Relevant Extracted Data –

Money Market Operations

  • Overnight and term segment volumes were zero across all categories (Call Money, Triparty Repo, Market Repo, Repo in Corporate Bond, Notice Money, Term Money, etc.).
  • Today's operations: Fixed Rate repo of ₹704 crore at 5.50%; Standing Deposit Facility (SDF) of ₹1,61,000 crore at 5.00%; Net liquidity injected from today's operations: –₹1,60,296 crore (absorption).
  • Outstanding operations: Repo of ₹88,745 crore at 5.26% (Mon 25/05/2026 to Fri 29/05/2026); MSF of ₹1,611 crore at 5.50% (Wed 27/05/2026 to Fri 29/05/2026); SDF of ₹7,811 crore at 5.00% (Wed 27/05/2026 to Fri 29/05/2026); Standing Liquidity Facility availed: ₹10,268.56 crore.
  • Net liquidity injected from outstanding operations: +₹92,813.56 crore.
  • Combined net liquidity (today's + outstanding): –₹67,482.44 crore (overall absorption).

Reserve Position

  • Cash reserves of scheduled commercial banks as of May 28, 2026: ₹7,83,274.10 crore.
  • Average daily cash reserve requirement for the fortnight ending: ₹7,96,910.00 crore.
  • Net durable liquidity as on April 30, 2026: ₹3,03,862.00 crore (surplus).

No auction results, foreign exchange turnover, or survey data were provided in this release.