- Circular 30-98-EF/90 (31/12/98)
Modifies annexes 2 and 3 of Circular 037-96-EF/90, referred to payments for trade triangulation and procedures for the recovery of financial costs. - Circular 29-98-EF/90 (23/12/98)
Carries out auction of Banco de la Nacións funds at the Central Reserve Bank. - Circular 28-98-EF/90 (04/12/98)
Reference: Dispositions in foreign currency reserve. - Circular 27-98-EF/90 (02/12/98)
Index of Daily Readjustment referred to Article 240 of the General Law of banking institutions, the Financial and Insurance System and Chart of the Superintendence of Banks and Insurance Companies, corresponding to the month of December. - Circular 26-98-EF/90 (10/11/98)
Modifies Circular 018-97-EF/90 of May 21, 1997 updating first category banks list. - Circular 25-98-EF/90 (02/11/98)
Index of Daily Readjustment referred to Article 240 of the General Law of banking institutions, the Financial and Insurance System and Chart of the Superintendence of Banks and Insurance Companies, corresponding to the month of November. - Circular 24-98-EF/90 (23/10/98)
Reference: Dispositions in foreign currency reserve. - Circular 23-98-EF/90 (16/10/98)
Reference: Overnight deposits in foreign currency at the Central Reserve Bank. - Circular 22-98-EF/90 (01/10/98)
Index of Daily Readjustment referred to Article 240 of the General Law of banking institutions, the Financial and Insurance System and Chart of the Superintendence of Banks and Insurance Companies, corresponding to the month of October. - Circular 21-98-EF/90 (17/09/98)
Reference: Reports on Treasury, liquidity position and interest rates. - Circular 20-98-EF/90 (07/09/98)
Reference: Dispositions in foreign currency reserve. - Circular 19-98-EF/90 (01/09/98)
Index of Daily Readjustment referred to Article 240 of the General Law of banking institutions, the Financial and Insurance System and Chart of the Superintendence of Banks and Insurance Companies, corresponding to the month of September. - Circular 18-98-EF/90 (03/08/98)
Index of Daily Readjustment referred to Article 240 of the General Law of banking institutions, the Financial and Insurance System, corresponding to the month of August. - Circular 17-98-EF/90 (09/07/98)
Reference: Pension Fund Administrator investments. - Circular 16-98-EF/90 (03/07/98)
Set in S/. 6350,00 the fee corresponding to the third and fourth quarter of 1998. - Circular 15-98-EF/90 (01/07/98)
Index of Daily Readjustment referred to Article 240 of the General Law of banking institutions, the Financial and Insurance System, corresponding to the month of July. - Circular 14-98-EF/90 (30/06/98)
Reference: Dispositions in foreign currency reserve - Circular 13-98-EF/90 (22/06/98)
Commemorative coin of the 250 anniversary of the Birth of Precursor Juan Pablo Viscardo y Guzmán - Circular 12-98-EF/90 (09/06/98)
Reference: Custody system regulation - Circular 11-98-EF/90 (02/06/98)
Index of Daily Readjustment referred to Article 240 of the General Law of banking institutions, the Financial and Insurance System, corresponding to the month of June. - Circular 10-98-EF/90 (05/05/98)
Set that those entities subject to the Central Bank Report 15 referred to credit lines from abroad, according to Superintendence of Banks and Insurance Companies Circular 1720-98. - Circular 09-98-EF/90 (05/05/98)
Index of Daily Readjustment referred to Article 240 of the General Law of banking institutions, the Financial and Insurance System, corresponding to the month of May. - Circular 08-98-EF/90 (14/04/98)
Commemorative coins of the Centennial of the Foundation of the Chorrillos Military School. - Circular 07-98-EF/90 (02/04/98)
Index of Daily Readjustment referred to Article 240 of the General Law of banking institutions, the Financial and Insurance System, corresponding to the month of April. - Circular 06-98-EF/90 (03/03/98)
Modifies the Regulation of Negotiation of CDBCRP leaving aside Circular 015-96-EF/90. - Circular 05-98-EF/90 (02/03/98)
Index of Daily Readjustment referred to Article 240 of the General Law of banking institutions, the Financial and Insurance System, corresponding to the month of March. - Circular 04-98-EF/90 (02/02/98)
Index of Daily Readjustment referred to Article 240 of the General Law of banking institutions, the Financial and Insurance System, corresponding to the month of February. - Circular 03-98-EF/90 (16/01/98)
Set the financial enterprises with access to module 3, Article 290 of the General Law of banking institutions, the Financial and Insurance System remits to the Central Bank statistic information. - Circular 02-98-EF/90 (06/01/98)
Set in S/. 6000,00 the fee corresponding to the first and second quarter of 1998, for the financial system enterprises that participate in the Checks' Clearing House. - Circular 01-98-EF/90 (05/01/98)
Index of Daily Readjustment referred to Article 240 of the General Law of banking institutions, the Financial and Insurance System, corresponding to the month of January.