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Table 2.2 : Bank group-wise business of Scheduled Banks in India - 2012-13

(Amount in ` Billion)

Items

As on the last reporting Friday of

Mar 2012

Apr 2012

May 2012

Jun 2012

Jul 2012

Aug 2012

Sep 2012

 

(1)

(2)

(3)

(4)

(5)

(6)

(7)

SBI and its Associates

             

No. of Reporting Banks

6

6

6

6

6

6

6

I Liabilities to the banking System

150.53

204.51

151.11

156.71

134.39

175.86

137.36

(a) Demand and time deposits from banks

95.52

108.00

97.37

98.98

85.52

90.81

81.40

(b) Borrowing from banks

18.65

55.76

13.15

17.50

7.00

30.50

2.25

(c) Other demand and time liabilities

36.36

40.75

40.59

40.23

41.88

54.54

53.70

II Liabilities to others in India

14099.92

14469.63

14566.39

14897.91

14936.72

15116.77

15199.90

(a) Aggregate deposits

13136.95

13535.26

13604.21

13902.73

14049.59

14181.07

14256.01

(i) Demand deposits

1020.40

1075.44

1005.58

1062.55

987.95

1017.78

974.12

(ii) Time Deposits

12116.55

12459.82

12598.64

12840.18

13061.65

13163.29

13281.90

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

28.15

34.35

39.10

37.39

37.68

36.53

34.10

(c) Other demand and time liabilities

934.82

900.02

923.08

957.79

849.45

899.17

909.78

III Assets with the banking system

193.86

269.64

312.29

365.44

324.82

386.49

361.22

Money at call and short notice

21.69

61.95

54.65

66.47

27.11

82.92

42.21

IV Cash in Hand

101.50

109.69

113.44

112.76

114.32

127.58

116.83

V Investment in India

3445.90

3804.56

3823.26

3762.21

4017.69

4022.48

4067.19

(a) Government securities

3445.69

3804.35

3823.05

3762.01

4017.52

4022.31

4067.02

(b) Other approved securities

0.22

0.21

0.21

0.21

0.17

0.17

0.17

VI Bank Credit

10214.79

10270.16

10332.73

10614.83

10492.72

10543.34

10685.61

(a) Loans Cash Credit and Overdrafts

9640.61

9692.08

9763.02

10047.48

9915.83

9963.18

10122.39

(b) Inland Bills Purchased

29.71

29.83

31.74

27.67

25.26

26.19

26.71

(c) Inland Bills Discounted

435.25

448.79

445.38

447.92

461.77

461.92

448.00

(d) Foreign bills purchased

12.01

12.81

11.87

13.51

12.77

12.97

11.64

(e) Foreign bills discounted

97.21

86.65

80.71

78.25

77.09

79.09

76.87

Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Oct 2012

Nov 2012

Dec 2012

Jan 2013

Feb 2013

Mar 2013

 

(8)

(9)

(10)

(11)

(12)

(13)

SBI and its Associates

           

No. of Reporting Banks

6

6

6

6

6

6

I Liabilities to the banking System

132.93

163.40

161.55

140.48

172.60

153.45

(a) Demand and time deposits from banks

82.28

87.52

88.66

84.75

93.44

98.36

(b) Borrowing from banks

10.75

18.00

28.75

9.50

22.30

6.50

(c) Other demand and time liabilities

39.90

57.88

44.14

46.24

56.86

48.59

II Liabilities to others in India

15351.27

15610.28

15549.62

15622.06

15841.04

16219.47

(a) Aggregate deposits

14404.62

14624.35

14570.43

14696.48

14920.46

15248.30

(i) Demand deposits

996.10

1026.91

1033.90

963.47

1055.91

1144.66

(ii) Time Deposits

13408.52

13597.44

13536.54

13733.01

13864.55

14103.63

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

34.00

31.06

30.57

31.29

31.65

30.49

(c) Other demand and time liabilities

912.66

954.87

948.61

894.30

888.93

940.69

III Assets with the banking system

400.61

357.79

377.71

321.52

393.85

401.79

Money at call and short notice

43.05

52.51

66.52

15.96

65.67

37.82

IV Cash in Hand

118.28

131.18

124.61

137.61

135.71

125.47

V Investment in India

4048.71

3978.06

3846.98

3828.46

3763.09

3855.59

(a) Government securities

4048.53

3977.89

3846.81

3828.29

3762.93

3855.43

(b) Other approved securities

0.17

0.17

0.17

0.17

0.16

0.16

VI Bank Credit

10778.72

11280.32

11392.54

11509.16

11721.67

12016.45

(a) Loans Cash Credit and Overdrafts

10213.78

10685.74

10789.67

10877.49

11074.79

11341.56

(b) Inland Bills Purchased

27.64

28.74

25.99

24.78

22.64

19.39

(c) Inland Bills Discounted

451.36

462.87

474.81

500.43

516.56

540.48

(d) Foreign bills purchased

11.57

15.78

15.24

15.35

17.14

18.62

(e) Foreign bills discounted

74.37

87.19

86.82

91.09

90.54

96.39

Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Mar 2012

Apr 2012

May 2012

Jun 2012

Jul 2012

Aug 2012

Sep 2012

 

