RBI Regulations Corner


FOMC Statement – 31/01/2024

Risk Management and Inter-Bank Dealings – Hedging of foreign exchange risk – 

The “Risk Management and Inter-Bank Dealings” document, effective April 5, 2024, outlines the latest guidelines for hedging foreign exchange risks in India. It consolidates earlier norms into a comprehensive framework, emphasizing over-the-counter (OTC) and exchange-traded derivatives. The document provides a detailed classification of users, available products, and conditions for transactions. It’s essential for understanding the current regulatory landscape for forex transactions and risk management in India.

Minutes of the Federal Open Market Committee, December 12–13, 2023

Reserve Bank of India Bulletin

Master Direction – Reserve Bank of India (Market-makers in OTC Derivatives) Directions

Comprehensive guidelines on derivatives

Master Direction – External Commercial Borrowings, Trade Credits and Structured Obligations

Hedging of Commodity Price Risk and Freight Risk in Overseas Markets
(Reserve Bank) Directions

Foreign Exchange Management (Foreign exchange derivative contracts) Regulations

Master Direction – Reserve Bank of India (Market-makers in OTC Derivatives) Directions

Master Direction – Foreign Exchange Management (Hedging of Commodity Price Riskand Freight Risk in Overseas Markets) Directions, 2022

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