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Last Updated on: Thursday, 20 August 2026

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11 Implementation of BASEL III Liquidity Ratio (NSFR). Ref: SDAD Circular Letter No. 11 dated 21-Jul-2026.
12 Foreign currency-Taka Swap facility for exporters operating in Specialized Zones against unencumbered funds in foreign currency accounts.. Ref: FEPD-1 Circular Letter No. 10 dated 13-Jul-2026.
13 Forward Rate Agreements to hedge interest rate risk against imports under suppliers’/buyers’ credit. Ref: FEPD-1 Circular No. 16 dated 02-Jul-2026.
14 Determination of Fees/Charges for NPSB Transactions and Government Payments. Ref: PSD-2 Circular Letter No. 05 dated 01-Jul-2026.
15 Policy regarding investment of scheduled banks in Non-listed securities. Ref: SDAD Circular Letter No. 09 dated 01-Jul-2026.
16 Regarding the Intermediation spread between the weighted average interest rate of advances and deposits. Ref: BRPD-1 Circular Letter No. 22 dated 29-Jun-2026.
17 Bank Resolution Act, 2026. Ref: BRD Circular No. 01 dated 10-Jun-2026.
18 Regarding the Publication of an Effective Reference Rate for the Money Market Segment of Bangladesh’s Financial Market. Ref: DMD Circular Letter No. 08 dated 01-Jun-2026.
19 Dividend Declaration Policy for Banks. Ref: SPCD Circular No. 06 dated 23-May-2026.
20 Renaming Cashless Bangladesh Unit as Bangla QR Implementation Unit. Ref: PSD-1 Circular Letter No. 02 dated 23-May-2026.

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Banking Information

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