**Executive Summary**
This document is an extract from the Reserve Bank of India's Bulletin Weekly Statistical Supplement, dated January 30, 2026. It presents data on the Reserve Bank's liabilities and assets, foreign exchange reserves, scheduled commercial banks' business in India, money stock components and sources, and liquidity operations. The data includes variations over the week, financial year, and year. The data on money supply is published for the 15th and the last day of the month, effective December 15, 2025.
**Key Points / Main Content**
*Reserve Bank of India - Liabilities and Assets:*
* Presents data as of January 16, 2026, and January 23, 2026, along with variations over the week and year, for loans and advances to the central and state governments.
*Foreign Exchange Reserves:*
* Details the total reserves as of January 23, 2026, including foreign currency assets, gold, SDRs, and reserve position in the IMF.
* Provides variations over the week, end-March 2025, and year.
*Scheduled Commercial Banks - Business in India:*
* Outlines data as of January 15, 2026, for liabilities to others (aggregate deposits, borrowings, other demand and time liabilities) and bank credit (food and non-food credit).
* Presents variations over the financial year so far for 2024-25 and 2025-26, and year-on-year variations for 2025 and 2026.
* The definition of fortnight has been revised from alternate Fridays to the 15th and last calendar day of a month, w.e.f. December 15, 2025.
*Money Stock: Components and Sources:*
* Details components (currency with the public, demand deposits with banks, time deposits with banks, and other deposits with the Reserve Bank) and sources (net bank credit to government, bank credit to commercial sector) of money stock.
* Presents data as of March 31, 2025, and January 15, 2026, with variations over the financial year so far for 2024-25 and 2025-26, and year-on-year variations for 2025 and 2026.
*Liquidity Operations by RBI:*
* Provides data on liquidity operations by RBI, including Repo, Reverse Repo, Variable Rate Repo, Variable Rate Reverse Repo, MSF, SDF, Standing Liquidity Facilities, and OMO (Outright) operations.
* Lists daily data from January 19, 2026, to January 25, 2026, including the amount of each operation and the net injection/absorption.
**Impact Analysis**
**Reserve Bank of India**
*Impact:* The data reflects the central bank's monetary policy stance, liquidity management, and financial stability efforts.
*Action Required:* To monitor trends and adjust monetary policies as needed.
**Commercial Banks**
*Impact:* Banks are affected through the variation of credit, deposit, borrowing rates, and liquidity management.
*Action Required:* To align their operations with the Reserve Bank's policies and manage their balance sheets accordingly.
**Government (Central and State)**
*Impact:* Government borrowing costs and access to credit are impacted by these policies.
*Action Required:* To coordinate fiscal policies in line with the monetary policies of the Reserve Bank.
**General Public**
*Impact:* The availability of credit, interest rates, and money supply affect the financial well-being of the general public.
*Action Required:* To understand the implications of RBI's policies and make informed financial decisions.
Key Entities Referenced
Reserve Bank of India: The central bank of India, which compiles and publishes the statistical data presented in the extract.
Bulletin Weekly Statistical Supplement: A publication of the Reserve Bank of India containing economic and financial statistics.
Banking Laws (Amendment) Act, 2025: An Indian law that redefined the term 'fortnight' for banking purposes.