(Rs. crore) |
Last Reporting Friday (in case of March)/ |
1990-91 |
2005-06 |
2006-07 |
2006 |
2007 |
Last Friday |
|
|
|
Jun. |
Dec. |
Jan. |
Feb. |
Mar. |
Apr. |
May (P) |
Jun. (P) |
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 |
11 |
12 |
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|
Number of reporting banks |
299 |
289 |
249 |
272 |
255 |
255 |
251 |
249 |
247 |
249 |
249 |
Liabilities to the |
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|
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|
|
|
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|
|
|
banking system (1) |
6,673 |
77,872 |
91,453 |
73,281 |
82,717 |
76,559 |
80,669 |
91,453 |
90,299 |
83,391 |
81,980 |
Demand and time |
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|
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|
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|
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|
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|
|
deposits from banks (2) |
5,598 |
39,750 |
43,620 |
34,394 |
34,885 |
36,779 |
38,182 |
43,620 |
40,255 |
37,728 |
37,066 |
Borrowings from banks (3) |
998 |
29,232 |
35,532 |
31,381 |
39,371 |
31,078 |
32,391 |
35,532 |
33,960 |
28,890 |
29,426 |
Other demand and |
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time liabilities (4) |
77 |
8,890 |
12,301 |
7,505 |
8,461 |
8,703 |
10,096 |
12,301 |
16,084 |
16,773 |
15,488 |
Liabilities to others (1) |
2,13,125 |
24,60,973 |
30,22,790 |
24,92,748 |
28,01,799 |
27,87,019 |
28,54,107 |
30,22,790 |
29,98,449 |
29,98,244 |
31,04,119 |
Aggregate deposits (5) |
1,99,643 |
21,85,810 |
26,91,053 |
22,19,216 |
24,64,708 |
24,85,836 |
25,48,479 |
26,91,053 |
26,75,534 |
26,86,818 |
27,85,535 |
Demand |
34,823 |
3,74,125 |
4,39,949 |
3,32,260 |
3,97,777 |
3,77,318 |
4,09,562 |
4,39,949 |
3,87,212 |
3,78,062 |
4,06,959 |
Time (5) |
1,64,820 |
18,11,684 |
22,51,104 |
18,86,956 |
20,66,931 |
21,08,518 |
21,38,917 |
22,51,104 |
22,88,322 |
23,08,755 |
23,78,576 |
Borrowings (6) |
645 |
83,816 |
86,910 |
86,902 |
81,560 |
84,609 |
86,755 |
86,910 |
88,977 |
84,368 |
87,279 |
Other demand and |
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time liabilities (4) |
12,838 |
1,91,347 |
244,827 |
1,86,630 |
2,55,532 |
2,16,574 |
2,18,874 |
2,44,827 |
2,33,939 |
2,27,059 |
2,31,305 |
Borrowings from |
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Reserve Bank (7) |
3,483 |
1,575 |
6,348 |
18 |
5,013 |
4,432 |
848 |
6,348 |
4,099 |
3,208 |
1,276 |
Against usance bills / |
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promissory notes |
— |
— |
— |
— |
— |
— |
— |
— |
— |
— |
— |
Others (8) |
3,483 |
1,575 |
6,348 |
18 |
5,013 |
4,432 |
848 |
6,348 |
4,099 |
3,208 |
1,276 |
Cash in hand and |
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balances with |
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Reserve Bank |
25,995 |
1,45,120 |
2,02,565 |
1,36,945 |
1,72,069 |
1,71,616 |
1,76,254 |
2,02,565 |
2,12,148 |
2,07,608 |
2,22,623 |
Cash in hand |
1,847 |
13,512 |
16,607 |
12,680 |
14,506 |
14,177 |
14,267 |
16,607 |
15,455 |
