MANU/RMIC/0045/2016
Ministry : Reserve Bank of India
Department/Board : Department of Banking Regulation
Circular No. : DBR.BP.BC.No.86/21.04.098/2015-2016
RBI/2015-2016/344
Date : 23.03.2016
Notification/ Circulars Referred : DBOD.BP.No.56/21.04.098/2012-13 dated November 7, 2012 MANU/DBOD/0219/2012;DBOD.BP.BC.No.120/21.04.098/2013-14 dated June 9, 2014 MANU/DBOD/0042/2014;DBR.BP.BC.No.52/21.04.098/2014-15 dated November 28, 2014 MANU/RMIC/0231/2014;DBR.No.BP.BC.80/21.06.201/2014-15 dated March 31, 2015 MANU/RMIC/0119/2015
Citing Reference:
DBOD.BP.No.56/21.04.098/2012-13 dated November 7, 2012 MANU/DBOD/0219/2012 Referred
DBOD.BP.BC.No.120/21.04.098/2013-14 dated June 9, 2014 MANU/DBOD/0042/2014 Referred
DBR.BP.BC.No.52/21.04.098/2014-15 dated November 28, 2014 MANU/RMIC/0231/2014 Referred
DBR.No.BP.BC.80/21.06.201/2014-15 dated March 31, 2015 MANU/RMIC/0119/2015 Referred
All Scheduled Commercial Banks
(excluding RRBs)
Dear Sir/Madam,
Liquidity Risk Management and Basel III Framework on Liquidity Standards - Liquidity Coverage Ratio (LCR), Liquidity Risk Monitoring Tools and LCR Disclosure Standards
Please refer to our following circulars on Liquidity Risk Framework:
1. DBOD.BP.No.56/21.04.098/2012-13 dated November 7, 2012 on "Liquidity Risk Management by Banks."
2. DBOD.BP.BC.No.120/21.04.098/2013-14 dated June 9, 2014 and DBR.BP.BC.No.52/21.04.098/2014-15 dated November 28, 2014 on "Basel III Framework on Liquidity Standards - Liquidity Coverage Ratio (LCR), Liquidity Risk Monitoring Tools and LCR Disclosure Standards."