Table 181 : Commercial Bank Survey - আৰবিআই - Reserve Bank of India
83683336
প্ৰকাশ কৰা তাৰিখ
ছেপ্তেম্বৰ 16, 2015
Table 181 : Commercial Bank Survey
(₹ Billion) | |||||||||
Item/Month | Amount outstanding as on | ||||||||
Sep 20, 2013 | Oct 18, 2013 | Nov 29, 2013 | Dec 27, 2013 | Jan 24, 2014 | Feb 21, 2014 | Mar 21, 2014 | Apr 18, 2014 | ||
1 | 2 | 3 | 4 | 5 | 6 | 7 | 8 | 9 | |
Components | |||||||||
C.I | Aggregate Deposits of Residents(C.I.1+C.I.2) | 70470.75 | 71662.72 | 71964.96 | 72234.90 | 72711.05 | 73219.89 | 74514.13 | 75733.89 |
C.I.1 | Demand Deposits | 6554.28 | 6514.94 | 6619.62 | 6858.32 | 6892.04 | 6878.38 | 7139.21 | 7312.95 |
C.I.2 | Time Deposits of Residents(C.I.2.1+C.I.2.2) | 63916.47 | 65147.78 | 65345.34 | 65376.58 | 65819.01 | 66341.51 | 67374.92 | 68420.94 |
C.I.2.1 | Short-term Time Deposits | 28762.41 | 29316.50 | 29405.40 | 29419.46 | 29618.55 | 29853.68 | 30318.71 | 30789.42 |
C.I.2.1.1 | Certificates of Deposits (CDs) | 3553.34 | 3369.03 | 3236.21 | 3290.37 | 4726.09 | 3315.25 | 3741.33 | 3865.22 |
C.I.2.2 | Long-term Time Deposits | 35154.06 | 35831.28 | 35939.94 | 35957.12 | 36200.45 | 36487.83 | 37056.20 | 37631.52 |
C.II | Call/Term Funding from Financial Institutions | 2546.06 | 2468.87 | 2542.00 | 2440.97 | 2339.69 | 2257.53 | 2210.37 | 2164.81 |
Sources | |||||||||
S.I | Domestic Credit(S.I.1+S.I.2) | 80551.13 | 81514.76 | 82770.89 | 83511.04 | 83975.38 | 84902.56 | 86123.01 | 87005.86 |
S.I.1 | Credit to the Government | 21093.38 | 21729.53 | 22151.13 | 22058.58 | 22090.48 | 22353.30 | 22111.94 | 22606.14 |
S.I.2 | Credit to the Commercial Sector(S.I.2.1+S.I.2.2+S.I.1.2.3+S.I.1.2.4) | 59457.74 | 59785.24 | 60619.76 | 61452.47 | 61884.90 | 62549.26 | 64011.07 | 64399.72 |
S.I.2.1 | Bank Credit | 56020.21 | 55979.85 | 56464.44 | 57413.17 | 57757.35 | 58458.33 | 59940.96 | 60130.43 |
S.I.2.1.1 | Non-food Credit | 55028.70 | 55054.34 | 55422.53 | 56294.79 | 56639.60 | 57392.66 | 58956.19 | 59203.53 |
S.I.2.2 | Net credit to Primary Dealers | 42.20 | 32.29 | 47.31 | 29.39 | 40.35 | 45.16 | 22.53 | 22.73 |
S.I.2.3 | Investments in Other Approved Securities | 21.83 | 22.60 | 21.11 | 18.24 | 17.43 | 16.53 | 16.27 | 17.63 |
S.I.2.4 | Other Investments (in non-SLR Securities) | 3373.51 | 3750.50 | 4086.89 | 3991.66 | 4069.77 | 4029.23 | 4031.31 | 4228.92 |
S.II | Net Foreign currency Assets of Commercial Banks (S.II.1-S.II.2-S.II.3) | -1233.01 | -1248.22 | -2181.63 | -2186.00 | -2146.38 | -2127.96 | -1977.85 | -2101.65 |
S.II.1 | Foreign Currency Assets | 822.53 | 1096.66 | 1413.32 | 1335.52 | 1335.11 | 1370.08 | 1495.32 | 1357.46 |
S.II.2 | Non-resident Foreign Currency Repatriable Fixed Deposits | 1032.75 | 1285.53 | 2476.20 | 2513.41 | 2534.05 | 2546.20 | 2541.47 | 2539.28 |
