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Press Releases
নৱে 25, 2022
Premature redemption under Sovereign Gold Bond (SGB) Scheme - Redemption Price for premature redemption due on November 30, 2022 (Series I of SGB 2015)
In terms of GOI Notification F.No.4(19) - W&M/2014 dated October 30, 2015 (SGB 2015, Series I - Issue date November 30, 2015) on Sovereign Gold Bond Scheme, premature redemption of Gold Bond may be permitted after fifth year from the date of issue of such Gold Bond on the date on which interest is payable. Accordingly, the fifth due date of premature redemption of the above tranche shall be November 30, 2022. 2. Further, the redemption price of SGB shall be based
In terms of GOI Notification F.No.4(19) - W&M/2014 dated October 30, 2015 (SGB 2015, Series I - Issue date November 30, 2015) on Sovereign Gold Bond Scheme, premature redemption of Gold Bond may be permitted after fifth year from the date of issue of such Gold Bond on the date on which interest is payable. Accordingly, the fifth due date of premature redemption of the above tranche shall be November 30, 2022. 2. Further, the redemption price of SGB shall be based
নৱে 25, 2022
All-India House Price Index (HPI) for Q2:2022-23
Today, the Reserve Bank released its quarterly house price index (HPI)1 (base: 2010-11=100) for Q2:2022-23, based on transaction-level data received from the registration authorities in ten major cities (viz., Ahmedabad, Bengaluru, Chennai, Delhi, Jaipur, Kanpur, Kochi, Kolkata, Lucknow, and Mumbai). Time series data on all India and city-wise HPIs are available at the Bank’s database on Indian economy (DBIE) portal (https://dbie.rbi.org.in/DBIE/dbie.rbi?site=statisti
Today, the Reserve Bank released its quarterly house price index (HPI)1 (base: 2010-11=100) for Q2:2022-23, based on transaction-level data received from the registration authorities in ten major cities (viz., Ahmedabad, Bengaluru, Chennai, Delhi, Jaipur, Kanpur, Kochi, Kolkata, Lucknow, and Mumbai). Time series data on all India and city-wise HPIs are available at the Bank’s database on Indian economy (DBIE) portal (https://dbie.rbi.org.in/DBIE/dbie.rbi?site=statisti
নৱে 25, 2022
Reserve Bank of India - Bulletin Weekly Statistical Supplement - Extract
1. Reserve Bank of India - Liabilities and Assets* (₹ Crore) Item 2021 2022 Variation Nov. 19 Nov. 11 Nov. 18 Week Year 1 2 3 4 5 4 Loans and Advances 4.1 Central Government - - - - - 4.2 State Governments 8631 3728 5683 1955 -2948 * Data are provisional. 2. Foreign Exchange Reserves* Item As on November 18, 2022 Variation over Week End-March 2022 Year ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. 1 2 3 4 5 6 7 8 1 Total Reserves 4470990 547252 69208 2537 -1
1. Reserve Bank of India - Liabilities and Assets* (₹ Crore) Item 2021 2022 Variation Nov. 19 Nov. 11 Nov. 18 Week Year 1 2 3 4 5 4 Loans and Advances 4.1 Central Government - - - - - 4.2 State Governments 8631 3728 5683 1955 -2948 * Data are provisional. 2. Foreign Exchange Reserves* Item As on November 18, 2022 Variation over Week End-March 2022 Year ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. 1 2 3 4 5 6 7 8 1 Total Reserves 4470990 547252 69208 2537 -1
নৱে 25, 2022
Government Stock - Full Auction Results
