| 
			 (Amount in ₹ Crore, Rate in Per cent) 
			
				
					
						| 
						 MONEY MARKETS@  
						 | 
					 
					
						|   | 
						
						 Volume  
						(One Leg) 
						 | 
						
						  Weighted 
						 Average Rate 
						 | 
						
						 Range 
						 | 
					 
					
						| 
						 A. 
						 | 
						
						 Overnight Segment (I+II+III+IV)  
						 | 
						
						 6,02,266.22 
						 | 
						
						 6.21 
						 | 
						
						 5.00-6.65 
						 | 
					 
					
						| 
						 I. Call Money         
						 | 
						
						 13,904.85 
						 | 
						
						 6.34 
						 | 
						
						 5.15-6.65 
						 | 
					 
					
						| 
						 II. Triparty Repo   
						 | 
						
						 4,25,598.80 
						 | 
						
						 6.16 
						 | 
						
						 5.72-6.31 
						 | 
					 
					
						| 
						 III. Market Repo         
						 | 
						
						 1,60,868.37 
						 | 
						
						 6.32 
						 | 
						
						 5.00-6.55 
						 | 
					 
					
						| 
						 IV. Repo in Corporate Bond   
						 | 
						
						 1,894.20 
						 | 
						
						 6.52 
						 | 
						
						 6.50-6.57 
						 | 
					 
					
						| 
						 B. 
						 | 
						
						 Term Segment   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
					 
					
						| 
						 I. Notice Money**    
						 | 
						
						 309.00 
						 | 
						
						 6.24 
						 | 
						
						 5.80-6.40 
						 | 
					 
					
						| 
						 II. Term Money@@  
						 | 
						
						 354.00 
						 | 
						
						 - 
						 | 
						
						 6.45-7.25 
						 | 
					 
					
						| 
						 III. Triparty Repo   
						 | 
						
						 675.00 
						 | 
						
						 6.30 
						 | 
						
						 6.27-6.40 
						 | 
					 
					
						| 
						 IV. Market Repo  
						 | 
						
						 841.07 
						 | 
						
						 6.13 
						 | 
						
						 6.00-6.55 
						 | 
					 
					
						| 
						 V. Repo in Corporate Bond  
						 | 
						
						 0.00 
						 | 
						
						 - 
						 | 
						
						 - 
						 | 
					 
				
			 
			  
			
				
					
						| 
						 RBI OPERATIONS@ 
						 | 
					 
					
						|   | 
						
						 Auction 
						Date 
						 | 
						
						 Tenor (Days) 
						 | 
						
						 Maturity  
						Date 
						 | 
						
						 Amount 
						 | 
						
						 Current 
						Rate/Cut 
						off Rate 
						 | 
					 
					
						| 
						 C. 
						 | 
						
						 Liquidity Adjustment Facility (LAF), Marginal Standing Facility (MSF) & Standing Deposit Facility (SDF) 
						 | 
					 
					
						| 
						 I. Today's Operations 
						 | 
					 
					
						| 
						  
						 | 
						
						 1. Fixed Rate 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 2. Variable Rate& 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 (I) Main Operation 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 (a) Repo 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 (b) Reverse Repo 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 (II)Fine Tuning Operations 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						|   | 
						
						 (a) Repo 
						 | 
						
						 Mon, 17/02/2025 
						 | 
						
						 1 
						 | 
						
						 Tue, 18/02/2025 
						 | 
						
						 100,014.00 
						 | 
						
						 6.26 
						 | 
					 
					
						| 
						  
						 | 
						
						  
						 | 
						
						 Mon, 17/02/2025 
						 | 
						
						 4 
						 | 
						
						 Fri, 21/02/2025 
						 | 
						
						 57,413.00 
						 | 
						
						 6.26 
						 | 
					 
					
						|   | 
						
						 (b) Reverse Repo 
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
					 
					
						| 
						  
						 | 
						
						 (III) Long Term Operations^ 
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
					 
					
						| 
						  
						 | 
						
						 (a) Repo 
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
					 
					
						| 
						  
						 | 
						
						 (b) Reverse Repo 
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
					 
					
						| 
						  
						 | 
						
						 3. MSF# 
						 | 
						
						  Mon, 17/02/2025 
						 | 
						
						 1 
						 | 
						
						 Tue, 18/02/2025 
						 | 
						
						 1,471.00  
						 | 
						
						 6.50 
						 | 
					 
					
						| 
						  
						 | 
						
						 4. SDFΔ# 
						 | 
						
						 Mon, 17/02/2025 
						 | 
						
						 1 
						 | 
						
						 Tue, 18/02/2025 
						 | 
						
						 1,12,137.00  
						 | 
						
						 6.00 
						 | 
					 
					
						| 
						  
						 | 
						
						 5. Net liquidity injected from today's operations [injection (+)/absorption (-)]* 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						 46,761.00  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 II. Outstanding Operations 
						 | 
					 
