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25 Jan 2008

Reserve Bank of India - Liabilities and Assets
(Rs. crore) 2007 2008 Variation Item Jan. 19 Jan. 11 Jan. 18# Week Year 1 2 3 4 5 6 Notes Issued 4,80,215 5,54,329 5,57,350 3,021 77,136 Notes in Circulation 4,80,197 5,54,314 5,57,338 3,024 77,141 Notes held in Banking Department 18 15 12 –3 –5 Deposits Central Government 28,528 26,826 39,750 12,924 11,222 Market Stabilisation Scheme 40,491 1,55,830 1,61,058 5,228 1,20,567 State Governments 41 41 256 214 215 Scheduled Commercial Banks 1,38,795 2,44,283 2,52,090 7,807
Foreign Exchange Reserves
Variation over Item As on Jan. 18, 2008 Week End-March 2007 End-December 2007 Year Rs. Crore US$ Mn. Rs. Crore US$ Mn. Rs. Crore US$ Mn. Rs. Crore US$ Mn. Rs. Crore US$ Mn. 1 2 3 4 5 6 7 8 9 10 11 Total Reserves 11,18,909 284,898 11,900 3,169 2,50,687 85,719 33,889 9,582 3,29,163 106,770 (a) Foreign Currency Assets 10,84,377 276,134 11,903 3,170 * 2,47,780 84,210 33,892 9,581 3,25,863 105,066 (b) Gold 32,819 8,328 — — 3,246 1,544 — — 3,995 1,811 (c) SDRs 13 3 — — 5 1
Scheduled Commercial Banks - Business in India
(Rs. crore) Outstanding Variation over Item as on Financial year so far Year-on-year 2008 Jan. 4# Fortnight 2006-2007 2007-2008 2007 2008 1 2 3 4 5 6 7 Liabilities to the Banking System Demand and Time Deposits from Banks 36,634 –495 –4,028 –4,138 –691 3,584 Borrowings from Banks(1) 25,630 4,696 2,338 –9,769 1,234 –5,906 Other Demand and Time Liabilities (2) 22,371 4,309 369 10,085 2,254 13,112 Liabilities to Others Aggregate Deposits 29,88,207 46,232 2,78,398 3,79,89
Cash Reserve Ratio and Interest Rates
(per cent per annum) Item / Week Ended 2007 2008 Jan. 12 Dec. 7 Dec. 14 Dec. 21 Dec. 28 Jan. 4 Jan. 11 1 2 3 4 5 6 7 8 Cash Reserve Ratio (per cent)(1) 5.50 7.50 7.50 7.50 7.50 7.50 7.50 Bank Rate 6.00 6.00 6.00 6.00 6.00 6.00 6.00 I.D.B.I.(2) 10.25 10.25 10.25 10.25 10.25 10.25 10.25 Prime Lending Rate(3) 10.50-12.00 12.75-13.25 12.75-13.25 12.75-13.25 12.75-13.25 12.75-13.25 12.75-13.25 Deposit Rate(4) 7.00-8.00 8.00-9.00 8.00-9.00 8.00-9.00 8.25-9.00 8.25-9.00 8.25
Accommodation Provided by Scheduled Commercial Banks to Commercial Sector in the form of Bank Credit
(Rs. crore) 2007 - 2008 2006 - 2007 Item Outstanding as on Variation Outstanding as on Variation 2007 2008 (3) - (2) 2006 2007 (6) - (5) Mar. 30 Jan. 4 Mar. 31 Jan. 5 1 2 3 4 5 6 7 1. Bank Credit 19,28,913 21,46,518 2,17,605 15,07,077 17,66,162 2,59,085 (11.3) (17.2) A. Food Credit 46,521 41,283 –5,237 40,691 43,083 2,392 B. Non-Food Credit 18,82,392 21,05,235 2,22,842 14,66,386 17,23,079 2,56,693 (11.8) (17.5) 2. Investments 83,394 88,073 4,679 79,464 79,432 –32 A. C
Foreign Exchange Rates - Spot and Forward Premia
2008 Annual Appreciation (+) / Depreciation (-) (per cent) Foreign Currency Jan. 14 Jan. 15 Jan. 16 Jan. 17 Jan. 18 Jan. 14 Jan. 15 Jan. 16 Jan. 17 Jan. 18 1 2 3 4 5 6 7 8 9 10 11 RBI's Reference Rate (Rs. per Foreign Currency) U.S. Dollar 39.2900 39.2700 39.2700 39.2900 39.2700 — 12.83 12.86 12.67 12.68 Euro 58.3900 58.4000 58.2900 57.6000 57.5100 — –1.90 –1.56 –0.57 –0.26 FEDAI Indicative Rates (Rs. per Foreign Currency) U.S. { Buying 39.2800 39.2650 39.2600 39.2800
