(Amount in ₹ crore) |
|
|
SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) |
ALL SCHEDULED BANKS |
|
|
30-Jun-2023 |
14-Jun-2024* |
28-Jun-2024* |
30-Jun-2023 |
14-Jun-2024* |
28-Jun-2024* |
I |
LIABILITIES TO THE BKG.SYSTEM (A) |
|
|
|
|
|
|
|
a) Demand & Time deposits from banks |
257646.38 |
273308.26 |
281655.77 |
260058.33 |
278408.28 |
287360.27 |
|
b) Borrowings from banks |
39731.20 |
152174.16 |
158498.40 |
39861.10 |
152178.16 |
158504.40 |
|
c) Other demand & time liabilities |
61504.46 |
76032.19 |
76535.85 |
62178.02 |
76525.91 |
77044.23 |
II |
LIABILITIES TO OTHERS (A) |
|
|
|
|
|
|
|
a) Deposits (other than from banks) |
19156018.40 |
20902918.07 (20809913.89) |
21285327.41 (21195930.64) |
19598266.83 |
21569931.53 (21476927.35) |
22058064.18 (21968667.41) |
|
i) Demand |
2448921.30 |
2390694.05 |
2601198.84 |
2494898.41 |
2459861.36 |
2677831.05 |
|
ii) Time |
16707097.10 |
18512224.01 |
18684128.57 |
17103368.42 |
19110070.17 |
19380233.13 |
|
b) Borrowings @ |
475004.14 |
780674.69 |
754974.77 |
480434.88 |
786929.04 |
762103.58 |
|
c) Other demand & time liabilities |
824872.83 |
965590.37 |
930200.95 |
838441.66 |
985634.99 |
954126.95 |
III |
BORROWINGS FROM R.B.I. (B) |
50866.68 |
111102.00 |
102741.00 |
50866.68 |
111102.00 |
102741.00 |
|
Against usance bills and / or prom. Notes |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
IV |
CASH |
113881.61 |
85283.14 |
104977.41 |
116514.20 |
88338.61 |
108596.49 |
V |
BALANCES WITH R.B.I. (B) |
871167.14 |
983708.00 |
973455.00 |
891564.22 |
1003434.00 |
993386.00 |
VI |
ASSETS WITH BANKING SYSTEM |
|
|
|
|
|
|
|
a) Balances with other banks |
|
|
|
|
|
|
|
i) In current accounts |
15083.84 |
7652.74 |
12548.36 |
19964.50 |
11144.09 |
17070.14 |
|
ii) In other accounts |
183902.56 |
178188.58 |
187668.24 |
222357.19 |
250073.89 |
264882.78 |
|
b) Money at call & short notice |
27197.71 |
11390.08 |
11606.33 |
43021.78 |
38740.47 |
47483.22 |
|
c) Advances to banks (i.e. due from bks.) |
28362.09 |
52270.19 |
50288.64 |
30274.75 |
56505.33 |
53157.39 ã |
|
d) Other assets |
80876.45 |
107937.02 |
114077.77 |
84186.01 |
110788.52 |
117832.72 |
VII |
INVESTMENTS ( At book value ) |
5670620.50 |
6231385.82 (6146467.67) |
6165701.45 (6100356.97) |
5815447.97 |
6463319.22 (6378401.07) |
6442467.61 (6377123.13) |
|
a) Central & State Govt. securities+ |
5669864.75 |
6230374.06 |
6164564.08 |
5809383.97 |
6449845.55 |
6423820.16 |
|
b) Other approved securities |
755.75 |
1011.77 |
1137.37 |
6064.00 |
13473.67 |
18647.45 |
VIII |
BANK CREDIT (Excluding Inter-Bank Advances) |
14383718.16 |
16706417.54 (16199902.64) |
16880782.20 (16380551.44) |
14787745.61 |
17423445.91 (16916931.01) |
17683694.69 (17183463.93) |
|
a) Loans, cash credits & Overdrafts $ |
14120923.01 |
16392988.28 |
16557346.54 |
14521899.60 |
17106542.78 |
17356600.33 |
|
b) Inland Bills purchased |
43753.43 |
64052.90 |
68064.49 |
43766.44 |
65383.40 |
69416.51 |
|
c) Inland Bills discounted |
174035.48 |
208278.98 |
213615.04 |
176389.40 |
209755.87 |
215251.63 |
|
d) Foreign Bills purchased |
19262.00 |
16140.00 |
16976.38 |
19478.36 |
16370.65 |
17206.47 |
|
e) Foreign Bills discounted |
25744.24 |
24957.38 |
24779.75 |
26211.82 |
25393.21 |
25219.76 |