(1)

(2)

(3)

(4)

(5)

(6)

(7)

Nationalised Banks $

             

No. of Reporting Banks

20

20

20

20

20

20

20

I Liabilities to the banking System

648.64

589.85

601.67

616.70

579.85

613.57

618.80

(a) Demand and time deposits from banks

559.56

525.87

514.39

536.41

498.57

500.02

530.91

(b) Borrowing from banks

73.27

49.42

72.91

63.09

64.61

96.98

71.35

(c) Other demand and time liabilities

15.81

14.56

14.37

17.20

16.67

16.58

16.54

II Liabilities to others in India

33305.31

33980.49

34090.15

34873.08

34681.79

34944.50

34809.36

(a) Aggregate deposits

31015.28

31797.54

31800.04

32536.58

32441.90

32624.62

32500.86

(i) Demand deposits

2347.15

2280.82

2229.68

2547.19

2294.37

2319.95

2314.52

(ii) Time Deposits

28668.14

29516.72

29570.36

29989.39

30147.52

30304.68

30186.35

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

730.45

695.34

690.07

703.40

679.61

687.52

680.52

(c) Other demand and time liabilities

1559.58

1487.62

1600.03

1633.11

1560.28

1632.35

1627.98

III Assets with the banking system

503.87

623.41

557.19

546.76

518.35

525.15

465.31

Money at call and short notice

113.80

199.62

121.02

68.15

105.69

114.14

87.16

IV Cash in Hand

122.78

127.04

132.41

144.64

139.62

180.27

147.36

V Investment in India

8776.12

9132.90

9222.91

9494.35

9650.73

9951.50

9817.76

(a) Government securities

8764.65

9121.52

9211.54

9483.27

9639.96

9940.66

9806.92

(b) Other approved securities

11.47

11.37

11.37

11.08

10.76

10.84

10.84

VI Bank Credit

23728.93

23727.71

23807.36

24403.67

23865.10

23906.39

24003.70

(a) Loans Cash Credit and Overdrafts

23098.07

23114.84

23198.76

23756.59

23251.63

23295.30

23398.28

(b) Inland Bills Purchased

93.95

99.86

97.92

106.32

109.10

125.40

136.46

(c) Inland Bills Discounted

242.89

215.64

213.64

230.41

201.91

190.10

176.86

(d) Foreign bills purchased

114.03

115.80

116.58

123.49

117.03

113.53

110.55

(e) Foreign bills discounted

180.00

181.57

180.46

186.85

185.44

182.07

181.55

Notes : $ Includes IDBI Bank Ltd.
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Oct 2012

Nov 2012

Dec 2012

Jan 2013

Feb 2013

Mar 2013

 

(8)

(9)

(10)

(11)

(12)

(13)

Nationalised Banks $

           

