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RBI/2013-2014/341 FMD.MOAG. No. 92 /01.01.009/2013-14 29.10.2013 Financial Markets Department Term Repo under Liquidity Adjustment Facility All Scheduled Commercial Banks (excluding RRBs)
RBI/2013-2014/340 FMD.MOAG. No. 91/01.18.001/2013-14 29.10.2013 Financial Markets Department Marginal Standing Facility Rates All Scheduled Commercial Banks (excluding RRBs)
RBI/2013-2014/339 FMD.MOAG. No. 90/01.01.001/2013-14 29.10.2013 Financial Markets Department Liquidity Adjustment Facility - Repo and Reverse Repo Rates All Scheduled Commercial Banks (excluding RRBs) and Standalone Primary Dealers
RBI/2013-2014/319 FMD.MOAG. No. 89 /01.01.009/2013-14 08.10.2013 Financial Markets Department Term Repo under Liquidity Adjustment Facility All Scheduled Commercial Banks (excluding RRBs)
RBI/2013-2014/314 FMD.MOAG. No. 88 /01.18.001/2013-14 07.10.2013 Financial Markets Department Marginal Standing Facility All Scheduled Commercial Banks (excluding RRBs)
RBI/2013-2014/278 FMD.MOAG. No. 86/01.01.001/2013-14 20.09.2013 Financial Markets Department Liquidity Adjustment Facility - Repo and Reverse Repo Rates All Scheduled Commercial Banks (excluding RRBs) and Standalone Primary Dealers
RBI/2013-2014/277 FMD.MOAG. No. 87/01.18.001/2013-14 20.09.2013 Financial Markets Department Marginal Standing Facility Rates All Scheduled Commercial Banks (excluding RRBs)
RBI/2013-2014/273 FMD.MOAG. No. 85/01.06.016/2013-14 19.09.2013 Financial Markets Department Swap Window for Attracting FCNR (B) Dollar Funds All Scheduled Banks [excluding Regional Rural Banks (RRBs)]
RBI/2013-2014/153 FMD.MOAG. No. 83/01.01.001/2013-14 23.07.2013 Financial Markets Department Liquidity Adjustment Facility - Standalone Primary Dealers All Standalone Primary Dealers
RBI/2013-2014/152 FMD.MOAG. No.82/01.01.001/2013-14 23.07.2013 Financial Markets Department Liquidity Adjustment Facility All Scheduled Commercial Banks (excluding RRBs)
RBI/2013-2014/143 FMD.MOAG.No. 81/01.01.001/2013-14 17.07.2013 Financial Markets Department Special Repo Window for Liquidity Requirement of Mutual Funds All Scheduled Commercial Banks (excluding RRBs)
RBI/2013-2014/142 FMD.MOAG. No. 80/01.01.001/2013-14 16.07.2013 Financial Markets Department Liquidity Adjustment Facility All Scheduled Commercial Banks (excluding RRBs) and Standalone Primary Dealers
RBI/2013-2014/140 FMD.MOAG. No.79 /01.01.001/2013-14 16.07.2013 Financial Markets Department Marginal Standing Facility Rates All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2012-2013/486 FMD.MOAG. No. 78 /01.01.001/2012-13 03.05.2013 Financial Markets Department Liquidity Adjustment Facility - Repo and Reverse Repo and Marginal Standing Facility Rates All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2012-2013/448 FMD.MOAG No. 77 /01.01.001/2012-13 19.03.2013 Financial Markets Department Liquidity Adjustment Facility and Marginal Standing Facility All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2012-2013/447 FMD.MOAG. No. 76 /01.01.01/2012-13 19.03.2013 Financial Markets Department Liquidity Adjustment Facility - Repo and Reverse Repo and Marginal Standing Facility Rates All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2012-2013/438 FMD.MSRG.No. 75/02.05.002/2012-13 13.03.2013 Financial Markets Department Reporting Platform for OTC Foreign Exchange and Interest Rate Derivatives All Category - I Authorised Dealer Banks
RBI/2012-2013/248 FMD.MSRG.No.72/02.05.002/2012-13 12.10.2012 Financial Markets Department Reporting Platform for OTC Foreign Exchange and Interest Rate Derivatives All Category – I Authorised Dealer Banks
RBI/2012-2013/221 FMD.MSRG. No.71/02.02.001/2012-13 25.09.2012 Financial Markets Department Reporting of OTC Call/Notice/Term Money transactions The Chairmen/Chief Executives of All Scheduled Commercial Banks (excluding RRBs)/ Co-operative Banks / Primary Dealers
RBI/2012-2013/127 FMD.MOAG. No.70/01.01.01/2012-13 11.07.2012 Financial Markets Department Reverse Repo Window under Liquidity Adjustment Facility and Marginal Standing Facility - Change of Timing All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2011-2012/616 FMD.MSRG.No.69/02.05.002/2011-12 22.06.2012 Financial Markets Department Reporting Platform for OTC Foreign Exchange and Interest Rate Derivatives All Category - I Authorised Dealer Banks and Primary Dealers
RBI/2011-2012/433 FMD.MSRG.No.67/02.05.002/2011-12 09.03.2012 Financial Markets Department Reporting Platform for OTC Foreign Exchange and Interest Rate Derivatives All Category - I Authorised Dealer Banks and Primary Dealers
