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Week wise Ratios (Cash Reserve, Cash-Deposit, Credit-Deposit), Rates (Bank, Base Rate, Call Money-Weighted Average, Fixed Reverse Repo Rate) and FBIL Reference Rate and Forward Premia Data

Dataset Overview

This Dataset contains weekly data on Cash Reserve Ratio, Cash-Deposit Ratio, Credit-Deposit Ratio, Incremental Credit-Deposit Ratio, Incremental Investment-Deposit Ratio, Investment-Deposit Ratio, Statutory Liquidity Ratio, 10-Year G-Sec Par Yield (FBIL), Treasury Bill (Primary) Yield, Bank Rate, Base Rate, Call Money Rate (Weighted Average), Fixed Reverse Repo Rate, Marginal Standing Facility (MS...

HFIPremium

Organisation

Reserve Bank of India

Sectors

Banking

Update Frequency

Weekly

Granularity

Date, Category

Time Saved

4.5 hours

Number of Rows

19797

Number of Columns

6

Sources

Reserve Bank of India

Time Period

2011 to 2025

Units

value in percentage

value in Rupees per unit of foreign currency

Last Updated

June, 2025

Related Datasets

All India Year wise number of accounts, credit limit and outstanding amount of scheduled commercial banks according to interest rate range and organisation

Organisation

Reserve Bank of India

Time Period

2022

Daily Cash Balances of Scheduled Commercial Banks (excluding Regional Rural Banks) with Reserve Bank of India

Organisation

Reserve Bank of India

Time Period

2006 to 2025

Fortnight wise Sources and Components of Money Stock

Organisation

Reserve Bank of India

Time Period

2001 to 2025

Data Preview

daterate_ratiocategoryvalueunitnote
13-06-2025FBIL Reference Rate and Forward PremiaForward Premia of USD 3-month1.5315value in Rupees per unit of foreign currency
13-06-2025FBIL Reference Rate and Forward PremiaForward Premia of USD 6-month1.6382value in Rupees per unit of foreign currency
13-06-2025FBIL Reference Rate and Forward PremiaForward Premia of USD 1-month1.5905value in Rupees per unit of foreign currency
13-06-2025FBIL Reference Rate and Forward PremiaINR-Euro Spot Rate99.3151value in Rupees per unit of foreign currency
13-06-2025FBIL Reference Rate and Forward PremiaINR-USD Spot Rate86.0979value in Rupees per unit of foreign currency
13-06-2025Rates10-Year G-Sec Par Yield (FBIL)6.31value in Percentage
13-06-2025Rates182-Day Treasury Bill (Primary) Yield5.4334value in Percentage
13-06-2025Rates364-Day Treasury Bill (Primary) Yield5.5value in Percentage
13-06-2025Rates91-Day Treasury Bill (Primary) Yield5.3694value in Percentage
13-06-2025RatesBank Rate5.75value in Percentage

Metadata

NameNumber of Distinct ValuesNumber of Unique ValuesTypeCount
date7420Text19797
rate_ratio30Text19797
category310Text19797
value70316092Text16070
unit20Text19797
note00Unsupported0

Related Datasets

All India Year wise number of accounts, credit limit and outstanding amount of scheduled commercial banks according to interest rate range and organisation

Organisation

Reserve Bank of India

Time Period

2022

Daily Cash Balances of Scheduled Commercial Banks (excluding Regional Rural Banks) with Reserve Bank of India

Organisation

Reserve Bank of India

Time Period

2006 to 2025

Fortnight wise Sources and Components of Money Stock

Organisation

Reserve Bank of India

Time Period

2001 to 2025

Tags

Bank Rate
Cash Reserve Ratio
Statutory Liquidity Ratio
+28

Citation

Reserve Bank of India. Week wise Ratios (Cash Reserve, Cash-Deposit, Credit-Deposit), Rates (Bank, Base Rate, Call Money-Weighted Average, Fixed Reverse Repo Rate) and FBIL Reference Rate and Forward Premia Data [Data set]. Dataful. https://dataful.in/datasets/17860