No. of Reporting Banks

20

20

20

20

20

20

I Liabilities to the banking System

588.31

652.50

670.02

674.82

690.02

705.15

(a) Demand and time deposits from banks

511.69

549.81

553.39

552.85

549.14

596.64

(b) Borrowing from banks

61.85

87.78

101.75

97.59

116.70

84.26

(c) Other demand and time liabilities

14.78

14.90

14.88

24.37

24.18

24.24

II Liabilities to others in India

35152.89

35304.04

35666.44

36133.53

36175.49

37406.87

(a) Aggregate deposits

33071.56

32971.54

33335.97

33820.13

33851.62

35014.32

(i) Demand deposits

2229.18

2418.96

2414.95

2358.12

2403.08

2534.88

(ii) Time Deposits

30842.38

30552.58

30921.03

31462.00

31448.55

32479.44

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

647.70

693.40

655.34

649.96

647.88

654.61

(c) Other demand and time liabilities

1433.62

1639.10

1675.12

1663.44

1675.99

1737.94

III Assets with the banking system

483.72

456.12

570.63

528.79

562.40

695.65

Money at call and short notice

126.95

109.40

146.22

141.36

154.42

185.44

IV Cash in Hand

134.52

160.78

150.63

137.85

169.24

140.92

V Investment in India

10065.50

10125.37

9861.84

10120.19

9961.82

10287.49

(a) Government securities

10054.66

10114.96

9851.43

10110.11

9952.28

10277.99

(b) Other approved securities

10.84

10.41

10.41

10.08

9.53

9.50

VI Bank Credit

24145.07

24706.33

25095.16

25230.66

25552.04

26346.54

(a) Loans Cash Credit and Overdrafts

23534.01

24080.43

24446.14

24584.72

24888.74

25622.79

(b) Inland Bills Purchased

153.47

166.76

165.76

165.66

172.09

187.02

(c) Inland Bills Discounted

169.31

165.35

169.34

156.83

159.26

205.95

(d) Foreign bills purchased

106.60

108.10

116.54

123.77

127.03

124.16

(e) Foreign bills discounted

181.69

185.70

197.38

199.68

204.92

206.62

Notes : $ Includes IDBI Bank Ltd.
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Mar 2012

Apr 2012

May 2012

Jun 2012

Jul 2012

Aug 2012

Sep 2012

 

(1)

(2)

(3)

(4)

(5)

(6)

(7)

Old Private Sector Banks

             

No. of Reporting Banks

13

13

13

13

13

13

13

I Liabilities to the banking System

30.33

29.59

28.15

27.73

22.78

24.81

36.79

(a) Demand and time deposits from banks

24.65

23.38

22.61

22.04

19.13

19.11

21.24

(b) Borrowing from banks

3.16

3.78

2.81

2.79

1.30

2.79

13.18

(c) Other demand and time liabilities

2.53

2.43

2.73

2.90

2.36

2.91

2.37

II Liabilities to others in India

3049.90

3118.53

3131.61

3216.18

3248.41

3287.70

3241.57

(a) Aggregate deposits

2868.49

2956.40

2973.27

3044.37

3084.49

3090.02

3071.24

(i) Demand deposits

247.27

242.50

240.38

256.15

248.73

263.08

251.94

(ii) Time Deposits

2621.23

2713.90

2732.89

2788.22

2835.76

2826.94

2819.30

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

86.68

73.44

77.64

81.22

70.78

78.83

73.95

(c) Other demand and time liabilities

94.72

88.68

80.70

90.59

93.14

118.86

96.39

III Assets with the banking system

32.19

27.29

20.89

33.74

27.05

28.41

22.58

Money at call and short notice

9.80

11.65

2.45

3.35

6.65

6.55

8.65

IV Cash in Hand

23.27

26.34

27.77

27.53

27.42

34.31

29.69

V Investment in India

779.23

811.10

831.46

832.28

861.72

868.97

845.81

(a) Government securities

779.05

810.92

831.28

832.10

861.59

868.84

845.68

(b) Other approved securities

0.18

0.18

0.18

0.18

0.13

0.13

0.13

VI Bank Credit

2228.73

2254.14

2270.69

2317.26

2297.77

2295.29

2325.64

(a) Loans Cash Credit and Overdrafts

2125.59

2153.84

2174.89

2223.06

2209.51

2211.78

2242.69

(b) Inland Bills Purchased

25.64

25.57

23.92

25.18

21.08

19.38

18.13

(c) Inland Bills Discounted

51.87

49.26

44.58

42.66

40.60

37.24

39.03

(d) Foreign bills purchased

12.98

12.08

12.20

12.73

12.26

13.00

12.74

(e) Foreign bills discounted

12.66

13.39

15.10

13.63

14.32

13.89

13.05

Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Oct 2012

Nov 2012

Dec 2012

Jan 2013

Feb 2013

Mar 2013

 

(8)

(9)

(10)

(11)

(12)

(13)

Old Private Sector Banks

           

