(Amount in ₹ crore) |
|
|
SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) |
ALL SCHEDULED BANKS |
|
|
19-May-23 |
03-MAY-2024 * |
17-MAY-2024 * |
19-May-23 |
03-MAY-2024 * |
17-MAY-2024 * |
I |
LIABILITIES TO THE BKG.SYSTEM (A) |
|
|
|
|
|
|
|
a) Demand & Time deposits from banks |
243149.05 |
291055.4 |
289684.94 |
245652.1 |
292732.12 |
293567.66 ** |
|
b) Borrowings from banks |
56459.38 |
167685.78 |
162652.29 |
56588.09 |
170176.71 |
162655.65 |
|
c) Other demand & time liabilities |
59167.93 |
76526.45 |
74441.56 |
59826.67 |
76795.5 |
74668.36 |
II |
LIABILITIES TO OTHERS (A) |
|
|
|
|
|
|
|
a) Deposits (other than from banks) |
18376356.29 |
20938381 (20835743.37) |
20814091.81 (20714644.03) |
18815257.1 |
21400918.13 (21298280.50) |
21272866.45 (21173418.67) |
|
i) Demand |
2121659.38 |
2437589.96 |
2407317.7 |
2166035.94 |
2489214.44 |
2456817.25 |
|
ii) Time |
16254696.91 |
18500791.06 |
18406774.13 |
16649221.16 |
18911703.71 |
18816049.21 |
|
b) Borrowings @ |
453589.34 |
780233.57 |
775774.36 |
458481.88 |
784814.04 |
779950.71 |
|
c) Other demand & time liabilities |
795001.92 |
902769.05 |
912687.46 |
808646.15 |
914403.96 |
923772.11 |
III |
BORROWINGS FROM R.B.I. (B) |
69761.41 |
171359 |
161708 |
69761.41 |
171359 |
161708 |
|
Against usance bills and / or prom. Notes |
|
|
|
|
|
|
IV |
CASH |
95358.04 |
89478.8 |
84004.05 |
97790.69 |
92004.11 |
86515.83 |
V |
BALANCES WITH R.B.I. (B) |
852417.08 |
961716.53 |
950566.88 |
871024.71 |
982148.68 |
970617.66 |
VI |
ASSETS WITH BANKING SYSTEM |
|
|
|
|
|
|
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a) Balances with other banks |
|
|
|
|
|
|
|
i) In current accounts |
8574.1 |
8461.16 |
9567.92 |
12469.89 |
10897.82 |
11875.61 |
|
ii) In other accounts |
183605.68 |
183008.95 |
179343.98 |
221186.26 |
229640.62 |
225266.61 |
|
b) Money at call & short notice |
22611.31 |
15069.45 |
14392.25 |
40684.18 |
33132.71 |
31978.36 |
|
c) Advances to banks (i.e. due from bks.) |
42671.37 |
54116.07 |
56093.93 |
45451.6 |
56255.16 |
58233.92 £ |
|
d) Other assets |
74150.58 |
109550.22 |
119834.94 |
77469.45 |
112429.71 |
122679.51 |
VII |
INVESTMENTS ( At book value ) |
5551327.68 |
6220688.64 (6135329.35) |
6199539.3 (6114143.19) |
5695915.84 |
6372797.08 (6287437.79) |
6352420.27 (6267024.16) |
|
a) Central & State Govt. securities+ |
5550541.32 |
6219571.73 |
6198573.02 |
5689915.4 |
6365065.56 |
6344741.49 |
|
b) Other approved securities |
786.36 |
1116.92 |
966.27 |
6000.44 |
7731.53 |
7678.77 |
VIII |
BANK CREDIT (Excluding Inter-Bank Advances) |
13893970.45 |
16631720.35 (16114603.22) |
16608513.29 (16093855.23) |
14299162.69 |
17067694.64 (16550577.51) |
17043681.55 (16529023.49) |
|
a) Loans, cash credits & Overdrafts $ |
13636745.69 |
16317883.54 |
16296002.68 |
14038959.91 |
16750548.83 |
16727856.53 |
|
b) Inland Bills purchased |
42861.52 |
64556.16 |
63646.65 |
42874.28 |
64560.57 |
63651.18 |
|
c) Inland Bills discounted |
170925.15 |
209492.71 |
207787.06 |
173273.82 |
212140.82 |
210442.24 |
|
d) Foreign Bills purchased |
18017.55 |
15915.89 |
16651.15 |
18204.44 |
16138.39 |
16875.72 |
|
e) Foreign Bills discounted |
25420.53 |
23872.03 |
24425.73 |
25850.23 |
24306.02 |
24855.87 |