S.II.3 | Overseas Foreign Currency Borrowings | 1022.79 | 1059.36 | 1118.75 | 1008.11 | 947.44 | 951.84 | 931.70 | 919.83 |
S.III | Net Bank Reserves(S.III.1+S.III.2-S.III.3) | 3211.67 | 3200.01 | 3358.76 | 3287.67 | 3383.50 | 3168.80 | 3206.01 | 3415.37 |
S.III.1 | Balances with the RBI | 3206.48 | 3148.30 | 3278.68 | 3236.41 | 3233.33 | 3120.05 | 3163.44 | 3266.24 |
S.III.2 | Cash in Hand | 427.47 | 468.82 | 471.08 | 478.71 | 448.22 | 453.79 | 458.70 | 467.82 |
S.III.3 | Loans and Advances from the RBI | 422.28 | 417.11 | 391.01 | 427.46 | 298.04 | 405.04 | 416.13 | 318.69 |
S.IV | Capital Account | 7156.28 | 7194.25 | 7183.04 | 7251.21 | 7297.03 | 7383.76 | 7388.58 | 7669.75 |
S.V | Other items (net) (S.I+S.II+S.III-S.IV-C.I-C.II) | 2356.69 | 2140.70 | 2258.02 | 2685.63 | 2864.72 | 3082.22 | 3238.09 | 2751.13 |
S.V.1 | Other Demand & Time Liabilities (net of S.II.3) | 3067.58 | 2765.65 | 3010.36 | 3219.66 | 3108.05 | 3421.24 | 3451.60 | 3182.18 |
S.V.2 | Net Inter-Bank Liabilities (other than to PDs) | -685.12 | -696.91 | -608.62 | -555.18 | -561.27 | -609.21 | -666.09 | -564.86 |
Item/Month | Amount outstanding as on | ||||||||
May 30, 2014 | Jun 27, 2014 | Jul 25, 2014 | Aug 22, 2014 | Sep 19, 2014 | Oct 31, 2014 | Nov 28, 2014 | Dec 26, 2014 | ||
1 | 10 | 11 | 12 | 13 | 14 | 15 | 16 | 17 | |
Components | |||||||||
C.I | Aggregate Deposits of Residents(C.I.1+C.I.2) | 76319.20 | 76429.94 | 76792.69 | 77456.19 | 77920.91 | 79615.05 | 80010.64 | 80119.49 |
C.I.1 | Demand Deposits | 7500.50 | 7496.10 | 7122.09 | 7193.34 | 7272.88 | 7480.36 | 7609.82 | 7617.91 |
C.I.2 | Time Deposits of Residents(C.I.2.1+C.I.2.2) | 68818.70 | 68933.84 | 69670.60 | 70262.85 | 70648.03 | 72134.70 | 72400.82 | 72501.59 |
C.I.2.1 | Short-term Time Deposits | 30968.41 | 31020.23 | 31351.77 | 31618.28 | 31791.61 | 32460.61 | 32580.37 | 32625.71 |
C.I.2.1.1 | Certificates of Deposits (CDs) | 3586.04 | 3386.94 | 3232.09 | 3477.95 | 3035.79 | 2727.01 | 2641.39 | 2682.82 |
C.I.2.2 | Long-term Time Deposits | 37850.28 | 37913.61 | 38318.83 | 38644.57 | 38856.41 | 39674.08 | 39820.45 | 39875.87 |
C.II | Call/Term Funding from Financial Institutions | 2046.30 | 2035.97 | 1962.97 | 1940.65 | 1876.66 | 1854.18 | 1813.42 | 2013.76 |
Sources | |||||||||
S.I | Domestic Credit(S.I.1+S.I.2) | 87507.27 | 87613.93 | 87966.44 | 88650.89 | 89119.02 | 90746.48 | 91001.01 | 91703.60 |
S.I.1 | Credit to the Government | 22902.51 | 22812.98 | 23072.24 | 23530.64 | 23621.50 | 23999.84 | 24149.35 | 24239.99 |
S.I.2 | Credit to the Commercial Sector(S.I.2.1+S.I.2.2+S.I.1.2.3+S.I.1.2.4) | 64604.76 | 64800.95 | 64894.20 | 65120.25 | 65497.51 | 66746.64 | 66851.66 | 67463.61 |