No. of Reporting Banks

13

13

13

13

13

13

I Liabilities to the banking System

28.28

29.89

36.89

28.39

24.04

27.82

(a) Demand and time deposits from banks

19.40

19.87

20.74

19.08

18.11

18.28

(b) Borrowing from banks

6.54

7.63

14.31

7.39

4.14

7.64

(c) Other demand and time liabilities

2.35

2.39

1.84

1.92

1.80

1.90

II Liabilities to others in India

3289.12

3376.82

3399.59

3428.34

3520.83

3643.08

(a) Aggregate deposits

3117.46

3186.60

3210.38

3244.08

3327.30

3425.85

(i) Demand deposits

252.21

258.02

255.27

251.69

261.37

258.98

(ii) Time Deposits

2865.26

2928.58

2955.11

2992.39

3065.92

3166.88

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

75.81

81.44

82.68

81.15

83.90

105.71

(c) Other demand and time liabilities

95.84

108.78

106.54

103.11

109.63

111.52

III Assets with the banking system

20.73

23.95

45.71

32.16

41.36

55.92

Money at call and short notice

3.60

4.80

9.05

4.75

15.00

12.85

IV Cash in Hand

28.33

34.92

34.69

29.96

33.79

28.62

V Investment in India

853.08

874.30

858.64

883.78

910.66

934.93

(a) Government securities

852.95

874.17

858.51

883.65

910.53

934.80

(b) Other approved securities

0.13

0.13

0.13

0.13

0.13

0.13

VI Bank Credit

2366.39

2443.22

2469.91

2501.85

2538.02

2633.68

(a) Loans Cash Credit and Overdrafts

2278.26

2359.25

2381.11

2410.83

2443.41

2534.73

(b) Inland Bills Purchased

19.71

17.39

20.72

19.96

20.24

21.47

(c) Inland Bills Discounted

44.19

42.55

42.12

43.62

45.91

45.98

(d) Foreign bills purchased

11.85

12.62

13.20

13.09

12.99

14.01

(e) Foreign bills discounted

12.38

11.41

12.77

14.35

15.46

17.48

Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Mar 2012

Apr 2012

May 2012

Jun 2012

Jul 2012

Aug 2012

Sep 2012

 

(1)

(2)

(3)

(4)

(5)

(6)

(7)

New Private Sector Banks

             

No. of Reporting Banks

7

7

7

7

7

7

7

I Liabilities to the banking System

227.00

291.33

224.54

209.69

186.08

209.97

179.35

(a) Demand and time deposits from banks

120.08

111.48

106.88

104.37

106.51

101.90

93.75

(b) Borrowing from banks

103.68

177.28

114.67

101.69

76.78

105.10

82.23

(c) Other demand and time liabilities

3.23

2.57

2.99

3.63

2.79

2.97

3.37

II Liabilities to others in India

9256.18

9152.74

9304.93

9786.27

9808.38

10003.97

10002.46

(a) Aggregate deposits

7674.35

7666.13

7813.77

8276.18

8309.18

8424.04

8452.89

(i) Demand deposits

1441.99

1232.59

1201.76

1478.81

1276.17

1306.24

1336.26

(ii) Time Deposits

6232.36

6433.54

6612.00

6797.37

7033.01

7117.80

7116.63

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

879.60

897.13

879.93

850.25

859.33

880.46

872.42

(c) Other demand and time liabilities

702.24

589.48

611.23

659.84

639.87

699.46

677.15

III Assets with the banking system

179.15

140.48

116.94

140.02

138.16

142.54

150.54

Money at call and short notice

28.03

9.17

1.51

16.78

16.76

5.54

7.05

IV Cash in Hand

89.63

87.66

88.67

98.97

74.51

101.09

88.18

V Investment in India

2600.46

2660.01

2587.46

2630.78

2666.36

2730.46

2718.20

(a) Government securities

2600.46

2660.00

2587.45

2630.77

2666.35

2730.45

2718.19

(b) Other approved securities

0.01

0.01

0.01

0.01

0.01

0.01

0.01

VI Bank Credit

6513.62

6451.02

6553.38

6683.23

6765.89

6908.65

7067.62

(a) Loans Cash Credit and Overdrafts

6295.73

6258.88

6378.57

6497.20

6565.77

6677.86

6824.25

(b) Inland Bills Purchased

4.42

3.96

3.71

3.49

2.91

3.59

2.63

(c) Inland Bills Discounted

177.14

150.16

132.67

140.11

156.87

188.63

201.03

(d) Foreign bills purchased

10.27

10.48

10.91

12.74

13.50

13.98

15.12

(e) Foreign bills discounted

26.05

27.54

27.53

29.70

26.84

24.59

24.58

Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Oct 2012

Nov 2012

Dec 2012

Jan 2013

Feb 2013

Mar 2013

 

(8)

(9)

(10)

(11)

(12)

(13)

New Private Sector Banks

           

