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Press Releases
മേയ് 06, 2022
91 days, 182 days and 364 days Treasury Bills auction
Reserve Bank of India announces the auction of Government of India Treasury Bills as per the following details: Sr. No Treasury Bill Notified Amount(in ₹ crore) Auction Date Settlement Date 1 91 Days 13,000 May 11, 2022 (Wednesday) May 12, 2022 (Thursday) 2 182 Days 12,000 3 364 Days 8,000 Total 33,000 The sale will be subject to the terms and conditions specified in the General Notification F.No.4(2)-W&M/2018 dated March 27, 2018 along with the Amendment Notifica
Reserve Bank of India announces the auction of Government of India Treasury Bills as per the following details: Sr. No Treasury Bill Notified Amount(in ₹ crore) Auction Date Settlement Date 1 91 Days 13,000 May 11, 2022 (Wednesday) May 12, 2022 (Thursday) 2 182 Days 12,000 3 364 Days 8,000 Total 33,000 The sale will be subject to the terms and conditions specified in the General Notification F.No.4(2)-W&M/2018 dated March 27, 2018 along with the Amendment Notifica
മേയ് 06, 2022
RBI announces rate of interest on Government of India Floating Rate Bonds, 2024
The rate of interest on the Floating Rate Bonds, 2024 (FRB 2024) applicable for the half year May 07, 2022 to November 06, 2022 shall be 4.41 percent per annum. It may be recalled that the rate of interest on the FRB, 2024 shall be reset at the average rate (rounded off up to two decimal places) of the implicit yields, at the cut-off prices of the last three auctions of Government of India 182-day Treasury Bills, held up to the period preceding the coupon reset date,
The rate of interest on the Floating Rate Bonds, 2024 (FRB 2024) applicable for the half year May 07, 2022 to November 06, 2022 shall be 4.41 percent per annum. It may be recalled that the rate of interest on the FRB, 2024 shall be reset at the average rate (rounded off up to two decimal places) of the implicit yields, at the cut-off prices of the last three auctions of Government of India 182-day Treasury Bills, held up to the period preceding the coupon reset date,
മേയ് 06, 2022
Government Stock - Full Auction Results
Auction Results 5.74% GS 2026 GOI FRB 2028 6.67% GS 2035 6.99% GS 2051 I. Notified Amount ₹9,000 Crore ₹4,000 Crore ₹10,000 Crore ₹9,000 Crore II. Underwriting Notified Amount ₹9,000 Crore ₹4,000 Crore ₹10,000 Crore ₹9,000 Crore III. Competitive Bids Received (i) Number 179 50 189 157 (ii) Amount ₹23588.153 Crore ₹8393 Crore ₹24424.03 Crore ₹21765 Crore IV. Cut-off price / Yield 94.45 98.55 92.10 91.54 (YTM: 7.2008%) (YTM: 5.3010%) (YTM: 7.6114%) (YTM: 7.7198%) V. Com
Auction Results 5.74% GS 2026 GOI FRB 2028 6.67% GS 2035 6.99% GS 2051 I. Notified Amount ₹9,000 Crore ₹4,000 Crore ₹10,000 Crore ₹9,000 Crore II. Underwriting Notified Amount ₹9,000 Crore ₹4,000 Crore ₹10,000 Crore ₹9,000 Crore III. Competitive Bids Received (i) Number 179 50 189 157 (ii) Amount ₹23588.153 Crore ₹8393 Crore ₹24424.03 Crore ₹21765 Crore IV. Cut-off price / Yield 94.45 98.55 92.10 91.54 (YTM: 7.2008%) (YTM: 5.3010%) (YTM: 7.6114%) (YTM: 7.7198%) V. Com
മേയ് 06, 2022
Government Stock - Auction Results: Cut-off
5.74% GS 2026 GOI FRB 2028 6.67% GS 2035 6.99% GS 2051 I. Notified Amount ₹9,000 cr ₹4,000 cr ₹10,000 cr ₹9,000 cr II. Cut off Price / Implicit Yield at cut-off 94.45/7.2008% 98.55/5.3010% 92.10/7.6114% 91.54/7.7198% III. Amount accepted in the auction ₹9,000 cr ₹4,000 cr ₹10,000 cr ₹9,000 cr IV. Devolvement on Primary Dealers NIL NIL NIL NIL Rupambara Director (Communications) Press Release: 2022-2023/168
5.74% GS 2026 GOI FRB 2028 6.67% GS 2035 6.99% GS 2051 I. Notified Amount ₹9,000 cr ₹4,000 cr ₹10,000 cr ₹9,000 cr II. Cut off Price / Implicit Yield at cut-off 94.45/7.2008% 98.55/5.3010% 92.10/7.6114% 91.54/7.7198% III. Amount accepted in the auction ₹9,000 cr ₹4,000 cr ₹10,000 cr ₹9,000 cr IV. Devolvement on Primary Dealers NIL NIL NIL NIL Rupambara Director (Communications) Press Release: 2022-2023/168
മേയ് 05, 2022
Underwriting Auction for sale of Government Securities for ₹32000 crore on May 06, 2022
Government of India has announced the sale (re-issue) of Government Stock detailed below through auctions to be held on May 06, 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 Amount Minimum Und
Government of India has announced the sale (re-issue) of Government Stock detailed below through auctions to be held on May 06, 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 Amount Minimum Und
മേയ് 05, 2022
Money Market Operations as on May 04, 2022
