(Amount in ₹ crore)
|
|
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SCHEDULED COMMERCIAL BANKS
(Including RRBs,SFBs and PBs)
|
ALL SCHEDULED BANKS
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|
10-Mar-23
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23-FEB-2024 *
|
08-MAR-2024 *
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10-Mar-23
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23-FEB-2024 *
|
08-MAR-2024 *
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I
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LIABILITIES TO THE BKG.SYSTEM (A)
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a) Demand & Time deposits from banks
|
218699.94
|
266228.42
|
293601.62
|
220990.08
|
269753.71
|
297404.13 **
|
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b) Borrowings from banks
|
81541.3
|
178118.67
|
182369.52
|
81963.31
|
178124.17
|
183015.74
|
|
c) Other demand & time liabilities
|
59183.75
|
71817.98
|
71907.6
|
59827.09
|
72457.75
|
72556.82
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II
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LIABILITIES TO OTHERS (A)
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|
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a) Deposits (other than from banks)
|
17958323.65
|
20204829.53
(20092042.42)
|
20420082.65
(20309588.34)
|
18386070.27
|
20648807.66
(20536020.55)
|
20869895.49
(20759401.18)
|
|
i) Demand
|
2119152.35
|
2368307.51
|
2374548.92
|
2163402.56
|
2415866.79
|
2424655.91
|
|
ii) Time
|
15839171.29
|
17836522.09
|
18045533.71
|
16222667.71
|
18232940.94
|
18445239.56
|
|
b) Borrowings @
|
451339.98
|
779018.5
|
762287.79
|
456262.55
|
783905.23
|
766840.05
|
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c) Other demand & time liabilities
|
809848.27
|
921387.19
|
949619.1
|
822967.27
|
933667.67
|
963477.9
|
III
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BORROWINGS FROM R.B.I. (B)
|
177195.7
|
256374
|
89417
|
177195.7
|
256409
|
89452.11
|
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Against usance bills and / or prom. Notes
|
|
|
|
|
|
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IV
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CASH
|
103646.01
|
83045.32
|
98206.48
|
106181.85
|
85532.83
|
100462.59
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V
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BALANCES WITH R.B.I. (B)
|
810702.52
|
909399.76
|
901857.14
|
828959.53
|
929232.46
|
921352.68
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VI
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ASSETS WITH BANKING SYSTEM
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a) Balances with other banks
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|
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i) In current accounts
|
21564.09
|
8458.41
|
10501.69
|
24773.46
|
10886.58
|
13027.65
|
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ii) In other accounts
|
171372.94
|
183484.16
|
188067.75
|
206604.23
|
227155.92
|
232433.98
|
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b) Money at call & short notice
|
16362.44
|
13833.89
|
13970.29
|
37617.52
|
33352.89
|
35353.85
|
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c) Advances to banks (i.e. due from bks.)
|
39636.24
|
46053.73
|
47036.8
|
44138.2
|
49373.13
|
50170.98 £
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d) Other assets
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66728.85
|
105284.24
|
106717.57
|
70418.55
|
107609.46
|
108985.78
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VII
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INVESTMENTS ( At book value )
|
5386503.79
|
6048666.04
(5956992.89)
|
6104251.26
(6012536.14)
|
5534760.99
|
6196516
(6104842.85)
|
6253441.9
(6161726.78)
|
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a) Central & State Govt. securities+
|
5385656.83
|
6047840.56
|
6103450.16
|
5527916.81
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6189775.63
|
6246349.81
|
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b) Other approved securities
|
846.95
|
825.49
|
801.1
|
6844.18
|
6740.38
|
7092.09
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VIII
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BANK CREDIT (Excluding Inter-Bank Advances)
|
13548592.8
|
16214134.82
(15677729.82)
|
16313734.98
(15781803.97)
|
13950147.35
|
16645367.62
(16108962.62)
|
16747977.07
(16216046.06)
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a) Loans, cash credits & Overdrafts $
|
13306906.17
|
15936696.1
|
16028978.59
|
13705348.74
|
16364971
|
16460278.25
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b) Inland Bills purchased
|
38318.05
|
52911.83
|
54933.29
|
38330.24
|
52921.84
|
54940
|
|
c) Inland Bills discounted
|
157774.72
|
186108.44
|
190672.51
|
160227.44
|
188407.07
|
192972.07
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d) Foreign Bills purchased
|
17846.5
|
16404.87
|
16413.32
|
18020.48
|
16656.56
|
16651.31
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e) Foreign Bills discounted
|
27747.36
|
22013.56
|
22737.21
|
28220.44
|
22411.14
|
23135.38
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