No. of Reporting Banks

7

7

7

7

7

7

I Liabilities to the banking System

232.22

200.27

191.73

200.44

270.37

220.77

(a) Demand and time deposits from banks

93.21

80.37

80.19

70.10

73.83

70.94

(b) Borrowing from banks

136.65

117.21

107.50

127.16

193.59

146.48

(c) Other demand and time liabilities

2.37

2.68

4.03

3.19

2.94

3.35

II Liabilities to others in India

10168.76

10483.09

10604.55

10604.07

10643.42

10945.07

(a) Aggregate deposits

8665.34

8912.14

8912.59

8815.09

8773.26

9051.63

(i) Demand deposits

1305.53

1388.34

1492.64

1395.90

1426.69

1524.88

(ii) Time Deposits

7359.81

7523.80

7419.96

7419.19

7346.56

7526.75

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

848.59

859.64

920.47

989.27

1015.94

1042.21

(c) Other demand and time liabilities

654.84

711.30

771.49

799.70

854.22

851.23

III Assets with the banking system

156.38

156.14

187.45

142.41

147.16

186.66

Money at call and short notice

3.58

17.40

0.64

7.44

18.23

3.06

IV Cash in Hand

83.52

112.84

105.82

110.31

100.89

86.15

V Investment in India

2737.76

2784.11

2894.12

2868.98

3025.78

3125.65

(a) Government securities

2737.76

2784.11

2894.11

2868.97

3025.78

3125.65

(b) Other approved securities

0.01

0.01

0.01

0.01

0.01

0.01

VI Bank Credit

7190.03

7402.33

7429.29

7421.36

7549.94

7675.39

(a) Loans Cash Credit and Overdrafts

6978.90

7193.11

7194.73

7205.40

7316.97

7451.24

(b) Inland Bills Purchased

2.86

3.91

6.97

6.54

8.03

8.26

(c) Inland Bills Discounted

166.69

161.77

180.56

162.15

178.43

170.41

(d) Foreign bills purchased

16.25

17.63

15.47

17.46

16.03

14.95

(e) Foreign bills discounted

25.32

25.91

31.55

29.81

30.48

30.53

Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Mar 2012

Apr 2012

May 2012

Jun 2012

Jul 2012

Aug 2012

Sep 2012

 

(1)

(2)

(3)

(4)

(5)

(6)

(7)

Foreign Banks

             

No. of Reporting Banks

41

41

41

41

41

41

41

I Liabilities to the banking System

131.82

168.71

140.18

146.86

151.90

115.34

113.94

(a) Demand and time deposits from banks

35.22

34.53

33.30

34.63

39.33

38.86

39.43

(b) Borrowing from banks

93.13

129.43

101.49

107.17

107.52

71.43

71.41

(c) Other demand and time liabilities

3.48

4.75

5.38

5.05

5.04

5.05

3.11

II Liabilities to others in India

3390.46

3247.20

3329.77

3534.43

3495.50

3481.79

3517.06

(a) Aggregate deposits

2661.82

2638.21

2660.58

2769.46

2764.62

2792.52

2779.05

(i) Demand deposits

851.71

813.90

789.41

812.95

770.68

793.74

744.87

(ii) Time Deposits

1810.11

1824.31

1871.18

1956.50

1993.94

1998.77

2034.18

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

338.06

261.68

298.74

361.99

339.85

310.16

349.16

(c) Other demand and time liabilities

390.58

347.31

370.44

402.98

391.03

379.11

388.86

III Assets with the banking system

401.21

380.55

345.21

354.01

324.98

287.14

275.24

Money at call and short notice

12.09

12.31

17.71

8.87

3.72

10.39

15.99

IV Cash in Hand

5.91

6.96

8.15

7.91

7.71

9.65

10.17

V Investment in India

1288.56

1287.98

1294.77

1430.53

1491.05

1500.22

1533.82

(a) Government securities

1288.54

1287.86

1294.75

1430.46

1490.93

1500.20

1533.80

(b) Other approved securities

0.02

0.12

0.02

0.07

0.12

0.02

0.02

VI Bank Credit

2321.16

2342.05

2387.32

2442.10

2436.23

2374.02

2357.31

(a) Loans Cash Credit and Overdrafts

2088.96

2085.21

2143.79

2188.56

2207.37

2135.87

2134.71

(b) Inland Bills Purchased

9.40

9.90

9.82

11.13

10.13

11.41

9.19

(c) Inland Bills Discounted

72.46

99.76

103.57

112.43

111.26

103.53

99.58

(d) Foreign bills purchased

62.40

69.65

48.47

48.08

32.76

40.07

35.67

(e) Foreign bills discounted

87.93

77.53

81.67

81.90

74.71

83.14

78.17

Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Oct 2012

Nov 2012

Dec 2012

Jan 2013

Feb 2013

Mar 2013

 

(8)

(9)

(10)

(11)

(12)

(13)

Foreign Banks

           