RBI/2011-2012/370 FMD.MOAG. No. 66 /01.01.01/2011-12 27.01.2012 Financial Markets Department Additional Repo Operations under Liquidity Adjustment Facility (LAF) on Reporting Fridays All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2011-2012/149 FMD.MOAG. No.62/01.01.01/2011-12 09.08.2011 Financial Markets Department Reverse Repo Window under Liquidity Adjustment Facility and Marginal Standing Facility - Change of Timing All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2010-2011/569 FMD.MOAG. No.60/01.01.01/2010-11 16.06.2011 Financial Markets Department LAF - Repo/Reverse Repo/Marginal Standing Facility Rates All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2010-2011/266 FMD.MOAG. No.54/01.01.01/2010-11 09.11.2010 Financial Markets Department Liquidity Adjustment Facility - Liquidity Easing Measure All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2010-2011/250 FMD.MOAG. No.51/01.01.01/2010-11 29.10.2010 Financial Markets Department Liquidity Adjustment Facility - Liquidity Easing Measures All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2010-2011/146 FMD.MSRG.49/02.13.016/2010-2011 29.07.2010 Financial Markets Department Reporting of Issuance of Non Convertible Debentures All Debenture Trustees
RBI/2010-2011/138 FMD.MOAG. No.48/01.01.01/2010-11 27.07.2010 Financial Markets Department Liquidity Adjustment Facility - Repo and Reverse Repo Rates All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2010-2011/127 FMD.MSRG. No. 47/02.13.002/2010-11 22.07.2010 Financial Markets Department Market timings for outright transactions in Government securities, Repo in Government securities and Collateralised Borrowing and Lending Obligation (CBLO) To All Market Participants
RBI/2010-2011/118 FMD.MOAG. No. 46 /01.01.01/2010-11 16.07.2010 Financial Markets Department Second Liquidity Adjustment Facility All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2010-2011/107 FMD.MOAG. No. 45 /01.01.01/2010-11 02.07.2010 Financial Markets Department Liquidity Adjustment Facility - Repo And Reverse Repo Rates All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2009-2010/474 A.P. (DIR Series) Circular No.54 26.05.2010 Financial Markets Department Remittance towards participation in lottery, money circulation schemes, other fictitious offers of cheap funds, etc. All Authorised Dealer Category - I Banks
RBI/2009-2010/275 A.P.(DIR Series) Circular No. 22 29.12.2009 Financial Markets Department Exchange Earner's Foreign Currency (EEFC) Account - Clarification All Category - I Authorised Dealers Banks
RBI/2009-2010/177 FMD/MSRG/40 /01.14.001/2009-2010 05.10.2009 Financial Markets Department Reporting of OTC Interest Rate Derivatives - Client Level Transactions All Scheduled Commercial Banks (excluding RRBs and LABs) and Primary Dealers.
RBI/2009-2010/134 FMD.MSRG No. 39 /02.04.003/ 2009-10 28.08.2009 Financial Markets Department Exchange Traded Interest rate futures All Scheduled Commercial Banks, Primary dealers, Urban co-operative banks, Non-banking Finance Companies and specified All India Financial Institutions
RBI/2009-2010/46 FMD. MSRG. No. 36/02.08.003/2009-10 01.07.2009 Financial Markets 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/2009-2010/47 FMD.MSRG.No. 38/02.08.003/2009-10 01.07.2009 Financial Markets 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/2008-2009/444 FMD.MOAG. No. 35/01.01.01/2008-09 21.04.2009 Financial Markets Department Special Term Repo Facility All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
RBI/2008-2009/399 FMD.MOAG. No. 33/01.01.01/2008-09 04.03.2009 Financial Markets Department Liquidity Adjustment Facility - Repo and Reverse Repo Rates All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
FEMA.184 / 2009-RB FEMA.184 / 2009-RB 20.01.2009 Financial Markets Department Foreign Exchange Management (Transfer or Issue of Any Foreign Security) ( Amendment) Regulations, 2009
FEMA. 183 /2009-RB FEMA. 183 /2009-RB 20.01.2009 Financial Markets Department Foreign Exchange Management (Borrowing and Lending in Rupees) (Amendment) Regulations, 2009
RBI/2008-2009/272 A. P. (DIR Series) Circular No.32 05.11.2008 Financial Markets Department Exim Bank's Line of Credit of USD 33 million to the Government of Lao People’s Democratic Republic (Lao PDR) All Category - I Authorised Dealer Banks
RBI/2008-2009/22 Master Circular No. 09/2008-09 01.07.2008 Financial Markets Department Master Circular - Export of Goods and Services All Category - I Authorised Dealer Banks
RBI/2008-2009/23 Ref.No. FMD.MSRG.No.20/02.08.003/2008-09 01.07.2008 Financial Markets 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/2008-2009/24 Ref. FMD. MSRG. No. 21/02.08.003/2008-09 01.07.2008 Financial Markets 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/2008-2009/25 FMD. MSRG. No.22/02.08.003/2008-09 01.07.2008 Financial Markets Department Master Circular - Call/Notice Money Market Operations The Chairmen/Chief Executives of all Scheduled Commercial Banks (excluding RRBs) / Co-operative Banks / Primary Dealers
RBI/2007-2008/11 Ref.No. FMD.MSRG.No.14/02.02.009/2007-08 02.07.2007 Financial Markets Department Guidelines for Issue of Commercial Paper The Chairmen/Chief Executives of All Scheduled Banks, Primary Dealers and All-India Financial Institutions
RBI/2007-2008/12 Ref.No.FMD.MSRG.No.15/02.02.004/2007-08 02.07.2007 Financial Markets Department 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/2007-2008/13 FMD. MSRG. No. 16/02.02.001/2007-08 02.07.2007 Financial Markets 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

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ਪੇਜ ਅੰਤਿਮ ਅੱਪਡੇਟ ਦੀ ਤਾਰੀਖ: ਜੁਲਾਈ 28, 2025