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83483749

Table 3 : Month-Wise Scheduled Commercial Banks' Business in India According to Bank Groups - 1998-99 (Part 1 of 2)

 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


Items

 

March

April

May

June

July

August

     

1998


1998


1998


1998


1998


1998


 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


State Bank of India and its Associates

           
                 

No. of reporting banks

8

8

8

8

8

8

                 

I.

Liabilities to the banking system

9578

8263

8612

8577

8763

8605

                 
 

(a)

Demand and time deposits from banks

7801

7695

8211

8017

8284

8316

                 
 

(b)

Borrowings from banks

495

190

45

40

255

25

                 
 

(c)

Other demand and time liabilities

1282

378

356

520

224

264

                 

II.

Liabilities to others in India

177729

179860

182776

183601

187450

204761

                 
 

(a)

Aggregate deposits

159357

160619

163076

164757

167885

185861

                 
   

(i) Demand deposits

29615

28627

26770

27652

28872

28358

                 
   

(ii) Time deposits

129742

131992

136306

137105

139013

157503

                 
 

(b)

Borrowings (other than from RBI,

-

-

-

-

-

-

   

IDBI, NABARD, EXIM Bank)

           
                 
 

(c)

Other demand and

18372

19241

19700

18844

19565

18900

   

time liabilities

           
                 

III.

Assets with the banking system

3639

2594

3801

3959

2797

3926

 

of which

           
 

Money at call and short notice

1278

939

2382

2391

1381

2310

                 

IV.

Cash in hand

502

518

596

575

566

567

                 

V.

Investments in India

62969

68880

71203

71063

71963

77857

                 
 

(a)

Government securities

53602

59560

61849

61843

62804

68760

                 
 

(b)

Other approved securities

9367

9320

9354

9220

9159

9097

                 

VI.

Bank credit

93088

91496

90514

89105

90264

90070

                 
 

(a)

Loans, cash credit and overdrafts

85823

84001

83385

82395

83578

83547

                 
 

(b)

Inland bills purchased

591

624

574

553

638

577

                 
 

(c)

Inland bills discounted

3933

3937

3815

3607

3702

3511

                 
 

(d)

Foreign bills purchased

604

649

587

528

572

629

                 
 

(e)


Foreign bills discounted


2137


2285


2153


2022


1774


1806


 
 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


Items

 

September

October

November

December

January

February

March

     

1998


1998


1998


1998


1999


1999


1999


 
 
 

(7)


(8)


(9)


(10)


(11)


(12)


(13)


State Bank of India and its Associates

             
                   

No. of reporting banks

8

8

8

8

8

8

8

                   

I.

Liabilities to the banking system

9595

9178

8900

9035

9533

9314

10227

                   
 

(a)

Demand and time deposits from banks

9045

8786

8590

8638

9080

8809

9687

                   
 

(b)

Borrowings from banks

260

151

-

-

46

91

3

                   
 

(c)

Other demand and time liabilities

290

241

310

397

407

414

537

                   

II.

Liabilities to others in India

207884

208454

212692

212419

219033

222033

226919

                   
 

(a)

Aggregate deposits

187526

190339

190714

190669

188686

190090

202438

                   
   

(i) Demand deposits

28657

29827

28763

28070

29749

29553

33981

                   
   

(ii) Time deposits

158869

160512

161951

162599

158937

160537

168457

                   
 

(b)

Borrowings (other than from

-

-

-

-

-

-

-

   

RBI, IDBI, NABARD, EXIM Bank)

             
                   
 

(c)

Other demand and time liabilities

20358

18115

21978

21750

30347

31943

24481

                   

III.

Assets with the banking system

6854

10691

9601

9777

11262

12147

11129

 

of which

             
 

Money at call and short notice

5330

9287

8218

8087

9470

10169

9470

                   

IV.

Cash in hand

546

624

567

566

618

639

620

                   

V.

Investments in India

82997

79422

79099

76681

78100

79752

78262

                   
 

(a)

Government securities

74497

70476

70203

67915

69342

71030

69593

                   
 

(b)

Other approved securities

8500

8946

8896

8766

8758

8722

8669

                   

VI.

Bank credit

92793

94405

94315

96321

97974

98267

104201

                   
 

(a)

Loans, cash credit

86494

87828

87830

89603

90908

91271

96864

   

and overdrafts

             
                   
 

(b)

Inland bills purchased

562

647

638

634

796

691

764

                   
 

(c)

Inland bills discounted

3295

3549

3329

3498

3572

3568

3905

                   
 

(d)

Foreign bills purchased

598

639

660

632

799

704

669

                   
 

(e)


Foreign bills discounted


1844


1742


1858


1954


1899


2032


1999


-

:

Nil or negligible.