Auction Results 7.38% GS 2027 7.26% GS 2032 7.36% GS 2052 I. Notified Amount ₹7,000 Crore ₹12,000 Crore ₹9,000 Crore II. Underwriting Notified Amount ₹7,000 Crore ₹12,000 Crore ₹9,000 Crore III. Competitive Bids Received (i) Number 117 179 145 (ii) Amount ₹19741 Crore ₹22748 Crore ₹22932 Crore IV. Cut-off price / Yield 101.06 99.90 99.54 (YTM: 7.1021%) (YTM: 7.2722%) (YTM: 7.3971%) V. Competitive Bids Accepted (i) Number 18 137 70 (ii) Amount ₹6985.46 Crore ₹11979.324
Auction Results 7.38% GS 2027 7.26% GS 2032 7.36% GS 2052 I. Notified Amount ₹7,000 Crore ₹12,000 Crore ₹9,000 Crore II. Underwriting Notified Amount ₹7,000 Crore ₹12,000 Crore ₹9,000 Crore III. Competitive Bids Received (i) Number 117 179 145 (ii) Amount ₹19741 Crore ₹22748 Crore ₹22932 Crore IV. Cut-off price / Yield 101.06 99.90 99.54 (YTM: 7.1021%) (YTM: 7.2722%) (YTM: 7.3971%) V. Competitive Bids Accepted (i) Number 18 137 70 (ii) Amount ₹6985.46 Crore ₹11979.324
নৱে 25, 2022
Government Stock - Auction Results: Cut-off
7.38% GS 2027 7.26% GS 2032 7.36% GS 2052 I. Notified Amount ₹7,000 crore ₹12,000 crore ₹9,000 crore II. Cut off Price / Implicit Yield at cut-off 101.06/7.1021% 99.90/7.2722% 99.54/7.3971% III. Amount accepted in the auction ₹7,000 crore ₹12,000 crore ₹9,000 crore IV. Devolvement on Primary Dealers NIL NIL NIL Rupambara Director (Communications) Press Release: 2022-2023/1254
7.38% GS 2027 7.26% GS 2032 7.36% GS 2052 I. Notified Amount ₹7,000 crore ₹12,000 crore ₹9,000 crore II. Cut off Price / Implicit Yield at cut-off 101.06/7.1021% 99.90/7.2722% 99.54/7.3971% III. Amount accepted in the auction ₹7,000 crore ₹12,000 crore ₹9,000 crore IV. Devolvement on Primary Dealers NIL NIL NIL Rupambara Director (Communications) Press Release: 2022-2023/1254
নৱে 24, 2022
Underwriting Auction for sale of Government Securities for ₹28,000 crore on November 25, 2022
Government of India has announced the sale (re-issue) of Government Securities, as detailed below, through auctions to be held on November 25, 2022. As per the extant scheme of underwriting notified on November 14, 2007, the amounts of Minimum Underwriting Commitment (MUC) and the minimum bidding commitment under Additional Competitive Underwriting (ACU) for the underwriting auction, applicable to each Primary Dealer (PD), are as under: (₹ crore) Security Notified Amo
Government of India has announced the sale (re-issue) of Government Securities, as detailed below, through auctions to be held on November 25, 2022. As per the extant scheme of underwriting notified on November 14, 2007, the amounts of Minimum Underwriting Commitment (MUC) and the minimum bidding commitment under Additional Competitive Underwriting (ACU) for the underwriting auction, applicable to each Primary Dealer (PD), are as under: (₹ crore) Security Notified Amo
নৱে 24, 2022
Money Market Operations as on November 23, 2022
(Amount in ₹ crore, Rate in Per cent) MONEY MARKETS@ Volume (One Leg) Weighted Average Rate Range A. Overnight Segment (I+II+III+IV) 5,72,180.38 6.15 4.15-8.15 I. Call Money 11,086.71 6.19 4.15-6.30 II. Triparty Repo 4,22,998.35 6.15 6.14-6.25 III. Market Repo 1,38,070.32 6.14 5.25-6.35 IV. Repo in Corporate Bond 25.00 8.15 8.15-8.15 B. Term Segment I. Notice Money** 137.36 6.05 5.35-6.20 II. Term Money@@ 4.00 - 6.00-6.00 III. Triparty Repo 10.00 6.15 6.15-6.15 IV. Ma
(Amount in ₹ crore, Rate in Per cent) MONEY MARKETS@ Volume (One Leg) Weighted Average Rate Range A. Overnight Segment (I+II+III+IV) 5,72,180.38 6.15 4.15-8.15 I. Call Money 11,086.71 6.19 4.15-6.30 II. Triparty Repo 4,22,998.35 6.15 6.14-6.25 III. Market Repo 1,38,070.32 6.14 5.25-6.35 IV. Repo in Corporate Bond 25.00 8.15 8.15-8.15 B. Term Segment I. Notice Money** 137.36 6.05 5.35-6.20 II. Term Money@@ 4.00 - 6.00-6.00 III. Triparty Repo 10.00 6.15 6.15-6.15 IV. Ma
