(Amount in ₹ crore) |
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SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) |
ALL SCHEDULED BANKS |
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24-Feb-23 |
09-FEB-2024 * |
23-FEB-2024 * |
24-Feb-23 |
09-FEB-2024 * |
23-FEB-2024 * |
I |
LIABILITIES TO THE BKG.SYSTEM (A) |
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a) Demand & Time deposits from banks |
217311.02 |
273418.84 |
266228.3 |
219565.32 |
277194.62 |
269753.59 ** |
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b) Borrowings from banks |
68361.2 |
182780.93 |
178118.67 |
68708.79 |
182792.42 |
178124.17 |
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c) Other demand & time liabilities |
59105.89 |
70933.37 |
71768.89 |
59731.28 |
71571.22 |
72408.66 |
II |
LIABILITIES TO OTHERS (A) |
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a) Deposits (other than from banks) |
17861853.77 |
20195381.89 (20080927.48) |
20204873.01 (20092085.90) |
18290021.45 |
20639729.4 (20525274.99) |
20648851.14 (20536064.03) |
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i) Demand |
2150730.74 |
2319263.28 |
2368299.65 |
2197094.86 |
2367450.03 |
2415858.93 |
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ii) Time |
15711123.02 |
17876118.64 |
17836573.41 |
16092926.59 |
18272279.4 |
18232992.26 |
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b) Borrowings @ |
466506.03 |
794818.38 |
779018.5 |
471321.77 |
799733.98 |
783905.23 |
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c) Other demand & time liabilities |
762949.28 |
919328.48 |
922783.11 |
775328.74 |
931648.46 |
935063.59 |
III |
BORROWINGS FROM R.B.I. (B) |
109025.66 |
253342 |
256374 |
109025.66 |
253342 |
256409 |
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Against usance bills and / or prom. Notes |
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IV |
CASH |
97232.95 |
85450.87 |
83045.32 |
99578.44 |
87976.87 |
85532.83 |
V |
BALANCES WITH R.B.I. (B) |
797985.78 |
906763.16 |
909399.76 |
816097.84 |
926046.72 |
929232.46 |
VI |
ASSETS WITH BANKING SYSTEM |
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a) Balances with other banks |
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i) In current accounts |
27044.71 |
10562.42 |
8475.11 |
30230.84 |
13146.17 |
10903.28 |
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ii) In other accounts |
168623.15 |
188614.9 |
183484.16 |
204241.38 |
232260.42 |
227155.92 |
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b) Money at call & short notice |
20448.21 |
14704.82 |
13908.85 |
39007.47 |
33238.02 |
33427.85 |
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c) Advances to banks (i.e. due from bks.) |
39918.81 |
45102.69 |
46053.73 |
44408.25 |
47994.35 |
49373.13 £ |
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d) Other assets |
66973.69 |
108381.41 |
105259.24 |
70500.99 |
110594.71 |
107584.46 |
VII |
INVESTMENTS ( At book value ) |
5337558.09 |
6054646.47 (5961816.22) |
6048445.77 (5956772.62) |
5483663.14 |
6202552.34 (6109722.09) |
6196295.73 (6104622.58) |
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a) Central & State Govt. securities+ |
5336711.13 |
6053897.39 |
6047620.29 |
5477025.71 |
6195786.41 |
6189555.36 |
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b) Other approved securities |
846.95 |
749.09 |
825.49 |
6637.43 |
6765.94 |
6740.38 |
VIII |
BANK CREDIT (Excluding Inter-Bank Advances) |
13450268.71 |
16147476.63 (15599156.20) |
16207362.33 (15670957.33) |
13852868.31 |
16574624.8 (16026304.37) |
16638595.13 (16102190.13) |
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a) Loans, cash credits & Overdrafts $ |
13212088.03 |
15871227.19 |
15929923.6 |
13611144.98 |
16295479.38 |
16358198.5 |
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b) Inland Bills purchased |
37019.51 |
52620.1 |
52911.83 |
37031.72 |
52629.75 |
52921.84 |
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c) Inland Bills discounted |
156351.17 |
185667.34 |
186108.44 |
159299.75 |
187947.58 |
188407.07 |
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d) Foreign Bills purchased |
17161.05 |
16261.96 |
16404.87 |
17306.69 |
16497.32 |
16656.56 |
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e) Foreign Bills discounted |
27648.95 |
21700.08 |
22013.56 |
28085.17 |
22070.82 |
22411.14 |
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