4T_051110F

Post on 09-Apr-2018

216 views 0 download

Transcript of 4T_051110F

  • 8/8/2019 4T_051110F

    1/1

    Cash Reserve Ratio (per cent)(1)

    Bank RateI.D.B.I.(2)

    Base Rate(3)

    Deposit Rate(4)Call Money Rate (Low/High)(5)

    - Borrowings- Lendings

    5.00 6.00

    10.25 11.00-12.00

    6.25-7.50

    1.50/4.10 1.50/4.10

    Oct. 23

    1 2

    (1) Cash Reserve Ratio relates to Scheduled Commercial B(3) Base Rate relates to five major banks since July 1, 2010. Earlier for term deposits of more than one year maturity. (5) Data cover 9

    4. Cash Rese

    2009Item/Week Ended