| 371 |
CLEARING CHARGE FOR BACH TRANSACTION. REF: PSD CIRCULAR NO. 01 DATED 28.02.2013.
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| 372 |
SECONDARY TRADING THROUGH MARKET INFRASTRUCTURE (MI) MODULE USING TRADER WORK STATION. REF: DMD CIRCULAR NO. 11 DATED 13.12.2012.
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| 373 |
REGARDING PROVIDING LIQUIDITY SUPPORT TO PRIMARY DEALERS. REF: DMD CIRCULAR LETTER NO. 05 DATED 12.12.2012.
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| 374 |
CALCULATION OF APPLICABLE YIELD FOR DEVOLVEMENT IN TREASURY BOND AUCTION. REF: DMD CIRCULAR NO. 09 DATED 03.10.2012
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| 375 |
Regarding Margin Lending of subsidiary company/companies established for merchant banking/brokerage activities. Ref: DOS Circular Letter No. 14 dated 02-Oct-2012.
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| 376 |
Changed Premium Rate of Deposit Insurance Trust Fund. Ref: DID Circular No. 02 dated 02-Oct-2012.
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| 377 |
AUCTION AND DISTRIBUTION PROCESS OF TREASURY BILLS AND BONDS. REF: DMD CIRCULAR NO. 08 DATED 26.09.2012.
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| 378 |
PURCHASE OF FIXED ASSETS BY BANKS. REF: BRPD CIRCULAR LETTER NO. 09 DATED 30.07.2012
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| 379 |
INVOLVEMENT OF BANGLADESH BANK OFFICIALS IN TRAINING PROGRAM/ACTIVITIES ARRANGED BY BANKS/FINANCIAL INSTITUTIONS. REF: BRPD CIRCULAR NO. 06 DATED 31.05.2012.
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| 380 |
RISK MANAGEMENT GUIDELINES FOR BANKS. REF: DOS CIRCULAR NO. 02 DATED 15.02.2012.
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