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      "id": "688c3c1c68a5f7f26b8a",
      "title": "Reserve Bank of India: RBI to conduct Overnight Variable Rate Reverse Repo (VRRR) auction under LAF on September 28, 2026",
      "content_text": "On a review of current and evolving liquidity conditions, it has been decided to conduct a Variable Rate Reverse Repo (VRRR) auction on Monday, September 28, 2026, as under:\nSl. No. Notified Amount\n(₹ crore) Tenor\n(day) Window Timing Date of Reversal 1 2,00,000 1 09:30 AM to 10:00 AM September 29, 2026\n(Tuesday) 2. The operational guidelines for the auction as given in the Reserve Bank’s Press Release 2019-2020/1947 dated February 13, 2020 will remain the same.\nAjit Prasad\nDeputy General…",
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              "summary": "On a review of current and evolving liquidity conditions, it has been decided to conduct a Variable Rate Reverse Repo (VRRR) auction on Monday, September 28, 2026, as under:\nSl. No. Notified Amount\n(₹ crore) Tenor\n(day) Window Timing Date of Reversal 1 2,00,000 1 09:30 AM to 10:00 AM September 29, 2026\n(Tuesday) 2. The operational guidelines for the auction as given in the Reserve Bank’s Press Release 2019-2020/1947 dated February 13, 2020 will remain the same.\nAjit Prasad\nDeputy General Manager\n(Communications)\nPress Release: 2026-2027/1195",
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    {
      "id": "b172cb29aadbb2e09a05",
      "title": "Reserve Bank of India: WMA Limit for Government of India for October 2026 – March 2027",
      "content_text": "The Reserve Bank of India, in consultation with the Government of India, has decided that the limit for Ways and Means Advances (WMA) for the second half of the financial year 2026-27 (October 2026 to March 2027) will be ₹50,000 crore.\nThe Reserve Bank of India may trigger fresh floatation of market loans when the Government of India utilises 75 per cent of the WMA limit.\nThe Reserve Bank of India, in consultation with the Government of India, retains the flexibility to revise the WMA limit at…",
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              "summary": "The Reserve Bank of India, in consultation with the Government of India, has decided that the limit for Ways and Means Advances (WMA) for the second half of the financial year 2026-27 (October 2026 to March 2027) will be ₹50,000 crore.\nThe Reserve Bank of India may trigger fresh floatation of market loans when the Government of India utilises 75 per cent of the WMA limit.\nThe Reserve Bank of India, in consultation with the Government of India, retains the flexibility to revise the WMA limit at any time taking into consideration the prevailing circumstances.\nThe interest rate on WMA/Overdraft will be as under:\nWMA: Repo Rate\nOverdraft: Two percent above the Repo Rate\n(Brij Raj)\nChief General Manager\nPress Release: 2026-2027/1192",
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    {
      "id": "bf376a857148efd6507a",
      "title": "Reserve Bank of India: Calendar for Auction of Government of India Treasury Bills",
      "content_text": "(For the Quarter ending December 2026)\nThe Reserve Bank of India, in consultation with the Government of India, hereby, notifies the calendar for issuance of Treasury Bills for the quarter ending December 2026 as under:\nNotified Amount for Auction of Treasury Bills\n(October – December, 2026) (₹ crore) Date of Auction Date of Issue 91 Days 182 Days 364 Days Total October 07, 2026 October 08, 2026 8,000 8,000 7,000 23,000 October 14, 2026 October 15, 2026 8,000 8,000 7,000 23,000 October 21, 2026…",
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              "title": "Reserve Bank of India: Calendar for Auction of Government of India Treasury Bills",
              "link": "https://www.rbi.org.in/scripts/BS_PressReleaseDisplay.aspx?prid=63669",
