Intra-Year Movements in Interest Rates (2000 & 2001) | ||||||
(Percent) | ||||||
Item | Interest Rates | |||||
Prime Lending Rate* | 10.0-12.5 (July 2001) | 10.0-13.0 (March 2001) | 11.50-13.00 (February 2001) | 11.75-13.00 (August 2000) | 11.25-12.50 (April 2000) | 12.00-13.50 (March 2000) |
Deposit Rates * | ||||||
i) Up to one year | ||||||
ii) 1-3 years | ||||||
iii) Above 3 years | ||||||
Treasury Bills# | ||||||
i) 14-day | ||||||
ii) 91-day | ||||||
iii) 182-day | ||||||
iv) 364-day | ||||||
10-year residual maturity Government of India Security YTM (Secondary Market) |