All Scheduled Banks [excluding Regional Rural Banks(RRBs) ] and Primary Dealers Dear Sir/Madam, Standing Liquidity Facilities for Banks and Primary Dealers Please refer to the Mid Quarter Monetary Policy Review: March 2013 dated March 19, 2013, in… Read More

Tags: Basis pointCentral bankLiquidity Adjustment FacilityMarket liquidityMonetary policyRegional Rural BankRepurchase agreementSpecial Export Credit Refinance

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