নৱে 24, 2022
Premature redemption under Sovereign Gold Bond (SGB) Scheme - Redemption Price for premature redemption due on November 25, 2022 (November 26 and November 27, 2022 being Saturday and Sunday respectively) (SGB 2017-18 Series IX)
In terms of GOI Notification F.No.4(25) - W&M/2017 dated October 06, 2017 (SGB 2017-18 Series IX - Issue date November 27, 2017) on Sovereign Gold Bond Scheme, premature redemption of Gold Bond may be permitted after fifth year from the date of issue of such Gold Bond on the date on which interest is payable. Accordingly, the first due date of premature redemption of the above tranche shall be November 25, 2022 (November 26 and November 27, 2022 being Saturday and
In terms of GOI Notification F.No.4(25) - W&M/2017 dated October 06, 2017 (SGB 2017-18 Series IX - Issue date November 27, 2017) on Sovereign Gold Bond Scheme, premature redemption of Gold Bond may be permitted after fifth year from the date of issue of such Gold Bond on the date on which interest is payable. Accordingly, the first due date of premature redemption of the above tranche shall be November 25, 2022 (November 26 and November 27, 2022 being Saturday and
নৱে 24, 2022
Directions under Section 35A read with Section 56 of the Banking Regulation Act, 1949 - The Malkapur Urban Co-operative Bank Ltd., Buldhana, Maharashtra - Extension of Period
The Reserve Bank of India issued Directions to The Malkapur Urban Co-operative Bank Ltd., Buldhana, Maharashtra under Section 35A read with Section 56 of the Banking Regulation Act, 1949 vide Directive DOS.CO.NSUCBs-West/D-3/S2050/12.07.005/2021-22 dated November 24, 2021, as modified from time to time, which were last extended up to November 24, 2022 vide Directive DOR.MON/D-26/12.22.638/2022-23 dated August 23, 2022. 2. The Reserve Bank of India is satisfied that in
The Reserve Bank of India issued Directions to The Malkapur Urban Co-operative Bank Ltd., Buldhana, Maharashtra under Section 35A read with Section 56 of the Banking Regulation Act, 1949 vide Directive DOS.CO.NSUCBs-West/D-3/S2050/12.07.005/2021-22 dated November 24, 2021, as modified from time to time, which were last extended up to November 24, 2022 vide Directive DOR.MON/D-26/12.22.638/2022-23 dated August 23, 2022. 2. The Reserve Bank of India is satisfied that in
নৱে 23, 2022
Money Market Operations as on November 22, 2022
(Amount in ₹ crore, Rate in Per cent) MONEY MARKETS@ Volume (One Leg) Weighted Average Rate Range A. Overnight Segment (I+II+III+IV) 5,84,685.84 6.14 0.01-8.15 I. Call Money 12,503.42 6.17 4.15-6.30 II. Triparty Repo 4,30,815.75 6.15 6.00-6.30 III. Market Repo 1,41,316.67 6.12 0.01-6.30 IV. Repo in Corporate Bond 50.00 8.15 8.15-8.15 B. Term Segment I. Notice Money** 148.50 5.91 5.40-6.20 II. Term Money@@ 175.10 - 5.35-6.35 III. Triparty Repo 185.00 6.16 6.16-6.16 IV.
(Amount in ₹ crore, Rate in Per cent) MONEY MARKETS@ Volume (One Leg) Weighted Average Rate Range A. Overnight Segment (I+II+III+IV) 5,84,685.84 6.14 0.01-8.15 I. Call Money 12,503.42 6.17 4.15-6.30 II. Triparty Repo 4,30,815.75 6.15 6.00-6.30 III. Market Repo 1,41,316.67 6.12 0.01-6.30 IV. Repo in Corporate Bond 50.00 8.15 8.15-8.15 B. Term Segment I. Notice Money** 148.50 5.91 5.40-6.20 II. Term Money@@ 175.10 - 5.35-6.35 III. Triparty Repo 185.00 6.16 6.16-6.16 IV.
পৃষ্ঠাটো শেহতীয়া আপডেট কৰা তাৰিখ: জুন 20, 2025