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index-to-rbi-circulars
circular-number | date-of-issue | index-to-rbi-circular-department | subject | meant-for |
---|---|---|---|---|
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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