| (Amount in ₹ crore, Rate in Per cent) |
| | Volume (One Leg) | Weighted Average Rate | Range | A. Overnight Segment (I+II+III+IV) | 6,17,545.69 | 5.21 | 2.90-6.55 | I. Call Money | 15,722.23 | 5.30 | 4.75-5.35 | II. Triparty Repo | 3,98,860.95 | 5.22 | 4.90-5.30 | III. Market Repo | 2,01,209.51 | 5.16 | 2.90-5.50 | IV. Repo in Corporate Bond | 1,753.00 | 5.52 | 5.36-6.55 | B. Term Segment | | | | I. Notice Money** | 113.00 | 5.20 | 5.00-5.31 | II. Term Money@@ | 804.00 | - | 5.60-6.00 | III. Triparty Repo | 3,058.00 | 5.34 | 5.25-5.35 | IV. Market Repo | 1,144.84 | 5.55 | 5.50-5.55 | V. Repo in Corporate Bond | 0.00 | - | - | | | 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& | | | | | | (I) Main Operation | | | | | | (a) Repo | | | | | | (b) Reverse Repo | | | | | | (II) Fine Tuning Operations | | | | | | (a) Repo | | | | | | (b) Reverse Repo | | | | | | 3. MSF# | Mon, 16/06/2025 | 1 | Tue, 17/06/2025 | 1,289.00 | 5.75 | 4. SDFΔ# | Mon, 16/06/2025 | 1 | Tue, 17/06/2025 | 2,77,831.00 | 5.25 | 5. Net liquidity injected from today's operations [injection (+)/absorption (-)]* | | | | -2,76,542.00 | | II. Outstanding Operations | 1. Fixed Rate | | | | | | 2. Variable Rate& | | | | | | (I) Main Operation | | | | | | (a) Repo | | | | | | (b) Reverse Repo | | | | | | (II) Fine Tuning Operations | | | | | | (a) Repo | | | | | | (b) Reverse Repo | | | | | | 3. MSF# | | | | | | 4. SDFΔ# | | | | | | D. Standing Liquidity Facility (SLF) Availed from RBI$ | | | | 8,471.32 | | E. Net liquidity injected from outstanding operations [injection (+)/absorption (-)]* | | | 8,471.32 | | F. Net liquidity injected (outstanding including today's operations) [injection (+)/absorption (-)]* | | | -2,68,070.68 | | G. Cash Reserves Position of Scheduled Commercial Banks | (i) Cash balances with RBI as on | June 16, 2025 | 9,56,885.87 | | (ii) Average daily cash reserve requirement for the fortnight ending | June 27, 2025 | 9,54,173.00 | | H. Government of India Surplus Cash Balance Reckoned for Auction as on¥ | June 16, 2025 | 0.00 | | I. Net durable liquidity [surplus (+)/deficit (-)] as on | May 30, 2025 | 5,84,684.00 | | @ 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. 2019-2020/1900 dated February 06, 2020. | 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. | Ajit Prasad Deputy General Manager (Communications) | Press Release: 2025-2026/552 | | |