11D. Liquidity Aggregates (Outstanding Amounts) - આરબીઆઈ - Reserve Bank of India
11D. Liquidity Aggregates (Outstanding Amounts)
(` crore) |
||||||||||
Month/Year |
NM3 |
Postal Deposits |
L1 |
Liabilities of Financial Institutions |
Public Deposits with NBFCs |
L3 |
||||
Term Money Borrowings |
CDs |
Term Deposits |
Total |
L2 |
||||||
1 |
2 |
3=(1+2) |
4 |
5 |
6 |
7=(4+5+6) |
8=(3+7) |
9 |
10=(8+9) |
|
2008-09 |
|
|
|
|
|
|
|
|
|
|
Apr-08 |
40,60,194 |
1,14,497 |
41,74,691 |
2,656 |
31 |
245 |
2,932 |
41,77,623 |
|
|
May-08 |
41,10,950 |
1,15,131 |
42,26,081 |
2,656 |
31 |
245 |
2,932 |
42,29,013 |
|
|
June-08 |
41,28,575 |
1,15,471 |
42,44,046 |
2,656 |
31 |
245 |
2,932 |
42,46,978 |
24,647 |
42,71,625 |
July-08 |
41,65,104 |
1,15,714 |
42,80,818 |
2,656 |
31 |
245 |
2,932 |
42,83,750 |
|
|
Aug-08 |
42,47,373 |
1,15,507 |
43,62,880 |
2,656 |
31 |
245 |
2,932 |
43,65,812 |
|
|
Sept-08 |
43,02,978 |
1,15,451 |
44,18,429 |
2,656 |
31 |
245 |
2,932 |
44,21,361 |
24,647 |
44,46,008 |
Oct-08 |
43,78,543 |
1,15,441 |
44,93,984 |
2,656 |
31 |
245 |
2,932 |
44,96,916 |
|
|
Nov-08 |
44,14,019 |
1,15,157 |
45,29,176 |
2,656 |
31 |
245 |
2,932 |
45,32,108 |
|
|
Dec-08 |
44,63,076 |
1,14,988 |
45,78,064 |
2,656 |
31 |
245 |
2,932 |
45,80,996 |
24,647 |
46,05,643 |
Jan-09 |
45,87,579 |
1,13,965 |
47,01,544 |
2,656 |
31 |
245 |
2,932 |
47,04,476 |
|
|
Feb-09 |
46,70,399 |
1,13,471 |
47,83,870 |
2,656 |
31 |
245 |
2,932 |
47,86,802 |
|
|
Mar-09 |
48,00,185 |
1,14,076 |
49,14,261 |
2,656 |
31 |
245 |
2,932 |
49,17,193 |
24,647 |
49,41,840 |
2009-10 |
|
|
|
|
|
|
|
|
|
|
Apr-09 |
48,92,417 |
1,13,894 |
50,06,311 |
2,656 |
31 |
245 |
2,932 |
50,09,243 |
|
|
May-09 |
49,44,748 |
1,14,140 |
50,58,888 |
2,656 |
31 |
245 |
2,932 |
50,61,820 |
|
|
Jun-09 |
49,37,552 |
1,14,429 |
50,51,981 |
2,656 |
31 |
245 |
2,932 |
50,54,913 |
24,647 |
50,79,560 |
July-09 |
50,28,951 |
1,14,309 |
51,43,260 |
2,656 |
31 |
245 |
2,932 |
51,46,192 |
|
|
Aug-09 |
50,59,462 |
1,14,199 |
51,73,661 |
2,656 |
31 |
245 |
2,932 |
51,76,593 |
|
|
Sept-09 |
50,88,962 |
1,14,543 |
52,03,505 |
2,656 |
31 |
245 |
2,932 |
52,06,437 |
24,647 |
52,31,084 |
Oct-09 |
51,54,644 |
1,14,434 |
52,69,078 |
2,656 |
31 |
245 |
2,932 |
52,72,010 |
|
|
NOV-9 |
51,98,226 |
1,14,556 |
53,12,782 |
2,656 |
31 |
245 |
2,932 |
53,15,714 |
|
|
Dec-09 |
52,26,631 |
1,15,434 |
53,42,065 |
2,656 |
31 |
245 |
2,932 |
53,44,997 |
24,647 |
53,69,644 |
Jan-10 |
53,31,487 |
1,14,972 |
54,46,459 |
2,656 |
31 |
245 |
2,932 |
54,49,391 |
|
|
Feb-10 |
54,11,046 |
1,15,077 |
55,26,123 |
2,656 |
31 |
245 |
2,932 |
55,29,055 |
|
|
Mar-10 |
55,69,871 |
1,16,893 |
56,86,764 |
2,656 |
31 |
245 |
2,932 |
56,89,696 |
24,647 |
57,14,343 |
2010-11 |
|
|
|
|
|
|
|
|
|
|
Apr-10 |
56,30,921 |
1,17,511 |
57,48,432 |
2,656 |
31 |
245 |
2,932 |
57,51,364 |
|
|
May-10 |
56,71,558 |
1,18,114 |
57,89,672 |
2,656 |
31 |
245 |
2,932 |
57,92,604 |
|
|
June-10 |
56,85,773 |
1,18,813 |
58,04,586 |
2,656 |
31 |
245 |
2,932 |
58,07,518 |
24,647 |
58,32,165 |
July-10 |
58,22,761 |
1,19,482 |
59,42,243 |
2,656 |
31 |
245 |
2,932 |
59,45,175 |
|
|
Aug-10 |
58,30,148 |
1,20,177 |
59,50,325 |
2,656 |
31 |
245 |
2,932 |
59,53,257 |
|
|
Sept-10 |
58,63,640 |
1,20,407 |
59,84,047 |
2,656 |
31 |
245 |
2,932 |
59,86,979 |
24,647 |
60,11,626 |
Oct-10 |
60,40,349 |
1,20,579 |
61,60,928 |
2,656 |
31 |
245 |
2,932 |
61,63,860 |
|
|
Nov-10 |
60,44,220 |
1,20,921 |
61,65,141 |
2,656 |
31 |
245 |
2,932 |
61,68,073 |
|
|
Dec-10 |
61,81,157 |
1,21,006 |
63,02,163 |
2,656 |
31 |
245 |
2,932 |
63,05,095 |
24,647 |
63,29,742 |
Jan-11 |
62,14,783 |
1,19,905 |
63,34,688 |
2,656 |
31 |
245 |
2,932 |
63,37,620 |
|
|
Feb-11 |
63,26,890 |
1,18,876 |
64,45,766 |
2,656 |
31 |
245 |
2,932 |
64,48,698 |
|
|
Mar-11 |
64,61,300 |
1,18,876 |
65,80,176 |
2,656 |
31 |
245 |
2,932 |
65,83,108 |
24,647 |
66,07,755 |
CDs: Certificates of Deposit; L1, L2 and L3: Liquidity Aggregates; NBFCs: Non-Banking Financial Companies |