No. of Reporting Banks

41

41

41

41

41

41

I Liabilities to the banking System

124.73

105.05

127.43

122.82

115.00

178.04

(a) Demand and time deposits from banks

41.02

39.34

43.71

47.97

45.57

45.46

(b) Borrowing from banks

78.59

59.86

76.32

67.29

63.36

126.37

(c) Other demand and time liabilities

5.12

5.85

7.40

7.56

6.07

6.21

II Liabilities to others in India

3443.97

3562.44

3563.26

3483.57

3579.56

3599.72

(a) Aggregate deposits

2745.52

2836.95

2820.67

2778.51

2825.81

2800.22

(i) Demand deposits

707.45

780.26

816.68

768.69

789.63

786.91

(ii) Time Deposits

2038.06

2056.70

2003.99

2009.82

2036.18

2013.31

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

311.92

352.08

352.55

314.29

352.28

383.55

(c) Other demand and time liabilities

386.54

373.41

390.05

390.77

401.48

415.95

III Assets with the banking system

268.74

256.04

249.44

235.80

190.76

293.89

Money at call and short notice

11.32

7.53

17.01

4.69

12.61

18.72

IV Cash in Hand

10.64

12.51

12.26

12.29

10.75

5.65

V Investment in India

1421.25

1411.25

1420.94

1458.62

1479.09

1353.91

(a) Government securities

1421.23

1411.23

1420.92

1458.60

1479.07

1350.89

(b) Other approved securities

0.02

0.02

0.02

0.02

0.02

3.02

VI Bank Credit

2392.62

2471.43

2579.37

2538.69

2598.41

2633.16

(a) Loans Cash Credit and Overdrafts

2133.15

2226.88

2284.01

2254.46

2322.74

2342.40

(b) Inland Bills Purchased

8.27

9.76

9.11

8.88

10.60

12.19

(c) Inland Bills Discounted

100.94

107.73

121.99

128.67

140.54

131.68

(d) Foreign bills purchased

42.13

22.15

46.41

37.70

29.59

43.18

(e) Foreign bills discounted

108.14

104.91

117.85

108.98

94.93

103.71

Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Mar 2012

Apr 2012

May 2012

Jun 2012

Jul 2012

Aug 2012

Sep 2012

(1)

(2)

(3)

(4)

(5)

(6)

(7)

Regional Rural Banks

             

No. of Reporting Banks

82

82

82

82

82

82

82

I Liabilities to the banking System

34.86

29.30

27.49

33.92

31.19

32.92

28.75

(a) Demand and time deposits from banks

7.51

9.06

8.70

9.79

6.70

9.20

10.41

(b) Borrowing from banks

27.33

20.07

18.76

24.06

18.66

19.69

17.96

(c) Other demand and time liabilities

0.02

0.17

0.02

0.06

5.83

4.03

0.38

II Liabilities to others in India

1787.48

1825.75

1831.18

1853.56

1871.03

1891.20

1913.01

(a) Aggregate deposits

1733.93

1775.54

1780.89

1798.71

1821.66

1839.34

1861.66

(i) Demand deposits

344.79

356.99

350.94

355.28

361.32

361.77

365.14

(ii) Time Deposits

1389.14

1418.55

1429.96

1443.43

1460.33

1477.57

1496.52

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

1.60

1.60

1.60

0.12

0.11

0.15

0.55

(c) Other demand and time liabilities

51.95

48.61

48.69

54.73

49.26

51.71

50.80

III Assets with the banking system

468.84

476.89

473.11

488.07

482.05

481.46

489.49

Money at call and short notice

47.38

44.63

44.46

46.49

48.16

49.29

50.08

IV Cash in Hand

18.20

17.27

17.69

19.45

16.95

16.75

15.68

V Investment in India

487.59

491.76

491.00

490.66

495.80

495.33

494.75

(a) Government securities

471.79

474.38

474.92

477.02

479.44

480.14

480.97

(b) Other approved securities

15.80

17.38

16.07

13.64

16.37

15.19

13.78

VI Bank Credit

1111.29

1147.41

1147.76

1169.29

1187.26

1204.96

1197.52

(a) Loans Cash Credit and Overdrafts

1110.82

1146.59

1147.15

1169.04

1187.10

1204.76

1197.36

(b) Inland Bills Purchased

0.31

0.36

0.18

0.14

0.08

0.09

0.08

(c) Inland Bills Discounted

0.16

0.46

0.43

0.11

0.09

0.11

0.08

(d) Foreign bills purchased

-

-

-

-

-

-

-

(e) Foreign bills discounted

-

-

-

-

-

-

-

Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Oct 2012

Nov 2012

Dec 2012

Jan 2013

Feb 2013

Mar 2013

 

(8)

(9)

(10)

(11)

(12)

(13)

Regional Rural Banks

           

