Circulars/Notifications - Financial Markets Strategy & Conduct Department  

  Financial Markets Strategy & Conduct Department


Circular #
Date
Description
  FSCD Circular No. 18  December 31, 2008 Rate of Remuneration on Cash Reserve Requirement For Deposits Raised under FE-Circular 25 of 1998
  FSCD Circular No. 17  December 28, 2008 Cut-Off Timing for Dealing by Banks’ Treasuries
  FSCD Circular No. 16  November 29, 2008 Rate of Remuneration on Cash Reserve Requirement for Deposits Raised Under Fe-Circular 25 of 1998
  FSCD Circular No. 15  October 31, 2008 Rate of Remuneration on Special Cash Reserve Account Maintained with SBP Under Fe-Circular 25 of 1998
  FSCD Circular No. 14  October 04, 2008 Rate of Remuneration on Special Cash Reserve Account Maintained with SBP Under Fe-Circular 25 of 1998
  FSCD Circular No. 13  September 06, 2008 Government of Pakistan Ijara Sukuk
  FSCD Circular No. 12  July 31, 2008 Rate of Remuneration on Special Cash Reserve Account Maintained With SBP Under Fe-Circular 25 of 1998.
  FSCD Circular No. 11 August 29, 2008 Cut-Off Time During The Month of Ramazan.
  FSCD Circular No. 10  July 31, 2008 Rate of Remuneration on Special Cash Reserve Account Maintained With SBP Under Fe-Circular 25 of 1998.
  FSCD Circular No. 09  June 30, 2008 Appointment of Primary Dealers for Financial Year 2008-09
  FSCD Circular No. 08  June 30, 2008 Rate of Remuneration on Special Cash Reserve Account Maintained with SBP Under FE-Circular 25 OF 1998
  FSCD Circular No. 07  May 31, 2008 Rate of Remuneration on Special Cash Reserve Account Maintained With SBP Under FE-Circular 25 of 1998
  FSCD Circular No. 06  May 13, 2008 Primary Dealer Selection For The Year 2008-09
  FSCD Circular No. 05  April 30, 2008 Rate of Remuneration on Special Cash Reserve Account Maintained With SBP Under FE-Circular 25 of 1998
  FSCD Circular No. 04  March 31, 2008 Rate of Remuneration on Special Cash Reserve Account Maintained with SBP Under FE-Circular 25 of 1998
  FSCD Circular No. 03  February 29, 2008 Rate of Remuneration on Special Cash Reserve Account Maintained with SBP Under FE-CIRCULAR 25 of 1998.
  FSCD Circular No. 02  February 21, 2008 3-Day Repo Facility
  FSCD Circular No. 01  January 31, 2008 Rate of Remuneration on Special Cash Reserve Account Maintained With SBP Under FE-Circular 25 of 1998
 
Circular Letter #
Date
Description
  FSCD Circular Letter No. 03  September 08, 2008 REVISED CUT-OFF TIME DURING THE MONTH OF RAMAZAN
  FSCD Circular Letter No. 02  September 06, 2008 Primary Dealers for the Financial Year 2008-09
  FSCD Circular Letter No. 01  June 16, 2008 Acceptance of Surplus Cash Currencies by SBP from the Authorised Dealers (ADs)
     
 
       
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