RBI reported total overnight money market volume of ₹7,03,167.60 crore on April 24, 2026, with weighted average rate 5.02% (range 2.98‑6.10%).
Repo operations injected net liquidity of -₹3,46,252 crore, while Standing Deposit Facility added ₹3,19,388 crore at 5.00% rate.
Cash reserves of scheduled commercial banks stood at ₹7,95,601.74 crore, with daily CRR of ₹8,07,359 crore for the fortnight ending April 30.
Net durable liquidity as of March 31, 2026 was ₹5,06,806 crore, indicating overall liquidity surplus.