Circulars/Notifications    

  Financial Markets Strategy & Conduct Department


Circular #
Date
Description
  FSCD Circular No. 23  December 31, 2007 Rate of Remuneration on Special Cash Reserve Account Maintained with SBP Under FE-Circular 25 of 1998
  FSCD Circular No. 22  November 30, 2007 Rate of Remuneration on Special Cash Reserve Account Maintained with SBP Under FE-Circular 25 of 1998
  FSCD Circular No. 21  October 31, 2007 Rate of Remuneration on Special Cash Reserve Account Maintained with SBP Under FE-Circular 25 of 1998.
  FSCD Circular No. 20  October 31, 2007 Cut-off Time for Settlement of Inter-Bank Deals
  FSCD Circular No. 19  October 05, 2007 Reporting Procedure for Financial Derivative Activities.
  FSCD Circular No. 18  September 29, 2007 Rate of Remuneration on Cash Reserve Requirement for Deposits Raised Under FE-Circular 25 of 1998.
  FSCD Circular No. 17  September 13, 2007 Cut-Off Time for Settlement of Interbank Deals during the Month of RAMAZAN
  FSCD Circular No. 16  August 31, 2007 Rate of Remuneration on Cash Reserve Requirement for Deposits Raised Under FE-Circular 25 of 1998
  FSCD Circular No. 15  July 31, 2007 Rate of Remuneration on Cash Reserve Requirement for Deposits Raised Under FE-Circular 25 of 1998
  FSCD Circular No. 14  July 12, 2007 Appointment as Primary Dealer for Financial Year 2007-08
  FSCD Circular No. 13  July 06, 2007 3-Day REPO Facility
  FSCD Circular No. 12  June 30, 2007 Rate of Remuneration On Cash Reserve Requirement for Deposits Raised Under Fe-Circular 25 of 1998
  FSCD Circular No. 11  May 31, 2007 Rate of Remuneration on Cash Reserve Requirement for Deposits raised under FE-Circular 25 of 1998
  FSCD Circular No. 10  May 23, 2007 Primary Dealer Selection for the Year 2007-08
  FSCD Circular No. 9  May 17, 2007 Price Calculation of Securities involved In SBP REPO Transactions
  FSCD Circular No. 8  April 30, 2007 Rate of Remuneration on Cash Reserve Requirement for Deposits Raised Under FE-CIRCULAR 25 of 1998
  FSCD Circular No. 7  March 31, 2007 Rate of Remuneration on Cash Reserve Requirement for Deposits Raised Under FE-CIRCULAR 25 of 1998
  FSCD Circular No. 6  March 26, 2007 Foreign Exchange Exposure Limit (FEEL)
  FSCD Circular No. 5  Feburary 28, 2007 Rate of Remuneration on Cash Reserve Requirement for Deposits Raised Under Fe-Circular 25 of 1998
  FSCD Circular No. 4  Feburary 16, 2007 Export of Surplus Cash Dollars by the Authorised Dealers (ADs)
  FSCD Circular No. 3  January 31, 2007 Rate of Remuneration on Cash Reserve Requirement for Deposits Raised Under FE-Cicular 25 of 1998.
  FSCD Circular No. 2  January 24, 2007 Cut-off Timings for Dealing by Bank Treasuries
  FSCD Circular No. 1  January 17, 2007 Revised List of Primary Dealers for the Financial Year 2006-07
 
Circular Letter #
Date
Description
  FSCD Circular Letter No. 2 September 25, 2007 Foreign Exchange Exposure Limit
  FSCD Circular Letter No. 1 September 01, 2007 Primary Dealers for Financial Year 2007-08


Back to Circular Page / Home Page
 


© 2006 State Bank of Pakistan. All Rights Reserved.
Disclaimer | Instructions


State Bank of Pakistan
I.I. Chundrigar Road, Karachi, Pakistan.
Phone: (+9221-24450298, Fax: (+9221) 9212440
www.sbp.org.pk