RBI's net liquidity injection from today's and outstanding operations totals -₹214,846.57 cr, indicating overall liquidity absorption.
Standing Liquidity Facility availed ₹8,612.43 cr and SDF operations injected/absorbed amounts, with net -₹7,995.57 cr from outstanding ops.
Cash reserves of scheduled banks were ₹764,023.01 cr on May 09 2026, with average daily CRR ₹787,838.00 cr for the fortnight ending May 15.
MSF rate 5.50% for 1‑day tenor, SDF rate 5.00% with ₹206,862.00 cr injection on May 09, reflecting liquidity management actions.