RBI's net liquidity injection from today's operations was a withdrawal of ₹2.19 bn, with overall net liquidity of –₹48.7 bn after outstanding operations.
Standing Deposit Facility (SDF) absorption amounted to ₹2.20 bn on March 26, while MSF provided ₹449 mn at 5.50% rate.
Cash reserves of scheduled banks were ₹7.80 bn on March 26, with average daily CRR ₹7.75 bn for fortnight ending March 31.
Repo operations included a 3‑day repo of ₹55,837 mn at 5.26% and 90‑day repos of ₹12,451 mn at 5.34% and ₹103,375 mn at 5.26%.