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Last Updated on: Thursday, 20 August 2026
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Head Office → Treasury Management → Liquidity Management
SL
Title
1
Regarding the Lien on Current Account Balances Maintained with Bangladesh Bank Against TT Discounting Facilities Granted to Scheduled Banks. Ref: BRPD-1 Circular Letter No. 26 dated 03-Aug-2026.
2
Re-fixation of Interest Rate Corridor (IRC). Ref: MPD Circular No. 02 dated 02-Aug-2026.
3
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.
4
Revised Implementation Timeline of the ‘Guidelines for Open Market Operations’. Ref: DMD Circular Letter No. 05 dated 30-Apr-2026.
5
Regarding the Publication of an Effective Reference Rate for the Money Market Segment of Bangladesh’s Financial Market. Ref: DMD Circular No. 03 dated 13-Apr-2026.
6
Guidelines for Open Market Operations. Ref: DMD Circular No. 02 dated 26-Feb-2026.
7
Re-fixation of Interest Rate Corridor (IRC). Ref: MPD Circular No. 01 dated 09-Feb-2026.
8
Auction of Central Bank Repo. Ref: DMD Circular Letter No. 09 dated 24-Mar-2025.
9
Change of Cash Reserve Ratio (CRR). Ref: MPD Circular No. 01 dated 04-Mar-2025.
10
Auction of Central Bank Repo. Ref: DMD Circular Letter No. 12 dated 21-Oct-2024.
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