RBI reported total overnight money market volume of ₹7,38,985.90 crore with weighted average rate of 5.08% on May 19, 2026.
The Liquidity Adjustment Facility injected ₹1,76,014.00 crore net liquidity, while the Standing Deposit Facility absorbed ₹1,76,119.00 crore, resulting in net absorption.
Cash reserves of scheduled commercial banks were ₹8,08,196.39 crore, with average daily requirement ₹7,96,910.00 crore for fortnight ending May 31, 2026.
Net durable liquidity surplus as of April 30, 2026 was ₹3,03,862.00 crore.