Notification on Base Rate and Base Lending Rate/Base Financing Rate
06 March 2020
Effective 9 March 2020, our Base Rate (BR) will be revised from 3.75% p.a. to 3.50%* p.a. and Base Lending Rate (BLR)/ Base Financing Rate (BFR) from 6.60% p.a. to 6.35%* p.a. Similarly, Fixed Deposit / Fixed Return Income Account-i Board Rates will be reduced by 0.25%* p.a.
*Note: Rates are subject to change from time to time.