| Sr.No. |
Circular Number |
Subject |
|
1. | DBOD.No.BM.2732/C.297/K-63
dated March 13, 1963 | Export
Bills Credit Scheme |
| 2. |
DBOD.No.BM.78/C.297(M)-69 dated January
20, 1969 | Refinancing
of Pre-shipment Credit |
| 3. |
DBOD.No.B.M.931/C.297P-69 dated June
9, 1969 | Refinancing
under section 17(3A) of the Reserve Bank of India Act, 1934 - Pre-shipment Credit
Scheme |
| 4. |
CPC.No.BC.45/279A-81 dated March
18, 1981 | Export
Refinance. |
| 5. |
CPC.No.BC.46/279A-81 dated May 27,
1981 | Interest
Rate on Export Credit Refinance |
|
6. | CPC.No.BC.60/279A-82
dated October 25, 1982 | Changes
in Interest Rate on Export Credit Refinance |
|
7. | CPC.No.BC.64/279A-83
dated October, 1983 | Export
Credit Refinance |
| 8. |
CPC.No.BC.77/279A-85 dated October
25, 1985 | Export
Credit Refinance |
| 9. |
CPC.No.BC.79/279A-86 dated August
1, 1986 | Export
Credit Refinance- Change in Interest Rate |
|
10. | CPC.No.BC.91/279A-88
dated April 2, 1988 | Export
Credit Refinance |
| 11. |
CPC.No.BC.98/279A-89 dated March
27, 1989 | Export
Credit Refinance |
| 12. |
CPC.No.BC.103/279A-90 dated April
12, 1990 | Export
Credit Refinance |
| 13. |
CPC.No.BC.111/279A-91 dated April
12, 1991 | Export
Credit Refinance |
| 14. |
CPC.No.BC.115/279A-91 dated September
3, 1991 | Export
Credit Refinance |
| 15. |
CPC.No.BC.116/279A-91 dated October
8, 1991 | Export
Credit Refinance |
| 16. |
CPC.No.BC.122/279A-92 dated April
21, 1992 | Rates
of Interest on Export Credit Refinance ((Rupee) and Refinance for Post-Shipment
Credit denominated in US Dollars |
|
17. | CPC.No.BC.123/279A-92
dated April 23, 1992 | Export
Credit Refinance ((Rupee) and Refinance Against Post-Shipment Export Credit Denominated
in US Dollars |
| 18. |
CPC.No.BC.129/07.01.279/92-93 dated
April 7, 1993 | Export
Credit (Rupee) Refinance and Refinance Against Post-Shipment Export Credit Denominated
in US Dollars |
| 19. |
CPC.No.BC.132/07.01.279/93-94 dated
October 11, 1993 | Export
Credit (Rupee) Refinance and Refinance against Post-Shipment Export Credit Denominated
in US Dollars |
| 20. |
CPC.No.BC.136/07.01.279/93-94 dated
May 14, 1994 | Export
Credit (Rupee) Refinance and Refinance against Post-Shipment Export Credit Denominated
in US Dollars |
| Sr.No. |
Circular Number |
Subject |
|
21. | CPC.No.BC.144/07.01.279/94-95
dated April 17, 1995 | Interest
Rates on Term Deposits |
| 22. |
CPC.No.3559/03.02.15/94-95 dated
April 20, 1995 | Export
Credit Refinance |
| 23. |
UBD.DS.SUB.CIR.3/13.04.00/95-96 dated
February 7, 1996 | Interest
Rates on Advances |
| 24. |
CPC.No.2101/03.02.01/95-96 dated
January 15, 1996 | Refinance
against Post-shipment Export Credit denominated in US Dollars (PSCFC) |
| 25. |
CPC. /03.02.01/95-96 dated February
7, 1996 | Export
Credit Refinance |
| 27. |
CPC.No.3466/03.02.01/95-96 dated
April 4, 1996 | Export
Credit Refinance |
| 28. |
IECD.No.10/04.02.01/96-97 dated October
19, 1996 | Interest
rates on advances - Post-shipment Rupee Credit |
|
29. | CPC.No.1067/03.02.01/96-97
dated October 23, 1996 | Export
Credit Refinance |
| 30. |
CPC.No.2652/03.02.01/96-97 dated
April 21, 1997 | Export
Credit Refinance |
| 31. |
MPD.No.2035/03.02.01/97-98 dated
January 16, 1998 | Reserve
Bank Refinance |
| 32. |
CPC.No.2662/03.02.01/97-98 dated
March 18, 1998 | Interest
Rates on Refinance Facilities from the reserve Bank of India |
| 33. |
MPD.No.2932/03.02.01/97-98 dated
April 2, 1998 | Interest
Rates on Refinance Facilities from the reserve Bank of India |
| 34. |
MPD.No.3121/03.02.01/97-98 dated
April 29, 1998 | Refinance
Facilities from the Reserve Bank of India |
|
35. | MPD.BC.No.177/07.01.279/97-98
dated June 11, 1998 | Interest
Rate on Export Credit |
| 36. |
MPD.49/03.02.01/98-99 dated July
8, 1998 | Export
Credit Refinance |
| 37. |
MPD.BC.No.179/07.01.279/98-99 dated
August 6, 1998 | Interest
Rate on Export Credit and Export Credit Refinance |
|
38. | MPD.No.1018/03.02.01/98-99
dated October 15, 1998 | Fortnightly
Statement showing Export Credit Refinance Limits |
|
39. | MPD.BC.No.182/07.01.279/98-99
dated March 1, 1999 | Bank
Rate and Export Credit Refinance Rate |
|
40. | MPD.BC.No.184/07.01.279/98-99
dated March 1, 1999 | Interest
Rate on Export Credit and Export Credit Refinance |
| 41. | MPD.3278/03.02.01/99-2000
dated April 1, 2000 | Interest
Rates on Export Credit Refinance and Collateralised Lending Facilities |
| 42. |
MPD.3538/03.02.01/99-2000 dated April
27, 2000 | Liberalised
Export Credit Refinance Facility |
|
43. | MPD.BC.No.198/07.01.279/2000-01
dated July 21, 2000 | Bank
Rate |
| 44. |
MPD.BC.No.200/07.01.279/2000-01 dated
July 21, 2000 | Export
Credit Refinance and Collateralised Lending Facility |
|
45. | MPD.2992/03.02.01/2000-01
dated April 21, 2000 | Standing
Liquidity Facilities Scheme |
|
46. | MPD.3115/03.02.01/2000-01
dated April 30, 2001 | Standing
Liquidity Facilities Scheme |
|
Sr.No. |
Circular Number |
Subject |
|
47. | MPD.BC.No.213/02.01.279/2001-02
dated March 18, 2002 | Export
Credit Refinance Scheme |
| 48. |
MPD.BC.No.223/07.01.279/2002-03 dated
October 29, 2002 | Export
Credit Refinance Facility |
| 49. |
MPD.BC.No.232/07.01.279/2002-03 dated
April 29, 2003 | Export
Credit Refinance Facility |
| 50. |
MPD.BC.No.243/07.01.279/2003-04 dated
November 5, 2003 | Rationalisation
of Standing Facilities |
| 51. |
MPD.BC.No.246/07.01.279/2003-04 dated
March 25, 2004 | Standing
Liquidity Facilities for Banks for Export Credit and Primary dealers (PDs): Rationalisation |
| 52. |
MPD.BC.No.247/07.01.279/2003-04 dated
April 07, 2004 | Standing
Liquidity Facilities for Banks for Export Credit: Rationalisation |