RBI reported zero volume in overnight and term money market segments on April 25, 2026, with no repo or call money activity.
Liquidity Adjustment Facility injected -3,13,689 crore rupees, while net liquidity from outstanding operations was -2,89,962.11 crore, indicating overall absorption.
Cash reserves of scheduled commercial banks were 8,00,878.22 crore rupees, with average daily CRR 8,07,359 crore for the fortnight ending April 30, 2026.
Standing Liquidity Facility availed 8,987.89 crore rupees and net liquidity injected from outstanding operations amounted to 23,726.89 crore rupees.