1.0 Introduction 02
2.2.2 Daily excess of Cash Reserve will be calculated using the following 03
formula
2.2.3 Guidelines for use of Foreign Currency from Foreign Currency 04
Clearing Account for SLR purpose
3.0 Computation of Demand and Time Liabilities 04
4.1 Penalties 05
4.2 Effectiveness 05
5.1 05
Solvency of Banks
5.2 05
Sale of Government bonds
Conclusion 09
Reference 10