RBI's net liquidity injection (including today's and outstanding operations) amounted to ₹65,935.64 cr on March 21, 2026.
Standing Deposit Facility auction on March 21 supplied ₹1,32,072 cr at 5.00% rate; MSF provided ₹761 cr at 5.50% for one‑day tenor.
Cash reserves of scheduled commercial banks stood at ₹7,84,775.19 cr, with average daily CRR of ₹7,75,262 cr for the fortnight ending March 31, 2026.
Net durable liquidity showed a surplus of ₹5,00,443 cr as of February 28, 2026, indicating ample liquidity in the system.