<?xml version="1.0" encoding="UTF-8"?>
<?xml-stylesheet type="text/xsl" href="https://www.taxtmi.com/rss_sitemap/rss_feed_blog.xsl?v=1750492856"?>
<rss version="2.0" xmlns:atom="http://www.w3.org/2005/Atom">
  <channel>
    <title>Quarterly Report on Debt Management for the Quarter July-September 2015 (Q2 FY 16) Released; During Q2 of FY16, dated Securities worth Rs. 1, 71,000 crore issued taking the Gross Borrowings during H1 FY16 to Rs. 3, 51,000 crore (58.5 per cent of BE)</title>
    <link>https://www.taxtmi.com/news?id=15295</link>
    <description>Gross market borrowings in H1 FY16 were Rs. 3,51,000 crore with Q2 dated securities issuance of Rs. 1,71,000 crore and net market borrowings of Rs. 2,14,071 crore after repayments; primary issuance focused on elongating maturity (WAM 16.46 years, cut off yield 7.96%). Treasury bill operations produced gross issuance of Rs. 250,671 crore and a net T bill outflow of Rs. 10,930 crore for cash management. Outstanding public debt rose provisionally to Rs. 5,412,171 crore with internal debt 92.1% and rollover risk assessed as low given residual maturities and planned buybacks/switches.</description>
    <language>en-us</language>
    <pubDate>Tue, 08 Dec 2015 14:08:01 +0530</pubDate>
    <lastBuildDate>Wed, 11 Feb 2026 15:56:44 +0530</lastBuildDate>
    <generator>TaxTMI RSS Generator</generator>
    <atom:link href="https://www.taxtmi.com/rss_feed_blog?id=408101" rel="self" type="application/rss+xml"/>
    <item>
      <title>Quarterly Report on Debt Management for the Quarter July-September 2015 (Q2 FY 16) Released; During Q2 of FY16, dated Securities worth Rs. 1, 71,000 crore issued taking the Gross Borrowings during H1 FY16 to Rs. 3, 51,000 crore (58.5 per cent of BE)</title>
      <link>https://www.taxtmi.com/news?id=15295</link>
      <description>Gross market borrowings in H1 FY16 were Rs. 3,51,000 crore with Q2 dated securities issuance of Rs. 1,71,000 crore and net market borrowings of Rs. 2,14,071 crore after repayments; primary issuance focused on elongating maturity (WAM 16.46 years, cut off yield 7.96%). Treasury bill operations produced gross issuance of Rs. 250,671 crore and a net T bill outflow of Rs. 10,930 crore for cash management. Outstanding public debt rose provisionally to Rs. 5,412,171 crore with internal debt 92.1% and rollover risk assessed as low given residual maturities and planned buybacks/switches.</description>
      <category>News</category>
      <law>-</law>
      <pubDate>Tue, 08 Dec 2015 14:08:01 +0530</pubDate>
      <guid isPermaLink="true">https://www.taxtmi.com/news?id=15295</guid>
    </item>
  </channel>
</rss>