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Last Updated on: Thursday, 20 August 2026
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Head Office → Treasury Management
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Title
71
Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR). Ref: DOS Circular Letter No. 23 dated 07-Oct-2018.
72
Issuance of Floating Rate Treasury Bond(FRTB). Ref: DMD Circular No. 03 dated 21-May-2018.
73
Exemption from compliance of section 7(3) of the Bank Company Act, 1991 (amended upto 2013). Ref: BRPD Circular Letter No. 07 dated 08-May-2018.
74
Regarding policy of Buy-back of Bangladesh Government Treasury Bill/Bond. Ref: DMD Circular No. 01 dated 09-Jan-2018.
75
Quarterly Consultation Meeting with Primary Dealers. Ref: DMD Circular No. 02 dated 26-Nov-2017.
76
Changed schedule of Bangladesh Bank Bill Auction. Ref: DMD Circular Letter No. 02 dated 27-Aug-2017.
77
Investment in Bond/Debentures. Ref: BRPD Circular No. 05 dated 05-Apr-2017.
78
Amendment of Guidelines on Commercial Paper (CP) for Banks. Ref: BRPD Circular Letter No. 01 dated 09-Feb-2017.
79
Rationalization of Rate of Interest on Deposit and Lending. Ref: BRPD Circular No. 01 dated 07-Feb-2017.
80
Guidelines on Commercial Paper (CP) for Banks. Ref: BRPD Circular No. 07 dated 25.09.2016.
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