S.I.2.1 | Bank Credit | 60415.20 | 60949.44 | 60842.62 | 60869.03 | 61180.66 | 62441.92 | 62553.48 | 63185.24 |
S.I.2.1.1 | Non-food Credit | 59249.46 | 59805.34 | 59717.88 | 59791.17 | 60129.95 | 61352.17 | 61478.33 | 62102.01 |
S.I.2.2 | Net credit to Primary Dealers | 41.68 | 29.45 | 51.53 | 41.89 | 38.90 | 45.22 | 50.71 | 54.89 |
S.I.2.3 | Investments in Other Approved Securities | 22.39 | 17.11 | 16.92 | 16.71 | 16.53 | 16.33 | 15.58 | 17.54 |
S.I.2.4 | Other Investments (in non-SLR Securities) | 4125.49 | 3804.95 | 3983.12 | 4192.63 | 4261.43 | 4243.17 | 4231.88 | 4205.95 |
S.II | Net Foreign currency Assets of Commercial Banks (S.II.1-S.II.2-S.II.3) | -1950.31 | -1899.87 | -1813.22 | -1625.27 | -1579.64 | -2005.00 | -1953.22 | -2102.29 |
S.II.1 | Foreign Currency Assets | 1448.21 | 1511.63 | 1628.77 | 1724.00 | 1703.10 | 1295.25 | 1274.29 | 1281.31 |
S.II.2 | Non-resident Foreign Currency Repatriable Fixed Deposits | 2516.66 | 2563.43 | 2599.49 | 2602.48 | 2614.65 | 2626.24 | 2625.24 | 2713.93 |
S.II.3 | Overseas Foreign Currency Borrowings | 881.86 | 848.07 | 842.49 | 746.80 | 668.09 | 674.01 | 602.26 | 669.66 |
S.III | Net Bank Reserves(S.III.1+S.III.2-S.III.3) | 3524.79 | 3655.79 | 2632.42 | 2982.02 | 3081.94 | 3523.26 | 3404.43 | 3150.54 |
S.III.1 | Balances with the RBI | 3344.67 | 3384.90 | 3371.31 | 3284.43 | 3363.34 | 3400.39 | 3498.30 | 3458.48 |
S.III.2 | Cash in Hand | 492.62 | 500.39 | 482.34 | 505.77 | 492.62 | 580.77 | 531.68 | 557.22 |
S.III.3 | Loans and Advances from the RBI | 312.50 | 229.49 | 1221.23 | 808.18 | 774.02 | 457.90 | 625.55 | 865.17 |
S.IV | Capital Account | 7779.07 | 7826.87 | 8085.49 | 8098.19 | 8119.37 | 8148.19 | 8149.64 | 8173.74 |
S.V | Other items (net) (S.I+S.II+S.III-S.IV-C.I-C.II) | 2937.18 | 3077.07 | 1944.51 | 2512.60 | 2704.38 | 2647.31 | 2478.52 | 2444.85 |
S.V.1 | Other Demand & Time Liabilities (net of S.II.3) | 3572.37 | 3487.09 | 3474.20 | 3499.39 | 3741.56 | 3600.61 | 3769.94 | 3675.96 |
S.V.2 | Net Inter-Bank Liabilities (other than to PDs) | -474.30 | -460.54 | -298.71 | -268.68 | -269.72 | -230.64 | -283.24 | -277.51 |
(Continued) |
TABLE 181 : COMMERCIAL BANK SURVEY (Concld.) | |||||||
(₹ Billion) | |||||||
Item/Month | Amount outstanding as on | ||||||
Jan 23, 2015 | Feb 20, 2015 | Mar 20, 2015 | Apr 17, 2015 | May 29, 2015 | Jun 26, 2015 | ||
1 | 18 | 19 | 20 | 21 | 22 | 23 | |
Components | |||||||
C.I | Aggregate Deposits of Residents(C.I.1+C.I.2) | 80789.52 | 81559.72 | 82648.86 | 84017.60 | 85071.22 | 85163.72 |
C.I.1 | Demand Deposits | 7373.32 | 7590.56 | 7940.29 | 7946.61 | 8186.48 | 8146.45 |
C.I.2 | Time Deposits of Residents(C.I.2.1+C.I.2.2) | 73416.21 | 73969.17 | 74708.57 | 76070.99 | 76884.74 | 77017.27 |
