| A. Overnight Segment (I+II+III+IV) | 
  | 
 462.84 
 | 
 6.05 
 | 
 2.75-6.75 
 | 
|      IV.  Repo in Corporate Bond | 
  | 
 0.00 
 | 
 - 
 | 
 - 
 | 
|      V.  Repo in Corporate Bond | 
  | 
 0.00 
 | 
 - 
 | 
 - 
 | 
C. Standing 
                                      Liquidity Facility Availed from RBI | 
 2,539.91 
 | 
 6.50 
 | 
D. Liquidity 
                                      Adjustment Facility | 
| E. Cash Reserves Position  of  Scheduled Commercial Banks | 
| 
  (i) Cash balances with RBI  as on 
 | 
 09/02/2011 
 | 
 302,271.17 
 | 
  | 
| 
  (ii) Average daily  cash reserve   requirement  for the fortnight  ending 
 | 
 11/02/2011 
 | 
 314,476.00 
 | 
  | 
| 
 @ From June 21, 2010 the daily press release on Money  Market Operations carries the data on aggregate daily cash balances  of scheduled commercial banks as well   their average daily cash reserve requirement. The information  is based on provisional Reserve Bank of India / Clearing Corporation of India Limited  Data 
 | 
| -  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 | 
Ajit Prasad 
                                        Assistant General Manager
 
 
 | 
| Press Release : 2010-2011/1167 |