(326 kb)

Date : Dec 15, 2025

Money Market Operations as on December 13, 2025


(Amount in Rs crore, Rate in Per cent)


Money Markets@

Volume
(One Leg)

Weighted
Average Rate

Range

A. Overnight Segment (I+II+III+IV)

0.00

-

-

     I. Call Money

0.00

-

-

     II. Triparty Repo

0.00

-

-

     III. Market Repo

0.00

-

-

     IV. Repo in Corporate Bond

0.00

-

-

B. Term Segment

 

 

 

     I. Notice Money**

0.00

-

-

     II. Term Money@@

0.00

-

-

     III. Triparty Repo

0.00

-

-

     IV. Market Repo

0.00

-

-

     V. Repo in Corporate Bond

0.00

-

-

RBI Operations@

Auction Date

Tenor (Days)

Maturity Date

Amount

Current Rate /
Cut off Rate

C. Liquidity Adjustment Facility (LAF), Marginal Standing Facility (MSF) & Standing Deposit Facility (SDF)

I. Today's Operations

1. Fixed Rate

 

 

 

 

 

2. Variable Rate&

 

 

 

 

 

     (a) Repo Operation

 

 

 

 

 

     (b) Reverse Repo Operation

 

 

 

 

 

3. MSF#

Sat, 13/12/2025

1

Sun, 14/12/2025

2,549.00

5.50

Sat, 13/12/2025

2

Mon, 15/12/2025

160.00

5.50

4. SDFΔ#

Sat, 13/12/2025

1

Sun, 14/12/2025

1,69,149.00

5.00

Sat, 13/12/2025

2

Mon, 15/12/2025

0.00

5.00

5. Net liquidity injected from today's operations [injection (+)/absorption (-)]*

 

 

 

-1,66,440.00

 

II. Outstanding Operations

1. Fixed Rate

 

 

 

 

 

2. Variable Rate&

 

 

 

 

 

     (a) Repo Operation

 

 

 

 

 

     (b) Reverse Repo Operation

 

 

 

 

 

3. MSF#

Fri, 12/12/2025

2

Sun, 14/12/2025

0.00

5.50

Fri, 12/12/2025

3

Mon, 15/12/2025

843.00

5.50

4. SDFΔ#

Fri, 12/12/2025

2

Sun, 14/12/2025

45.00

5.00

Fri, 12/12/2025

3

Mon, 15/12/2025

28,347.00

5.00

D. Standing Liquidity Facility (SLF) Availed from RBI$

 

 

 

8,974.81

 

E. Net liquidity injected from outstanding operations [injection (+)/absorption (-)]*

 

 

-18,574.19

 

F. Net liquidity injected (outstanding including today's operations) [injection (+)/absorption (-)]*

 

 

-1,85,014.19

 

Reserve Position@

Date

Amount

G. Cash Reserves Position of Scheduled Commercial Banks

     (i) Cash balances with RBI as on

December 13, 2025

7,54,100.36

     (ii) Cash reserve requirement for^

December 13-15, 2025

7,45,778.00

H. Government of India Surplus Cash Balance Reckoned for Auction as on¥

December 12, 2025

0.00

I. Net durable liquidity [surplus (+)/deficit (-)] as on

November 28, 2025

2,60,359.00

@ Based on Reserve Bank of India (RBI) / Clearing Corporation of India Limited (CCIL).

- Not Applicable / No Transaction.

** Relates to uncollateralized transactions of 2 to 14 days tenor.

@@ Relates to uncollateralized transactions of 15 days to one year tenor.

$ Includes refinance facilities extended by RBI.

& As per the Press Release No. 2025-2026/1201 dated September 30, 2025.

Δ As per the Press Release No. 2022-2023/41 dated April 08, 2022.

* Net liquidity is calculated as Repo+MSF+SLF-Reverse Repo-SDF.

¥ As per the Press Release No. 2014-2015/1971 dated March 19, 2015.

# As per the Press Release No. 2023-2024/1548 dated December 27, 2023.

^ As per the notification No. RBI/2025-26/148 DOR.RET.REC.354/12.01.001/2025-26 dated December 11, 2025.

Ajit Prasad          
Deputy General Manager
(Communications)    

Press Release: 2025-2026/1700