C.I.2.1 | Short-term Time Deposits | 33037.29 | 33286.12 | 33618.86 | 34231.95 | 34598.13 | 34657.77 |
C.I.2.1.1 | Certificates of Deposits (CDs) | 2725.05 | 2708.86 | 2974.46 | 2967.69 | 2531.65 | 2223.35 |
C.I.2.2 | Long-term Time Deposits | 40378.91 | 40683.04 | 41089.71 | 41839.05 | 42286.61 | 42359.50 |
C.II | Call/Term Funding from Financial Institutions | 2153.80 | 2250.65 | 2258.70 | 2204.51 | 2365.70 | 2439.10 |
Sources | |||||||
S.I | Domestic Credit(S.I.1+S.I.2) | 93008.69 | 94021.75 | 94881.85 | 96122.08 | 97255.48 | 97423.35 |
S.I.1 | Credit to the Government | 24883.41 | 25213.57 | 24897.51 | 25630.05 | 26215.94 | 26111.47 |
S.I.2 | Credit to the Commercial Sector(S.I.2.1+S.I.2.2+S.I.1.2.3+S.I.1.2.4) | 68125.28 | 68808.17 | 69984.34 | 70492.02 | 71039.54 | 71311.88 |
S.I.2.1 | Bank Credit | 63639.23 | 64257.93 | 65364.20 | 65751.99 | 66334.16 | 66593.30 |
S.I.2.1.1 | Non-food Credit | 62609.25 | 63260.53 | 64420.02 | 64880.73 | 65168.78 | 65478.95 |
S.I.2.2 | Net credit to Primary Dealers | 46.18 | 44.60 | 35.71 | 55.14 | 61.93 | 47.22 |
S.I.2.3 | Investments in Other Approved Securities | 18.79 | 17.89 | 20.74 | 17.75 | 23.28 | 25.05 |
S.I.2.4 | Other Investments (in non-SLR Securities) | 4421.08 | 4487.75 | 4563.68 | 4667.14 | 4620.17 | 4646.31 |
S.II | Net Foreign currency Assets of Commercial Banks (S.II.1-S.II.2-S.II.3) | -2107.17 | -1878.59 | -1831.78 | -1822.59 | -2463.71 | -2434.63 |
S.II.1 | Foreign Currency Assets | 1271.06 | 1567.43 | 1647.02 | 1634.88 | 1447.46 | 1461.70 |
S.II.2 | Non-resident Foreign Currency Repatriable Fixed Deposits | 2621.41 | 2664.24 | 2683.99 | 2672.57 | 2821.51 | 2821.64 |
S.II.3 | Overseas Foreign Currency Borrowings | 756.82 | 781.78 | 794.82 | 784.90 | 1089.67 | 1074.69 |
S.III | Net Bank Reserves(S.III.1+S.III.2-S.III.3) | 2934.70 | 3259.35 | 2741.54 | 3381.68 | 3394.54 | 3778.08 |
S.III.1 | Balances with the RBI | 3486.67 | 3433.09 | 3730.74 | 3598.63 | 3708.87 | 3652.14 |
S.III.2 | Cash in Hand | 519.73 | 516.20 | 533.55 | 541.61 | 578.56 | 583.92 |
S.III.3 | Loans and Advances from the RBI | 1071.70 | 689.94 | 1522.75 | 758.57 | 892.89 | 457.98 |
S.IV | Capital Account | 8183.20 | 8336.31 | 8365.41 | 8484.03 | 10688.99 | 8932.35 |
S.V | Other items (net) (S.I+S.II+S.III-S.IV-C.I-C.II) | 2709.70 | 3255.82 | 2518.63 | 2975.02 | 60.40 | 2231.63 |
S.V.1 | Other Demand & Time Liabilities (net of S.II.3) | 3617.17 | 3658.48 | 3777.19 | 3448.13 | 3392.93 | 3219.49 |
S.V.2 | Net Inter-Bank Liabilities (other than to PDs) | -382.83 | -356.39 | -620.45 | -492.32 | -670.78 | -595.28 |
Note : Data from 2014-15 onwards are provisional. Also see Notes on Tables. |
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