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Money Market Operations as on April 19, 2021

Money Market Operations as on April 19, 2021 Targeted Long Term Repo Operations Fri, 27032020 1092 Fri, 24032023 12,236.00 4.40 Fri, 03042020 1095 Mon, 03042023 16,925.00 4.40 Thu, 09042020 1093 Fri, 07042023 18,042.00 4.40 Fri, 17042020 1091 Thu, 13042023 20,399.00 4.40 6. Targeted Long Term Repo Operations 2.0 Thu, 23042020 1093 Fri, 21042023 7,950.00 4.40 7.PTI | Mumbai | Updated: 20-04-2021 15:26 IST | Created: 20-04-2021 15:25 IST Money Market Operations as on April 19, 2021 (Amount in c...
Clearing Corporation Of India Limited Money Market Operations Average Rate Range Corporate Bond Auction Date Tenor Maturity Date Amount Current Rate

Bank Negara higher at US$109b at Feb 26

Bank Negara said the reserves position is sufficient to finance 8.6 months of retained imports and 1.2 times total short-term external debt. KUALA LUMPUR: Bank Negara Malaysiaโ€™s (BNM) international reserves increased by US$400mil to US$109bil as at Feb 26,2021 compared to US$108.6bil as at Jan 29. In a statement on Friday, Bank Negara said the reserves position is sufficient to finance 8.6 months of retained imports and 1.2 times total short-term external debt. The central bank said the main ...
Kuala Lumpur International Monetary Fund Bank Negara Bank Negara Malaysia Special Drawing Rights Foreign Reserves

Money Market Operations as on February 03, 2021

Money Market Operations as on February 03, 2021 Targeted Long Term Repo Operations 2.0 - - - - -7. Targeted Long Term Repo Operations 2.0 - - - - -7. Targeted Long Term Repo Operations 2.0 Thu, 23042020 1093 Fri, 21042023 7,950.00 4.40D. Net liquidity injected outstanding including todays operations injection absorption - -6,57,919.94 RESERVE POSITIONG.PTI | New Delhi | Updated: 04-02-2021 13:09 IST | Created: 04-02-2021 13:04 IST Money Market Operations as on February 03, 2021 (Amount in cror...
Clearing Corporation Of India Limited Money Market Operations Avg Rate Overnight Segment Corporate Bond Maturity Date Amount Current Rate

Mumbai, Jan 11 (PTI) Money Market Operations as on January 10, 2021

Mumbai, Jan 11 (PTI) Money Market Operations as on January 10, 2021 Targeted Long Term Repo Operations 2.0 - - - 7. Targeted Long Term Repo Operations Fri, 27032020 1092 Fri, 24032023 12,236.00 4.40Fri, 03042020 1095 Mon, 03042023 16,925.00 4.40Thu, 09042020 1093 Fri, 07042023 18,042.00 4.40Fri, 17042020 1091 Thu, 13042023 20,399.00 4.406. Targeted Long Term Repo Operations 2.0 Thu, 23042020 1093 Fri, 21042023 7,950.00 4.40D.PTI | Mumbai | Updated: 11-01-2021 15:00 IST | Created: 11-01-2021 15...
Clearing Corporation Of India Limited Money Market Operations Average Rate Overnight Segment Call Money Corporate Bond

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