1. Current Rates

Policy Repo Rate : 5.25%
Standing Deposit Facility Rate : 5.00%
Marginal Standing Facility Rate : 5.50%
Bank Rate : 5.50%
Fixed Reverse Repo Rate : 3.35%

CRR : 3.00%
SLR : 18.00%

INR / 1 USD : 95.2408
INR / 1 GBP : 127.4109
INR / 1 EUR : 109.1475
INR / 100 JPY : 59.2500
INR / 1 AED : 25.9305
INR / 10000 IDR : 53.0424
(As at 1.00pm of July 03, 2026)
(Source : FBIL)

Base Rate : 8.35% - 9.90%
MCLR (Overnight) : 7.80% - 7.95%
Savings Deposit Rate : 2.50%
Term Deposit Rate > 1 Year : 6.00% - 6.60%

Money Market

Call Rates : 4.20% - 5.35% *
* as on July 02, 2026

Government Securities Market

6.03% GS 2029 : 6.1899% #
6.36% GS 2031 : 6.4174% #
6.94% GS 2036 : 6.7528% #
6.68% GS 2040 : 6.9665% #
7.24% GS 2055 : 7.3079% #
91 day T-bills : 5.2521%*
182 day T-bills : 5.4702%*
364 day T-bills : 5.6632%*
* cut-off at the last auction
# as on July 01, 2026

Capital Market

S&P BSE Sensex : 77502.12 *
Nifty 50 : 24175.70 *
* as on July 02, 2026
 

2.Connect 2 Regulate

 

3. RBI Regulated Entities

Functionwise Sites

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