15,752 |
17,040 |
Balances with |
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|
Reserve Bank (9) |
24,147 |
1,31,608 |
1,85,958 |
1,24,265 |
1,57,562 |
1,57,439 |
1,61,987 |
1,85,958 |
1,96,694 |
1,91,856 |
2,05,584 |
See ‘Notes on Tables’. |
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(Rs. crore) |
Last Reporting Friday (in case of March)/ |
1990-91 |
2005-06 |
2006-07 |
2006 |
2007 |
Last Friday |
|
|
|
Jun. |
Dec. |
Jan. |
Feb. |
Mar. |
Apr. |
May (P) |
Jun. (P) |
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 |
11 |
12 |
Assets with the Banking |
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|
System |
6,848 |
63,882 |
86,922 |
64,128 |
75,316 |
72,922 |
72,318 |
86,922 |
79,743 |
76,472 |
78,682 |
Balances with other banks |
3,347 |
30,735 |
33,486 |
30,609 |
31,421 |
30,234 |
29,254 |
33,486 |
30,775 |
29,749 |
30,931 |
In current account |
1,926 |
14,240 |
14,451 |
11,348 |
12,294 |
11,451 |
11,616 |
14,451 |
12,862 |
13,266 |
13,189 |
In other accounts |
1,421 |
16,494 |
19,035 |
19,261 |
19,127 |
18,783 |
17,638 |
19,035 |
17,913 |
16,483 |
17,742 |
Money at call and |
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short notice |
2,201 |
17,669 |
22,761 |
18,889 |
23,911 |
17,425 |
20,182 |
22,761 |
19,959 |
18,150 |
20,116 |
Advances to banks (10) |
902 |
4,701 |
6,516 |
3,431 |
6,403 |
5,476 |
5,094 |
6,516 |
6,055 |
4,960 |
4,297 |
Other assets |
398 |
10,778 |
24,159 |
11,199 |
13,581 |
19,788 |
17,788 |
24,159 |
22,953 |
23,614 |
23,338 |
Investment |
76,831 |
7,49,682 |
8,20,249 |
7,73,371 |
7,73,794 |
7,86,214 |
8,18,346 |
8,20,249 |
8,37,364 |
8,45,371 |
8,75,461 |
Government securities (11) |
51,086 |
7,31,889 |
8,03,768 |
7,55,103 |
7,57,243 |
7,69,810 |
8,01,966 |
8,03,768 |
8,21,251 |
8,23,570 |
8,53,713 |
Other approved securities |
25,746 |
17,792 |
16,481 |
18,268 |
16,551 |
16,404 |
16,380 |
16,481 |
16,113 |
21,801 |
21,749 |
Bank credit |
1,25,575 |
15,72,781 |
20,06,332 |
15,85,181 |
18,40,847 |
18,53,138 |
18,92,868 |
20,06,332 |
19,64,793 |
19,60,907 |
19,90,752 |
Loans, cash-credits and |
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overdrafts |
1,14,982 |
14,94,715 |
19,17,260 |
15,10,385 |
17,58,861 |
17,71,331 |
18,10,909 |
19,17,260 |
18,84,051 |
18,82,209 |
19,12,063 |
Inland bills-purchased |
3,532 |
13,242 |
16,408 |
10,153 |
11,570 |
11,685 |
12,196 |
16,408 |
12,528 |
12,052 |
11,744 |
Inland bills-discounted |
2,409 |
31,362 |
31,933 |
29,154 |
32,354 |
32,375 |
31,910 |
31,933 |
31,335 |
31,056 |
31,503 |
Foreign bills-purchased |
2,788 |
13,108 |
16,171 |
12,662 |
14,700 |
14,478 |
14,466 |
16,171 |
13,793 |
13,547 |
12,810 |
Foreign bills-discounted |
1,864 |
20,353 |
24,559 |
22,828 |
23,362 |
23,269 |
23,387 |
24,559 |
23,086 |
22,042 |
22,631 |
Cash-Deposit Ratio |
13.0 |
6.6 |
7.5 |
6.2 |
7.0 |
6.9 |
6.9 |
7.5 |
7.9 |
7.7 |
8.0 |
Investment-Deposit Ratio |
38.5 |
34.3 |
30.5 |
34.8 |
31.4 |
31.6 |
32.1 |
30.5 |
31.3 |
31.5 |
31.4 |
Credit-Deposit Ratio |
62.9 |
72.0 |
74.6 |
71.4 |
74.7 |
74.5 |
74.3 |
74.6 |
73.4 |
73.0 |
71.5 |
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