Source

:

Form-A Return under Section 42(2) of RBI Act, 1934.


 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


Items

 

March

April

May

June

July

August

     

1998


1998


1998


1998


1998


1998


 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


Nationalised Banks

           
                 

No. of reporting banks

19

19

19

19

19

19

                 

I.

Liabilities to the banking system

8645

10120

10107

10462

10389

10536

                 
 

(a)

Demand and time deposits from banks

8256

8563

8890

9171

9430

9921

                 
 

(b)

Borrowings from banks

360

1524

1184

1264

915

552

                 
 

(c)

Other demand and time liabilities

29

33

33

27

44

63

                 

II.

Liabilities to others in India

337713

338897

340441

344680

347757

350437

                 
 

(a)

Aggregate deposits

324604

324062

324723

329390

333292

336258

                 
   

(i) Demand deposits

53289

49880

49294

50665

48792

48033

                 
   

(ii) Time deposits

271315

274182

275429

278725

284500

288225

                 
 

(b)

Borrowings (other than from RBI,

4

8

515

667

4

4

   

IDBI, NABARD, EXIM Bank)

           
                 
 

(c)

Other demand and time liabilities

13105

14827

15203

14623

14461

14175

                 

III.

Assets with the banking system

6114

5420

4686

5747

5535

4285

 

of which

           
 

Money at call and short notice

2976

2224

1775

2745

2664

1240

                 

IV.

Cash in hand

2258

2303

2563

2556

2570

2546

                 

V.

Investments in India

119032

122697

122711

123202

124678

126261

                 
 

(a)

Government securities

100833

104458

104447

105100

106835

108458

                 
 

(b)

Other approved securities

18199

18239

18264

18102

17843

17803

                 

VI.

Bank credit

158085

156399

156868

158360

160280

160458

                 
 

(a)

Loans, cash credit

144949

143387

144479

145674

148324

148654

   

and overdrafts

           
                 
 

(b)

Inland bills purchased

2824

2831

2550

2470

2439

2459

                 
 

(c)

Inland bills discounted

2101

2021

2057

1888

1912

1894

                 
 

(d)

Foreign bills purchased

4929

5094

4771

5592

4539

4499

                 
 

(e)


Foreign bills discounted


3282


3066


3011


2736


3066


2952


 
 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


Items

 

September

October

November

December

January

February

March

     

1998


1998


1998


1998


1999


1999


1999


 
 
 

(7)


(8)


(9)


(10)


(11)


(12)


(13)


Nationalised Banks

             
                   

No. of reporting banks

19

19

19

19

19

19

19

                   

I.

Liabilities to the banking system

10863

11477

11805

12228

11439

12174

11513

                   
 

(a)

Demand and time deposits from banks

10159

10581

10944

10893

10656

10942

11054

                   
 

(b)

Borrowings from banks

660

865

823

1304

749

1185

412

                   
 

(c)

Other demand and time liabilities

44

31

38

31

34

47

47

                   

II.

Liabilities to others in India

362280

367630

369725

372438

375462

377965

397198

                   
 

(a)

Aggregate deposits

349691

353686

355884

357082

360135

360639

380178

                   
   

(i) Demand deposits

52250

50016

50676

50584

51309

50533

59683

                   
   

(ii) Time deposits

297441

303670

305208

306498

308826

310106

320495

                   
 

(b)

Borrowings (other than from

4

111

84

192

1681

692

85

   

RBI, IDBI, NABARD, EXIM Bank)

             
                   
 

(c)

Other demand and time liabilities

12585

13833

13757

15164

13646

16634

16935

                   

III.

Assets with the banking system

5200

6232

6283

4782

4530

6094

6940

 

of which

             
 

Money at call and short notice

1895

3314

3691

2044

1845

3046

3453

                   

IV.

Cash in hand

2303

2674

2342

2316

2587

2429

2695

                   

V.

Investments in India

126441

125144

127792

127877

128907

128999

131079

                   
 

(a)

Government securities

108717

107587

110303

110590

111689

111840

113856

                   
 

(b)

Other approved securities

17724

17557

17489

17287

17218

17159

17223

                   

VI.

Bank credit

164499

168006

168027

168623

173673

175196

182914

                   
 

(a)

Loans, cash credit and overdrafts

152676

155954

156179

156294

161006

162652

169430

                   
 

(b)

Inland bills purchased

2479

2547

2375

2450

2622

2492

2888

                   
 

(c)

Inland bills discounted

1926

1888

1912

1925

1752

1820

1987

                   
 

(d)

Foreign bills purchased

4545

4575

4652

4820

5123

5028

5213

                   
 

(e)


Foreign bills discounted


2873


3042


2909


3134


3170


3203


3396


-

:

Nil or negligible.