(Amount in ₹ crore, Rate in Per cent) MONEY MARKETS@ Volume (One Leg) Weighted Average Rate Range A. Overnight Segment (I+II+III+IV) 450,449.33 3.75 2.01-5.70 I. Call Money 9,960.11 3.67 2.30-4.40 II. Triparty Repo 315,485.00 3.76 3.70-4.40 III. Market Repo 124,929.22 3.72 2.01-3.85 IV. Repo in Corporate Bond 75.00 5.70 5.70-5.70 B. Term Segment I. Notice Money** 360.30 3.61 2.50-4.05 II. Term Money@@ 497.50 - 3.25-4.20 III. Triparty Repo 125.00 3.80 3.80-3.80 IV. Mar
(Amount in ₹ crore, Rate in Per cent) MONEY MARKETS@ Volume (One Leg) Weighted Average Rate Range A. Overnight Segment (I+II+III+IV) 450,449.33 3.75 2.01-5.70 I. Call Money 9,960.11 3.67 2.30-4.40 II. Triparty Repo 315,485.00 3.76 3.70-4.40 III. Market Repo 124,929.22 3.72 2.01-3.85 IV. Repo in Corporate Bond 75.00 5.70 5.70-5.70 B. Term Segment I. Notice Money** 360.30 3.61 2.50-4.05 II. Term Money@@ 497.50 - 3.25-4.20 III. Triparty Repo 125.00 3.80 3.80-3.80 IV. Mar
മേയ് 05, 2022
RBI releases data on ECB / FCCB/RDB for March 2022
The Reserve Bank of India has today released the data on External Commercial Borrowings (ECB), Foreign Currency Convertible Bonds (FCCB) and Rupee Denominated Bonds (RDB) both, through Automatic Route and Approval Route, for the month of March 2022. Rupambara Director (Communications) Press Release: 2022-2023/164
The Reserve Bank of India has today released the data on External Commercial Borrowings (ECB), Foreign Currency Convertible Bonds (FCCB) and Rupee Denominated Bonds (RDB) both, through Automatic Route and Approval Route, for the month of March 2022. Rupambara Director (Communications) Press Release: 2022-2023/164
മേയ് 05, 2022
RBI to conduct 14-day Variable Rate Reverse Repo auction under LAF on May 06, 2022
The Reserve Bank of India will conduct a Variable Rate Reverse Repo auction on May 06, 2022, Friday, as under: Sl. No. Notified Amount (₹ crore) Tenor (day) Window Timing Date of Reversal 1 6,00,000 14 10:30 AM to 11:00 AM May 20, 2022 (Friday) 2. The operational guidelines for the auction as given in the Reserve Bank’s Press Release 2019-2020/1947 dated February 13, 2020 will remain the same. (Yogesh Dayal) Chief General Manager Press Release: 2022-2023/163
The Reserve Bank of India will conduct a Variable Rate Reverse Repo auction on May 06, 2022, Friday, as under: Sl. No. Notified Amount (₹ crore) Tenor (day) Window Timing Date of Reversal 1 6,00,000 14 10:30 AM to 11:00 AM May 20, 2022 (Friday) 2. The operational guidelines for the auction as given in the Reserve Bank’s Press Release 2019-2020/1947 dated February 13, 2020 will remain the same. (Yogesh Dayal) Chief General Manager Press Release: 2022-2023/163
മേയ് 05, 2022
Scheduled Banks’ Statement of Position in India as on Friday, April 22, 2022
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 23-Apr-21 08-APR-2022* 22-APR-2022* 23-Apr-21 08-APR-2022*22-APR-2022* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 184447.67 199551.87 196892.25 189164.15 203325.4 200556.35** b) Borrowings from banks 57129.63 37336.46 37570.86 57136.63 37345.99 37576.86 c) Other demand & time liabilities 18509.3 30102.6 31647.55 18745.81 30533.15 32083.5
(Amount in Crore of ₹) SCHEDULED COMMERCIAL BANKS (Including RRBs and SFBs) ALL SCHEDULED BANKS 23-Apr-21 08-APR-2022* 22-APR-2022* 23-Apr-21 08-APR-2022*22-APR-2022* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from bks. 184447.67 199551.87 196892.25 189164.15 203325.4 200556.35** b) Borrowings from banks 57129.63 37336.46 37570.86 57136.63 37345.99 37576.86 c) Other demand & time liabilities 18509.3 30102.6 31647.55 18745.81 30533.15 32083.5
മേയ് 05, 2022
Foreign Exchange Turnover Data: March 28 - March 31, 2022
The Reserve Bank of India today released the data showing daily merchant and Inter-Bank transactions in foreign exchange for the period March 28 – March 31, 2022. All Figures are in USD Millions Position Date MERCHANT INTER BANK FCY / INR FCY / FCY FCY / INR FCY / FCY Spot Forward Forward Cancel Spot Forward Forward Cancel Spot Swap Forward Spot Swap Forward Purchase 28/03/2022 6,181 2,150 1,468 287 313 279 12,727 16,544 2,792 5,186 3,435 303 29/03/2022 6,697 3,322 3,
The Reserve Bank of India today released the data showing daily merchant and Inter-Bank transactions in foreign exchange for the period March 28 – March 31, 2022. All Figures are in USD Millions Position Date MERCHANT INTER BANK FCY / INR FCY / FCY FCY / INR FCY / FCY Spot Forward Forward Cancel Spot Forward Forward Cancel Spot Swap Forward Spot Swap Forward Purchase 28/03/2022 6,181 2,150 1,468 287 313 279 12,727 16,544 2,792 5,186 3,435 303 29/03/2022 6,697 3,322 3,
പേജ് അവസാനം അപ്ഡേറ്റ് ചെയ്തത്: ജൂൺ 26, 2025