Money Stock : Components and Sources
(Rs. crore) Outstanding as on Variation over Financial year so far Year-on-year Item 2007 2008 Fortnight 2006-2007 2007-2008 2007 2008 Mar. 31# Jan. 4# Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 13 M3 33,10,278 37,50,334 47,540 1.3 3,33,864 12.2 4,40,056 13.3 5,26,566 20.8 6,86,925 22.4 Components (i+ii+iii+iv) (i) Currency with the Public 4,83,471 5,35,191 983 0.2 51,828 12.5 51,721 10.7 66,845 16.8 70,245 15.1 (ii) Demand Deposits with B
Reserve Money : Components and Sources
(Rs. crore) Outstanding as on Variation over Item 2007 2008 Week Financial year so far Year-on-year 2006-2007 2007-2008 2007 2008 Mar. 31 Jan. 18# Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 13 Reserve Money 7,09,016 8,38,050 11,120 1.3 68,764 12.0 1,29,034 18.2 1,06,877 20.0 1,96,231 30.6 Components (i+ii+iii) (i) Currency in Circulation 5,04,225 5,66,189 3,024 0.5 57,726 13.4 61,964 12.3 71,166 17.1 77,788 15.9 (ii) Bankers' Deposits with
Repo/Reverse Repo Auctions under Liquidity Adjustment Facility
(Rs. crore) REPO (INJECTION) REVERSE REPO (ABSORPTION) Net Injection(+)/ LAF Repo period Bids Received Bids Accepted Cut- Off Bids Received Bids Accepted Cut- Off Absorption (-) of Out standing Date (Day(s)) Number Amount Number Amount Rate(%) Number Amount Number Amount Rate(%) Liquidity (6-11) Amount @ 1 2 3 4 5 6 7 8 9 10 11 12 13 14 Jan. 14, 2008 1 — — — — — 15 10,615 15 10,615 6.00 –10,615 10,615 Jan. 15, 2008 1 — — — — — 20 24,595 20 24,595 6.00 –24,595 24,595 J
Auctions of Government of India Treasury Bills
(Rs. crore) Date of Date of Notified Bids Received Bids Accepted Devol- Total Weigh- Implicit Amount Auction Issue Amount Total Face Value Total Face Value vement Issue ted Yield at Out standing Number Com- petitive Non- Com- petitive Number Com- petitive Non- Com- petitive on RBI (8+9+ 10) Average Price Cut-off Price (per cent) as on the Date of Issue (Face Value) 1 2 3 4 5 6 7 8 9 10 11 12 13 14 91-Day Treasury Bills 2007-2008 Jul. 4 Jul. 6 500 106 6,246 7,100 22 50
Cumulative Cash Balances of Scheduled Commercial Banks with Reserve Bank of India
(Rs. crore) Fortnight Ended Date 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 Jan. 4, Dec. 22 Dec. 23 Dec. 24 Dec. 25 Dec. 26 Dec. 27 Dec. 28 Dec. 29 Dec. 30 Dec. 31 Jan. 1 Jan. 2 Jan. 3 Jan. 4 2008 2,30,928 4,61,857 6,90,641 9,19,425 11,80,161 14,41,600 16,98,856 19,62,268 22,25,681 24,59,776 26,96,817 29,39,375 31,50,222 33,77,155 Jan. 18, Jan. 5 Jan. 6 Jan. 7 Jan. 8 Jan. 9 Jan. 10 Jan. 11 Jan. 12 Jan. 13 Jan. 14 Jan. 15 Jan. 16 Jan. 17 Jan. 18 2008 2,29,697 4,59,395 7,07,77
Index Numbers of Wholesale Prices
2007 2008 Percentage Variation over Items / Week Ended Weight Jan. 6 Nov. 10* Jan. 5# Week Month End March Year 1 2 3 4 5 6 7 8 9 ALL COMMODITIES 100.00 208.7 215.8 216.6 0.3 0.3 2.9 3.8 Primary Articles 22.02 213.4 223.9 222.2 — –0.4 2.9 4.1 (i) Fruits and Vegetables 2.92 228.8 236.7 220.6 –0.9 –3.8 –0.5 –3.6 Fuel, Power, Light and Lubricants 14.23 322.3 326.5 334.1 1.2 1.7 4.4 3.7 Manufactured Products 63.75 181.7 188.3 188.5 0.1 0.1 2.4 3.7 (i) Sugar, Khandsari and