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              "summary": "(For the Quarter ending December 2026)\nThe Reserve Bank of India, in consultation with the Government of India, hereby, notifies the calendar for issuance of Treasury Bills for the quarter ending December 2026 as under:\nNotified Amount for Auction of Treasury Bills\n(October – December, 2026) (₹ crore) Date of Auction Date of Issue 91 Days 182 Days 364 Days Total October 07, 2026 October 08, 2026 8,000 8,000 7,000 23,000 October 14, 2026 October 15, 2026 8,000 8,000 7,000 23,000 October 21, 2026 October 22, 2026 8,000 8,000 7,000 23,000 October 28, 2026 October 29, 2026 8,000 8,000 7,000 23,000 November 04, 2026 November 05, 2026 8,000 8,000 7,000 23,000 November 11, 2026 November 12, 2026 8,000 8,000 7,000 23,000 November 18, 2026 November 19, 2026 8,000 8,000 7,000 23,000 November 25, 2026 November 26, 2026 8,000 8,000 7,000 23,000 December 02, 2026 December 03, 2026 8,000 8,000 7,000 23,000 December 09, 2026 December 10, 2026 8,000 8,000 7,000 23,000 December 16, 2026 December 17, 2026 8,000 8,000 7,000 23,000 December 23, 2026 December 24, 2026 8,000 8,000 7,000 23,000 December 30, 2026 December 31, 2026 8,000 8,000 7,000 23,000 Total 1,04,000 1,04,000 91,000 2,99,000 2. The Reserve Bank of India, in consultation with the Government of India, will have the flexibility to modify the indicated amount and timing for auction of Treasury Bills depending upon the requirements of the Government of India, evolving market conditions and other relevant factors, after giving due notice to the market. Thus, the calendar is subject to change, if circumstances so warrant, including for reasons such as intervening holidays. Such changes, if any, will be communicated through press releases.\n3. The auction of Treasury Bills will be subject to the terms and conditions specified in the General Notification No. F.No.4(2)-B(W&M)/2018 dated March 26, 2025 issued by the Government of India, as amended from time to time.\n(Brij Raj)\nChief General Manager\nPress Release: 2026-2027/1191",
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      "id": "9318b85cc7e85efd1421",
      "title": "Reserve Bank of India: Issuance Calendar for Marketable Dated Securities for October 2026 - March 2027",
      "content_text": "In order to enable institutional and retail investors to plan their investments efficiently and to provide transparency and stability to the Government Securities Market, the Reserve Bank of India, in consultation with the Government of India, hereby, releases the indicative calendar for issuance of Government of India dated securities, including Sovereign Green Bonds (SGrBs), for the second half of the fiscal year 2026-27 (October 01, 2026 to March 31, 2027). The issuance calendar is as…",
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              "summary": "In order to enable institutional and retail investors to plan their investments efficiently and to provide transparency and stability to the Government Securities Market, the Reserve Bank of India, in consultation with the Government of India, hereby, releases the indicative calendar for issuance of Government of India dated securities, including Sovereign Green Bonds (SGrBs), for the second half of the fiscal year 2026-27 (October 01, 2026 to March 31, 2027). The issuance calendar is as under:\nCalendar for Issuance of Government of India Dated Securities (October 01, 2026 to March 31, 2027) Sl. No. Auction Week Amount\n(in ₹ crore) Security-wise Allocation 1 September 28-October 02, 2026 33,000 (i) 3 Year for ₹9,000 crore (ii) 7 Year for ₹12,000 crore (iii) 30 Year for ₹9,000 crore (iv) 30 Year SGrB for ₹3,000 crore 2 October 05-09, 2026 36,000 (i) 15 Year for ₹23,000 crore (ii) 50 Year for ₹13,000 crore 3 October 12-16, 2026 34,000 (i) 10 Year for ₹34,000 crore 4 October 19-23, 2026 33,000 (i) 5 Year for ₹19,000 crore (ii) 40 Year for ₹14,000 crore 5 October 26-30, 2026 33,000 (i) 3 Year for ₹9,000 crore (ii) 7 Year for ₹12,000 crore (iii) 30 Year for ₹9,000 crore (iv) 30 Year SGrB for ₹3,000 crore 6 November 02-06, 2026 36,000 (i) 15 Year for ₹23,000 crore (ii) 50 Year for ₹13,000 crore 7 November 09-13, 2026 34,000 (i) 10 Year for ₹34,000 crore 8 November 16-20, 2026 33,000 (i) 5 Year for ₹19,000 crore (ii) 40 Year for ₹14,000 crore 9 November 23-27, 2026 33,000 (i) 3 Year for ₹9,000 crore (ii) 7 Year for ₹12,000 crore (iii) 30 Year for ₹9,000 crore (iv) 30 Year SGrB for ₹3,000 crore 10 November 30-December 04, 2026 36,000 (i) 15 Year for ₹23,000 crore (ii) 50 Year for ₹13,000 crore 11 December 07-11, 2026 34,000 (i) 10 Year for ₹34,000 crore 12 December 14-18, 2026 33,000 (i) 5 Year for ₹19,000 crore (ii) 40 Year for ₹14,000 crore 13 December 21-25, 2026 33,000 (i) 3 Year for ₹9,000 crore (ii) 7 Year for ₹12,000 crore (iii) 30 Year for ₹9,000 crore (iv) 30 Year ",
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      "title": "Reserve Bank of India: Money Supply for the fortnight ended on September 15, 2026",
