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137791453

Money Market Operations as on January 03, 2026

(Amount in ₹ Crore, Rate in Per cent)

MONEY MARKETS@

 

Volume 
(One Leg)

Weighted
Average Rate

Range

A.

Overnight Segment (I+II+III+IV)

19,472.03 5.18 3.50-5.40

I. Call Money         

1,065.60 4.75 4.50-4.85

II. Triparty Repo  

18,260.20 5.22 4.79-5.40

III. Market Repo        

146.23 3.89 3.50-5.00

IV. Repo in Corporate Bond  

0.00 - -

B.

Term Segment  

     

I. Notice Money**   

39.00 4.75 4.75-4.75

II. Term Money@@

0.00 - -

III. Triparty Repo  

0.00 - -

IV. Market Repo  

0.00 - -

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&

         

 

(a) Repo Operation

         

 

(b) Reverse Repo Operation

         

 

3. MSF#

Sat, 03/01/2026 1 Sun, 04/01/2026 156.00 5.50
    Sat, 03/01/2026 2 Mon, 05/01/2026 384.00 5.50

 

4. SDFΔ#

Sat, 03/01/2026 1 Sun, 04/01/2026 83,935.00 5.00
    Sat, 03/01/2026 2 Mon, 05/01/2026 3,536.00 5.00

 

5. Net liquidity injected from today's operations [injection (+)/absorption (-)]*

      -86,931.00  

II. Outstanding Operations

 

1. Fixed Rate

         

 

2. Variable Rate&

         

 

(a) Repo Operation

Fri, 02/01/2026 5 Wed, 07/01/2026 25,795.00 5.26

 

(b) Reverse Repo Operation

         

 

3. MSF#

Fri, 02/01/2026 2 Sun, 04/01/2026 0.00 5.50
    Fri, 02/01/2026 3 Mon, 05/01/2026 525.00 5.50

 

4. SDFΔ#

Fri, 02/01/2026 2 Sun, 04/01/2026 0.00 5.00
    Fri, 02/01/2026 3 Mon, 05/01/2026 1,410.00 5.00

D.

Standing Liquidity Facility (SLF) Availed from RBI$  

    10,682.70  

E.

Net liquidity injected from outstanding operations [injection (+)/absorption (-)]*

    35,592.70  

F.

Net liquidity injected (outstanding including today's operations) [injection (+)/absorption (-)]*

    -51,338.30  
 
RESERVE POSITION@
  Date Amount
G.

Cash Reserves Position of Scheduled Commercial Banks

   

 

(i) Cash balances with RBI as on

January 03, 2026 7,90,590.05
 

(ii) Average daily cash reserve requirement for the fortnight ending^   

January 15, 2026 7,48,477.00

H.

Government of India Surplus Cash Balance Reckoned for Auction as on¥

January 02, 2026 25,795.00

I.

Net durable liquidity [surplus (+)/deficit (-)] as on

December 12, 2025 3,25,160.00
 

@ 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. 2025-2026/1201 dated September 30, 2025.
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 notification No. RBI/2025-26/148 DOR.RET.REC.354/12.01.001/2025-26 dated December 11, 2025.

 

 

Ajit Prasad            
Deputy General Manager
(Communications)     

Press Release: 2025-2026/1843

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