Average Daily Turnover in Call Money Market
(Rs. crore) Week Ended Dec. 7, 2007 Dec. 14, 2007 Dec. 21, 2007 Dec. 28, 2007 Jan. 4, 2008 Jan. 11, 2008 Jan. 18, 2008 1 2 3 4 5 6 7 8 1. Banks (a) Borrowings 5,960 7,626 6,847 7,346 9,842 10,701 8,447 (b) Lendings 7,250 8,752 8,376 8,254 11,475 12,197 9,900 2. Primary Dealers (a) Borrowings 1,296 1,157 1,557 954 1,784 1,606 1,490 (b) Lendings 6 32 28 46 151 111 37 3. Total (a) Borrowings 7,256 8,783 8,404 8,301 11,626 12,308 9,937 (b) Lendings 7,256 8,783 8,404 8,301
Turnover in Government Securities Market (Face Value)
(Rs. crore) Week Ended Items Dec. 14, 2007 Dec. 21, 2007 Dec. 28, 2007 Jan. 4, 2008 Jan. 11, 2008 Jan. 18, 2008 1 2 3 4 5 6 7 I. Outright Transactions (a) Govt. of India Dated Securities 64,026 43,163 36,831 1,32,415 1,54,725 1,37,413 (b) State Government Securities 411 389 613 2,012 1,492 347 (c) 91 – Day Treasury Bills 2,083 1,484 766 1,440 1,326 1,490 (d) 182 – Day Treasury Bills 636 771 816 1,328 1,671 1,653 (e) 364 – Day Treasury Bills 3,486 1,639 4,565 9,664 7,0
Turnover in Foreign Exchange Market
(US $ Million) Merchant Inter-bank FCY / INR FCY / FCY FCY / INR FCY / FCY Position Date Spot Forward Forward Cancel- lation Spot Forward Forward Cancel- lation Spot Swap Forward Spot Swap Forward 1 2 3 4 5 6 7 8 9 10 11 12 13 Purchases Dec. 31, 2007 2,594 1,223 728 233 1,051 1,204 3,840 4,247 483 1,806 2,321 1,118 Jan. 1, 2008 803 143 34 149 21 33 875 2,093 103 321 296 2 Jan. 2, 2008 2,078 843 179 568 1,287 884 3,157 4,472 111 3,937 1,803 755 Jan. 3, 2008 2,566 1,003
Government of India : Treasury Bills Outstanding (Face Value)
(Rs. crore) January 18, 2008 Variation in Total Treasury Bills Holders Treasury Bills of Different Maturities 14 Day 91 Day 182 Day 364 Day Total Over the Over End (Intermediate) (Auction) (Auction) (Auction) (2+3+4+5) Week March 1 2 3 4 5 6 7 8 Reserve Bank of India — — — — — — — Banks — 11,516 9,627 31,145 52,287 –1,135 165 State Governments 40,625 20,378 4,380 4,381 69,764 –4,972 –3,639 Others 601 7,504 8,873 24,070 41,049 2,569 10,774
Government of India : Long and Medium Term Borrowings
(Face Value in Rs. crore) Gross Amount Raised Net Amount Raised 2007-2008 2006-2007 2006-2007 2007-2008 2006-2007 2006-2007 (Upto (Upto (Upto (Upto Jan. 18, 2008) Jan. 19, 2007) Jan. 18, 2008) Jan. 19, 2007) 1 2 3 4 5 6 7 1. Total 1,47,000 1,25,000 1,46,000 1,02,868 87,986 1,06,921 of which : 1.1 Devolvement/Private Placement on RBI — — — 2. RBI's OMO Sales 6,277 4,371 5,845 Purchases 8,070 715 720 * : Includes Rs.6,000 crore under Market Stabilisation Scheme.
Secondary Market Transactions in Government Securities (Face Value)
(Amount in Rs. crore) For the Week Ended Jan. 11, 2008 For the Week Ended Jan. 18, 2008 Item Amount YTM (%PA) Indicative** Amount YTM (%PA) Indicative** Minimum Maximum Minimum Maximum 1 2 3 4 5 6 7 I. Outright Transactions 1. Govt. of India Dated Securities Maturing in the year 2007-08 — — — — — — 2008-09 202 7.3644 8.0000 96 6.9860 8.0500 2009-10 12,375 7.3794 7.5774 7,217 7.3842 7.5463 2010-11 840 7.4719 7.5821 1,404 7.4239 7.5456 2011-12 569 7.5044 7.6066 85 7.518

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