      "content_text": "The Reserve Bank has today released data on Money Supply for the fortnight ended on September 15, 2026.\nAjit Prasad\nDeputy General Manager\n(Communications)\nPress Release: 2026-2027/1189",
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      "title": "Reserve Bank of India: Reserve Bank of India – Bulletin Weekly Statistical Supplement – Extract",
      "content_text": "1. Reserve Bank of India - Liabilities and Assets* (₹ Crore) Item 2025 2026 Variation Sep. 19 Sep. 11 Sep. 18 Week Year 1 2 3 4 5 4 Loans and Advances 4.1 Central Government 0 0 0 0 0 4.2 State Governments 32445 14958 19427 4468 -13019 * Data are provisional; difference, if any, is due to rounding off.\n2. Foreign Exchange Reserves* Item As on Sep. 18, 2026 Variation over Week End-March 2026 Year ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. 1 2 3 4 5 6 7 8 1 Total Reserves 7342985…",
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              "summary": "1. Reserve Bank of India - Liabilities and Assets* (₹ Crore) Item 2025 2026 Variation Sep. 19 Sep. 11 Sep. 18 Week Year 1 2 3 4 5 4 Loans and Advances 4.1 Central Government 0 0 0 0 0 4.2 State Governments 32445 14958 19427 4468 -13019 * Data are provisional; difference, if any, is due to rounding off.\n2. Foreign Exchange Reserves* Item As on Sep. 18, 2026 Variation over Week End-March 2026 Year ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. 1 2 3 4 5 6 7 8 1 Total Reserves 7342985 765901 -117276 -14881 789123 74793 1153302 63331 1.1 Foreign Currency Assets # 6049483 630980 -120938 -14816 812116 78697 885546 44830 1.2 Gold 1067007 111292 4284 68 -27303 -4103 249630 18513 1.3 SDRs 179657 18739 -399 -106 3068 117 13336 -140 1.4 Reserve Position in the IMF 46838 4890 -222 -27 1243 82 4789 128 * Difference, if any, is due to rounding off.\n# Excludes (a) SDR holdings of the Reserve Bank, as they are included under the SDR holdings; (b) investment in bonds issued by IIFC (UK); (c) amounts lent under SAARC and ACU currency swap arrangements; and (d) RBI’s contribution to funding of Nexus Global Payments.\n4. Scheduled Commercial Banks - Business in India (₹ Crore) Item Outstanding as on Sep. 15, 2026 Variation over Fortnight Financial Year so far Year-on-Year 2025-26 2026-27 2025 2026 1 2 3 4 5 6 2 Liabilities to Others 2.1 Aggregate Deposits 27623066 -248508 965850 1394279 2040784 4076615 2.1a Growth (Per cent) -0.9 4.3 5.3 9.5 17.3 2.1.1 Demand 3336111 -112635 163392 -353163 363068 474670 2.1.2 Time 24286955 -135873 802458 1747442 1677716 3601945 2.2 Borrowings 990679 22082 -56726 182761 -21103 132156 2.3 Other Demand and Time Liabilities 1480156 168937 12854 356634 43288 405671 7 Bank Credit 22329258 -57894 658888 969361 1777809 3426398 7.1a Growth (Per cent) -0.3 3.6 4.5 10.4 18.1 7a.1 Food Credit 109721 -2320 8753 39450 25359 64437 7a.2 Non-food credit 22219537 -55574 650135 929911 1752450 3361960 Note: Data include the impact of merger of a non-bank with a ba",
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      "title": "Reserve Bank of India: Government Stock - Full Auction Results",
      "content_text": "(Amount in ₹ Crore) Auction Results 6.94% GS 2036 I. Notified Amount 34,000 II. Competitive Bids Received (i) Number 402 (ii) Amount 83,880.000 III. Cut-off price (₹) / Yield 98.58 (YTM: 7.1450%) IV. Competitive Bids Accepted (i) Number 143 (ii) Amount 33,915.822 V. Partial Allotment Percentage of Competitive Bids 19.5619% (51 bids) VI. Weighted Average Price (₹) / Yield 98.60 (WAY: 7.1421%) VII. Non-Competitive Bids Received (i) Number 7 (ii) Amount 84.178 VIII. Non-Competitive Bids Accepted…",
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              "summary": "(Amount in ₹ Crore) Auction Results 6.94% GS 2036 I. Notified Amount 34,000 II. Competitive Bids Received (i) Number 402 (ii) Amount 83,880.000 III. Cut-off price (₹) / Yield 98.58 (YTM: 7.1450%) IV. Competitive Bids Accepted (i) Number 143 (ii) Amount 33,915.822 V. Partial Allotment Percentage of Competitive Bids 19.5619% (51 bids) VI. Weighted Average Price (₹) / Yield 98.60 (WAY: 7.1421%) VII. Non-Competitive Bids Received (i) Number 7 (ii) Amount 84.178 VIII. Non-Competitive Bids Accepted (i) Number 7 (ii) Amount 84.178 (iii) Partial Allotment Percentage IX. Underwriting Notified Amount 34,000 X. Amount of Underwriting accepted from primary dealers 34,000 XI. Devolvement on Primary Dealers NIL Ajit Prasad\nDeputy General Manager\n(Communications)\nPress Release: 2026-2027/1187",
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