DATE |
DECISION # |
CIRCULAR # |
TITLE |
VIEW IN |
25/03/98 | 6941 | 45 | Discount Rates and Interest Rates on Loans Granted by BDL | AR |
25/03/98 | 6939 | 44 | Capital Adequacy Regulatory Framework for Banks Operating in Lebanon | AR |
25/03/98 | 6938 | 43 | Regulatory Capital for Calculating the Prudential Limits on Banks Operating in Lebanon | AR |
26/02/98 | 6911 | 42 | Clearing Houses at Banque du Liban | AR |
26/02/98 | 6910 | 41 | Banknotes and coins Unfit for Circulation | AR |
26/02/98 | 6908 | 40 | Methods of Deposit and Withdrawal of Money and Drawing of Cheques on Accounts Opened with BDL | AR |
21/02/98 | 6905 | 1 | Financial Statements of Money Dealers | AR |
14/02/98 | 6896 | 39 | Correspondence with Banque du Liban | AR |
14/02/98 | 6895 | 38 | Public Sector Deposits, Cheques, Transfers and Payments | AR |
19/12/97 | 6856 | 36 | Bonds | AR FR |
06/12/97 | 6830 | 35 | Subordinated Loans and Subordinated Bonds | AR |
24/04/97 | 6576 | 34 | Consolidated Financial Statements | AR |
24/04/97 | 6574 | 33 | Balance Sheet and Income Statement to be Published | AR |
24/04/97 | 6568 | 32 | Exchange Operations at the Banks and Financial Institutions | AR EN |
13/03/97 | 6504 | 1 | Financial Statements of Financial Institutions | AR EN |