No. of Reporting Banks

78

71

71

67

66

64

I Liabilities to the banking System

26.17

26.77

29.15

28.93

27.80

45.77

(a) Demand and time deposits from banks

10.34

10.45

10.22

10.73

8.07

16.85

(b) Borrowing from banks

15.28

16.31

18.82

17.92

19.68

22.33

(c) Other demand and time liabilities

0.55

-

0.11

0.28

0.05

6.59

II Liabilities to others in India

1927.02

1927.92

1958.40

1991.70

2010.76

2023.29

(a) Aggregate deposits

1876.72

1868.70

1898.18

1933.73

1952.93

1964.22

(i) Demand deposits

361.25

353.22

358.51

365.77

368.29

372.69

(ii) Time Deposits

1515.47

1515.48

1539.67

1567.96

1584.64

1591.54

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

0.69

0.10

0.06

0.07

0.05

0.06

(c) Other demand and time liabilities

49.61

59.12

60.16

57.90

57.77

59.01

III Assets with the banking system

482.54

482.74

511.21

504.07

506.82

565.57

Money at call and short notice

49.30

43.32

44.97

45.47

38.66

38.16

IV Cash in Hand

15.35

18.34

18.66

15.95

17.45

18.10

V Investment in India

500.09

496.60

500.93

501.07

505.97

503.48

(a) Government securities

483.65

484.61

488.56

488.62

495.17

491.78

(b) Other approved securities

16.44

11.99

12.37

12.46

10.79

11.70

VI Bank Credit

1262.79

1284.28

1292.45

1307.43

1312.57

1299.36

(a) Loans Cash Credit and Overdrafts

1262.57

1284.04

1292.17

1307.17

1312.26

1299.02

(b) Inland Bills Purchased

0.14

0.18

0.21

0.21

0.27

0.31

(c) Inland Bills Discounted

0.08

0.05

0.06

0.05

0.05

0.03

(d) Foreign bills purchased

-

-

-

-

-

-

(e) Foreign bills discounted

-

-

-

-

-

-

Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Mar 2012

Apr 2012

May 2012

Jun 2012

Jul 2012

Aug 2012

Sep 2012

(1)

(2)

(3)

(4)

(5)

(6)

(7)

Scheduled State Co-op. Banks

             

No. of Reporting Banks

16

16

16

16

16

16

16

I Liabilities to the banking System

-

0.04

0.01

0.57

-

0.01

0.01

(a) Demand and time deposits from banks

-

-

-

-

-

-

-

(b) Borrowing from banks

-

0.04

0.01

0.57

-

0.01

0.01

(c) Other demand and time liabilities

-

-

-

-

-

-

-

II Liabilities to others in India

677.60

685.78

676.56

690.34

702.96

705.47

696.02

(a) Aggregate deposits

640.22

650.67

646.75

659.35

673.22

674.16

672.39

(i) Demand deposits

44.68

44.58

43.59

53.65

48.15

50.58

49.37

(ii) Time Deposits

595.54

606.10

603.16

605.70

625.07

623.58

623.01

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

9.76

4.01

3.84

5.24

5.45

7.85

1.56

(c) Other demand and time liabilities

27.63

31.10

25.97

25.76

24.29

23.46

22.08

III Assets with the banking system

176.70

188.27

191.06

176.72

168.60

167.48

178.87

Money at call and short notice

117.72

114.68

117.65

101.74

93.27

92.82

96.99

IV Cash in Hand

0.96

0.98

1.01

1.10

1.08

1.09

1.10

V Investment in India

209.41

212.60

213.43

213.03

215.29

213.29

213.08

(a) Government securities

209.17

211.28

213.24

212.83

215.09

213.10

212.89

(b) Other approved securities

0.24

1.32

0.20

0.20

0.20

0.20

0.19

VI Bank Credit

694.16

696.74

695.77

717.17

747.64

762.05

777.21

(a) Loans Cash Credit and Overdrafts

694.05

696.63

695.71

717.06

747.53

761.98

777.13

(b) Inland Bills Purchased

0.03

0.04

0.02

0.05

0.04

0.01

0.04

(c) Inland Bills Discounted

-

-

-

-

-

-

-

(d) Foreign bills purchased

0.08

0.07

0.03

0.06

0.07

0.06

0.04

(e) Foreign bills discounted

-

-

-

-

-

-

-

Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Oct 2012

Nov 2012

Dec 2012

Jan 2013

Feb 2013

Mar 2013

(8)

(9)

(10)

(11)

(12)

(13)

Scheduled State Co-op. Banks

           

