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Table 3 : Month-Wise Scheduled Commercial Banks' Business in India According to Bank Groups - 1997-98 (Part 1 of 3)

 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


Items

 

March

April

May

June

July

August

     

1997


1997


1997


1997


1997


1997


 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


State Bank of India and its Associates

           
                 

No. of reporting banks

8

8

8

8

8

8

                 

I.

Liabilities to the banking system

6457

7183

6489

6914

6862

6926

                 
 

(a)

Demand and time deposits from banks

6040

6181

6100

6396

6493

6387

                 
 

(b)

Borrowings from banks

2

211

125

287

141

251

                 
 

(c)

Other demand and time liabilities

415

791

264

231

228

288

                 

II.

Liabilities to others in India

149373

151506

153090

155828

156715

156512

                 
 

(a)

Aggregate deposits

134587

136193

138447

140374

141159

141691

                 
   

(i) Demand deposits

26890

24929

24970

25914

25320

24205

                 
   

(ii) Time deposits

107697

111264

113477

114460

115839

117486

                 
 

(b)

Borrowings (other than from RBI, IDBI,

--

--

--

--

--

--

   

NABARD, EXIM Bank)

           
                 
 

(c)

Other demand and time liabilities

14786

15313

14643

15454

15556

14821

                 

III.

Assets with the banking system

3276

8089

3332

6563

4952

4382

 

of which

           
 

Money at call and short notice

1515

2061

2071

5117

3677

2997

                 

IV.

Cash in hand

498

461

512

523

474

541

                 

V.

Investments in India

57406

60160

61871

62980

65296

67778

                 
 

(a)

Government securities

47906

50721

52431

53586

55916

57381

                 
 

(b)

Other approved securities

9500

9439

9440

9394

9380

10397

                 

VI.

Bank credit

81605

80040

80985

79994

80223

77802

                 
 

(a)

Loans, cash credit and overdrafts

75009

73472

74348

73297

73230

71643

                 
 

(b)

Inland bills purchased

587

582

914

494

486

521

                 
 

(c)

Inland bills discounted

3308

3346

3182

3766

3411

3453

                 
 

(d)

Foreign bills purchased

614

578

556

533

534

532

                 
 

(e)


Foreign bills discounted


2087


2062


1985


1904


2562


1653



 
 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


Items

 

September

October

November

December

January

February

March

     

1997


1997


1997


1997


1998


1998


1998


 
 
 

(7)


(8)


(9)


(10)


(11)


(12)


(13)


State Bank of India and its Associates

             
                   

No. of reporting banks

8

8

8

8

8

8

8

                   

I.

Liabilities to the banking system

7383

8124

8077

7834

9729

8859

9578

                   
 

(a)

Demand and time deposits from banks

6978

7721

7745

7657

7015

7316

7801

                   
 

(b)

Borrowings from banks

110

150

--

101

165

35

495

                   
 

(c)

Other demand and time liabilities

295

253

332

76

2549

1508

1282

                   

II.

Liabilities to others in India

159466

161503

163604

165930

168786

172648

177729

                   
 

(a)

Aggregate deposits

145051

145690

148013

150328

153023

155210

159357

                   
   

(i) Demand deposits

26289

25436

25650

26172

26433

26273

29615

                   
   

(ii) Time deposits

118762

120254

122363

124156

126590

128937

129742

                   
 

(b)

Borrowings (other than from

--

--

--

--

--

--

--

   

RBI, IDBI, NABARD, EXIM Bank)

             
                   
 

(c)

Other demand and time liabilities

14415

15813

15591

15602

15763

17438

18372

                   

III.

Assets with the banking system

2961

6917

3924

4801

3891

3900

3639

 

of which

             
 

Money at call and short notice

1319

5044

2236

2792

1160

1244

1278

                   

IV.

Cash in hand

497

552

522

573

525

525

502

                   

V.

Investments in India

67059

66486

66543

66288

64856

63034

62969

                   
 

(a)

Government securities

57714

57147

57205

56931

55480

53682

53602

                   
 

(b)

Other approved securities

9345

9339

9338

9357

9376

9352

9367

                   

VI.

Bank credit

78247

80430

81045

82659

86695

89305

93088

                   
 

(a)

Loans, cash credit and overdrafts

71838

74541

74740

76192

80185

82067

85823

                   
 

(b)

Inland bills purchased

476

547

527

599

714

637

591

                   
 

(c)

Inland bills discounted

3748

3168

3523

3506

3356

4068

3933

                   
 

(d)

Foreign bills purchased

529

553

625

600

572

595

604

                   
 

(e)


Foreign bills discounted


1656


1621


1630


1762


1868


1938


2137



 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


Items

 

March

April

May

June

July

August

     

1997


1997


1997


1997


1997


1997


 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


Nationalised Banks

           
                 

No. of reporting banks

19

19

19

19

19

19

                 

I.

Liabilities to the banking system

6778

6829

8262

8442

8243

8711

                 
 

(a)

Demand and time deposits from banks

6258

6564

6593

6743

7257

7217

                 
 

(b)

Borrowings from banks

492

225

1507

1530

947

1462

                 
 

(c)

Other demand and time liabilities

28

40

162

169

39

32

                 

II.

Liabilities to others in India

286473

287110

289199

293098

293976

297912

                 
 

(a)

Aggregate deposits

273467

274567

276923

280268

280914

284131

                 
   

(i) Demand deposits

46346

43417

43633

44893

42996

42453

                 
   

(ii) Time deposits

227121

231150

233290

235375

237918

241678

                 
 

(b)

Borrowings (other than from RBI, IDBI,

70

--

201

300

311

38

   

NABARD, EXIM Bank)

           
                 
 

(c)

Other demand and time liabilities

12936

12543

12075

12529

12751

13743

                 

III.

Assets with the banking system

5610

5510

7360

5501

6151

5512

 

of which

           
 

Money at call and short notice

2824

2623

4787

2799

3477

2581

                 

IV.

Cash in hand

2096

2021

2218

2282

2245

2255

                 

V.

Investments in India

105261

110625

112090

116623

117061

119887

                 
 

(a)

Government securities

86530

91896

93373

98080

98589

101475

                 
 

(b)

Other approved securities

18731

18729

18717

18543

18472

18412

                 

VI.

Bank credit

134450

133070

132789

132586

133587

134744

                 
 

(a)

Loans, cash credit and overdrafts

121789

120861

120877

121152

122058

123079

                 
 

(b)

Inland bills purchased

2689

2676

2433

2390

2472

2473

                 
 

(c)

Inland bills discounted

2188

2060

2027

1914

1895

1834

                 
 

(d)

Foreign bills purchased

5039

4838

4760

3713

4579

4536

                 
 

(e)


Foreign bills discounted


2745


2635


2692


3417


2583


2822


--

:

Nill or negligible

Source

:

Form-A Return under Section 42(2) of RBI Act, 1934.

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