Deposit Schemes

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Reserve Bank Of India New Delhi Staff Co-Operative Thrift & Credit Society Ltd, New Delhi

INTEREST RATES

ON DEPOSITS


HEAD OF DEPOSITRATE OF INTEREST
(a) Compulsory 9.00% p.a.
(b) Optional Deposit 3.75% p.a.
(C) Saving Fund (For Retirees) 4.00% p.a.
(d) Fixed (Minimum amount acceptable in fixed Deposit is Rs. 1000)

FIXED DEPOSIT



Period

  • 03 Months
  • 06 Months
  • 12 Months
  • 24 Months
  • 36 Months

RATE w.e.f. 01.05.2023

  • 3.90% p.a.
  • 4.65% p.a.
  • 5.50% p.a.
  • 5.50% p.a.
  • 5.65% p.a.

Fixed Deposit of Rs. 1000/- will fetch

  • 1009.75
  • 1023.25
  • 1055.75
  • 1114.61
  • 1181.90
RECURRING DEPOSIT



Period

  • 12 Months
  • 24 Months
  • 36 Months

Rate w.e.f. 01.05.2023

  • 5.50% p.a.
  • 5.50% p.a.
  • 5.65% p.a.


LOANS & ADVANCES





PARTICULARS

RATE

W.E.F

(a) Regular Loan 7.55% p.a. 01.05.2023
(b) Festival, Emergency, Consumer & Transfer Advance 7.55% p.a. 01.05.2023
(c) Secured Loan 7.55% p.a. 01.05.2023
(d) Loan Against Fixed Deposit 1.00% above the corrected rate


Kailash Chand Mathpal

President

K.K Malik

Honorary Secretary