TMI BlogMaster Circular on Risk Management and Inter-Bank DealingsX X X X Extracts X X X X X X X X Extracts X X X X ..... rcular No. 14/2010-11 Dated 1-7-2010 Foreign Exchange Derivative Contracts, Overseas Commodity Freight Hedging, Rupee Accounts of Non-Resident Banks, Inter-Bank Foreign Exchange Dealing ..... X X X X Extracts X X X X X X X X Extracts X X X X ..... cations is set out in Appendix. 3. This Master Circular is issued with a sunset clause of one year. This circular will stand withdrawn on July 1, 2011 and would be replaced by an updated Master Circ ..... X X X X Extracts X X X X X X X X Extracts X X X X
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