					
						| 
						  
						 | 
						
						 1. Fixed Rate 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 2. Variable Rate& 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 (I) Main Operation 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 (a) Repo 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 (b) Reverse Repo 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 (II) Fine Tuning Operations 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 (a) Repo 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 (b) Reverse Repo  
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
					 
					
						| 
						  
						 | 
						
						 (III) Long Term Operations^ 
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
					 
					
						| 
						  
						 | 
						
						 (a) Repo 
						 | 
						
						 Fri, 14/02/2025 
						 | 
						
						 49 
						 | 
						
						 Fri, 04/04/2025 
						 | 
						
						 75,003.00 
						 | 
						
						 6.28 
						 | 
					 
					
						| 
						  
						 | 
						
						  
						 | 
						
						 Fri, 07/02/2025 
						 | 
						
						 56 
						 | 
						
						 Fri, 04/04/2025 
						 | 
						
						 50,010.00 
						 | 
						
						 6.31 
						 | 
					 
					
						| 
						  
						 | 
						
						 (b) Reverse Repo 
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
						
						   
						 | 
					 
					
						| 
						  
						 | 
						
						 3. MSF# 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 4. SDFΔ# 
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						 D. 
						 | 
						
						 Standing Liquidity Facility (SLF) Availed from RBI$    
						 | 
						
						  
						 | 
						
						    
						 | 
						
						 9,555.27 
						 | 
						
						   
						 | 
					 
					
						| 
						 E. 
						 | 
						
						 Net liquidity injected from outstanding operations [injection (+)/absorption (-)]* 
						 | 
						
						   
						 | 
						
						   
						 | 
						
						 1,34,568.27 
						 | 
						
						   
						 | 
					 
					
						| 
						 F. 
						 | 
						
						 Net liquidity injected (outstanding including today's operations) [injection (+)/absorption (-)]* 
						 | 
						
						   
						 | 
						
						    
						 | 
						
						  1,81,329.27  
						 | 
						
						  
						 | 
					 
				
			 
			  
			
				
					
						| 
						 RESERVE POSITION@ 
						 | 
					 
					
						| 
						  G. 
						 | 
						
						 Cash Reserves Position of Scheduled Commercial Banks 
						 | 
						
						  
						 | 
						
						  
						 | 
					 
					
						| 
						  
						 | 
						
						 (i) Cash balances with RBI as on 
						 | 
						
						 February 17, 2025 
						 | 
						
						 9,06,304.57  
						 | 
					 
					
						|   | 
						
						 (ii) Average daily cash reserve requirement for the fortnight ending     
						 | 
						
						 February 21, 2025 
						 | 
						
						 9,12,240.00 
						 | 
					 
					
						| 
						 H. 
						 | 
						
						 Government of India Surplus Cash Balance Reckoned for Auction as on¥  
						 | 
						
						 February 17, 2025 
						 | 
						
						 1,40,112.00 
						 | 
					 
					
						| 
						 I. 
						 | 
						
						 Net durable liquidity [surplus (+)/deficit (-)] as on 
						 | 
						
						 January 24, 2025 
						 | 
						
						 -34,103.00 
						 | 
					 
				
			 
			 
			@ Based on Reserve Bank of India (RBI) / Clearing Corporation of India Limited (CCIL). 
			- Not Applicable / No Transaction. 
			** Relates to uncollateralized transactions of 2 to 14 days tenor. 
			@@ Relates to uncollateralized transactions of 15 days to one year tenor. 
			$ Includes refinance facilities extended by RBI. 
			& As per the Press Release No. 2019-2020/1900 dated February 06, 2020. 
			Δ As per the Press Release No. 2022-2023/41 dated April 08, 2022. 
			* Net liquidity is calculated as Repo+MSF+SLF-Reverse Repo-SDF. 
			¥ As per the Press Release No. 2014-2015/1971 dated March 19, 2015. 
			# As per the Press Release No. 2023-2024/1548 dated December 27, 2023. 
			^ As per the Press Release No. 2024-2025/2138 dated February 12, 2025 and Press Release No. 2024-2025/2013 dated January 27, 2025. 
			  
			  
			Ajit Prasad             
			Deputy General Manager  
			(Communications)      
			Press Release: 2024-2025/2188 
			 |