Source

:

Form-A Return under Section 42(2) of RBI Act, 1934.


 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


Items

 

March

April

May

June

July

August

     

1998


1998


1998


1998


1998


1998


 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


Regional Rural Banks

           
                 

No. of reporting banks

196

196

196

196

196

196

                 

I.

Liabilities to the banking system

137

140

134

136

135

147

                 
 

(a)

Demand and time deposits from banks

5

4

11

3

6

6

                 
 

(b)

Borrowings from banks

96

100

89

99

88

96

                 
 

(c)

Other demand and time liabilities

36

36

34

34

41

45

                 

II.

Liabilities to others in India

21661

22071

22117

22420

22969

23287

                 
 

(a)

Aggregate deposits

20977

21288

21320

21623

22133

22482

                 
   

(i) Demand deposits

3805

3869

3824

3886

3959

4036

                 
   

(ii) Time deposits

17173

17419

17496

17736

18174

18446

                 
 

(b)

Borrowings (other than from RBI,

4

4

4

4

6

27

   

IDBI, NABARD, EXIM Bank)

           
                 
 

(c)

Other demand and time liabilities

679

779

793

793

830

778

                 

III.

Assets with the banking system

9415

9786

9647

9822

10076

10088

 

of which

           
 

Money at call and short notice

3126

3293

3525

3611

3626

3625

                 

IV.

Cash in hand

253

220

247

265

246

240

                 

V.

Investments in India

3528

3666

3900

4078

4259

4387

                 
 

(a)

Government securities

1011

1072

1250

1282

1195

1230

                 
 

(b)

Other approved securities

2517

2594

2650

2796

3064

3157

                 

VI.

Bank credit

9686

9727

9546

9665

9810

9909

                 
 

(a)

Loans, cash credit and overdrafts

9674

9716

9537

9657

9801

9902

                 
 

(b)

Inland bills purchased

10

8

8

7

7

6

                 
 

(c)

Inland bills discounted

2

3

1

1

2

1

                 
 

(d)

Foreign bills purchased

-

-

-

-

-

-

                 
 

(e)


Foreign bills discounted


-


-


-


-


-


-


 
 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


Items

 

September

October

November

December

January

February

March

     

1998


1998


1998


1998


1999


1999


1999


 
 
 

(7)


(8)


(9)


(10)


(11)


(12)


(13)


Regional Rural Banks

             
                   

No. of reporting banks

196

196

196

196

196

196

196

                   

I.

Liabilities to the banking system

140

148

145

173

139

153

151

                   
 

(a)

Demand and time deposits from banks

5

10

18

36

22

18

20

                   
 

(b)

Borrowings from banks

89

86

82

107

72

79

90

                   
 

(c)

Other demand and time liabilities

46

52

45

30

45

55

41

                   

II.

Liabilities to others in India

23729

24113

24527

24900

25310

25553

26319

                   
 

(a)

Aggregate deposits

22932

23283

23669

24021

24400

24639

25428

                   
   

(i) Demand deposits

4127

4195

4241

4297

4387

4451

4688

                   
   

(ii) Time deposits

18805

19088

19428

19724

20013

20188

20740

                   
 

(b)

Borrowings (other than from

28

13

30

-

7

6

8

   

RBI, IDBI, NABARD, EXIM Bank)

             
                   
 

(c)

Other demand and time liabilities

769

817

828

879

903

908

883

                   

III.

Assets with the banking system

10194

10364

10588

10783

10841

10944

11319

 

of which

             
 

Money at call and short notice

3771

3732

3886

3950

3558

3882

4164

                   

IV.

Cash in hand

220

236

225

235

243

265

300

                   

V.

Investments in India

4473

4576

4720

4821

4867

4911

5007

                   
 

(a)

Government securities

1264

1292

1244

1114

1257

1275

1191

                   
 

(b)

Other approved securities

3209

3284

3476

3707

3610

3636

3816

                   

VI.

Bank credit

10070

10254

10422

10559

10688

10722

11016

                   
 

(a)

Loans, cash credit and overdrafts

10064

10247

10416

10552

10666

10715

11004

                   
 

(b)

Inland bills purchased

5

6

5

6

21

6

10

                   
 

(c)

Inland bills discounted

1

1

1

1

1

1

2

                   
 

(d)

Foreign bills purchased

-

-

-

-

-

-

-

                   
 

(e)


Foreign bills discounted


-


-


-


-


-


-


-


-

:

Nil or negligible.

Source

:

Form-A Return under Section 42(2) of RBI Act, 1934.

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