No. of Reporting Banks

16

16

16

16

16

16

I Liabilities to the banking System

-

-

2.09

6.71

2.94

0.77

(a) Demand and time deposits from banks

-

-

-

-

-

-

(b) Borrowing from banks

-

-

2.09

6.71

2.94

0.77

(c) Other demand and time liabilities

-

-

-

-

-

-

II Liabilities to others in India

693.84

699.83

714.06

725.35

730.82

737.98

(a) Aggregate deposits

671.14

673.18

689.62

701.93

706.02

714.63

(i) Demand deposits

50.93

50.11

52.30

50.81

49.15

51.74

(ii) Time Deposits

620.21

623.07

637.32

651.13

656.87

662.89

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

0.28

2.48

1.31

0.39

1.10

0.25

(c) Other demand and time liabilities

22.41

24.18

23.12

23.03

23.71

23.10

III Assets with the banking system

152.38

157.21

195.63

160.12

138.87

152.45

Money at call and short notice

80.65

85.23

112.96

103.03

91.28

97.51

IV Cash in Hand

1.00

1.09

1.16

1.04

1.10

1.17

V Investment in India

213.58

214.79

222.94

225.82

224.49

224.80

(a) Government securities

213.39

214.61

222.77

225.69

224.36

224.67

(b) Other approved securities

0.19

0.18

0.18

0.13

0.13

0.13

VI Bank Credit

791.58

796.49

814.04

825.91

838.66

853.07

(a) Loans Cash Credit and Overdrafts

791.52

796.38

813.91

825.79

838.58

853.00

(b) Inland Bills Purchased

0.03

0.03

0.05

0.05

0.04

0.03

(c) Inland Bills Discounted

-

-

-

-

-

-

(d) Foreign bills purchased

0.03

0.08

0.09

0.08

0.04

0.05

(e) Foreign bills discounted

-

-

-

-

-

-

Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Mar 2012

Apr 2012

May 2012

Jun 2012

Jul 2012

Aug 2012

Sep 2012

(1)

(2)

(3)

(4)

(5)

(6)

(7)

Scheduled Urban Co-operative Banks

             

No. of Reporting Banks

52

52

52

51

51

51

51

I Liabilities to the banking System

32.89

36.14

37.00

30.67

32.29

34.22

33.08

(a) Demand and time deposits from banks

31.95

33.66

33.49

28.49

29.34

30.14

30.59

(b) Borrowing from banks

0.87

2.43

3.44

2.13

2.65

4.04

2.44

(c) Other demand and time liabilities

0.07

0.05

0.07

0.06

0.30

0.05

0.05

II Liabilities to others in India

1088.95

1114.79

1123.09

1136.51

1152.10

1167.44

1178.35

(a) Aggregate deposits

1046.89

1070.40

1079.17

1099.05

1114.29

1127.18

1136.14

(i) Demand deposits

103.68

103.80

103.08

105.28

105.12

109.59

105.35

(ii) Time Deposits

943.21

966.60

976.08

993.77

1009.17

1017.60

1030.79

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

8.99

10.68

10.58

8.95

9.53

9.22

9.77

(c) Other demand and time liabilities

33.07

33.70

33.34

28.51

28.29

31.03

32.44

III Assets with the banking system

84.30

92.30

88.75

93.56

98.29

99.67

100.64

Money at call and short notice

6.39

7.02

5.28

5.69

6.50

6.57

5.13

IV Cash in Hand

7.44

8.13

8.55

8.62

9.22

9.82

9.42

V Investment in India

325.59

329.62

333.65

342.42

347.24

357.26

358.38

(a) Government securities

323.35

327.49

331.52

340.30

345.14

355.14

356.28

(b) Other approved securities

2.24

2.13

2.13

2.12

2.10

2.12

2.10

VI Bank Credit

725.14

732.73

739.25

735.52

737.69

744.61

754.06

(a) Loans Cash Credit and Overdrafts

706.60

713.38

719.02

716.07

717.68

724.56

733.85

(b) Inland Bills Purchased

4.87

5.05

4.92

4.12

4.80

4.40

5.37

(c) Inland Bills Discounted

9.86

10.33

11.24

10.94

11.67

12.27

11.61

(d) Foreign bills purchased

0.94

1.04

0.87

0.60

0.29

0.24

0.16

(e) Foreign bills discounted

2.87

2.93

3.19

3.80

3.24

3.15

3.07

Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Concld.)

(Amount in ` Billion)

Items

As on the last reporting Friday of

Oct 2012

Nov 2012

Dec 2012

Jan 2013

Feb 2013

Mar 2013

(8)

(9)

(10)

(11)

(12)

(13)

Scheduled Urban Co-operative Banks

           

No. of Reporting Banks

51

51

51

51

51

51

I Liabilities to the banking System

35.08

32.75

32.95

34.24

34.20

36.43

(a) Demand and time deposits from banks

31.13

29.83

29.89

30.59

31.15

32.72

(b) Borrowing from banks

3.88

2.85

2.33

3.59

2.62

3.66

(c) Other demand and time liabilities

0.06

0.06

0.73

0.05

0.43

0.06

II Liabilities to others in India

1197.64

1210.81

1215.86

1222.68

1241.93

1242.98

(a) Aggregate deposits

1158.60

1168.83

1171.27

1182.32

1196.44

1200.78

(i) Demand deposits

105.30

111.54

108.64

106.39

110.32

108.53

(ii) Time Deposits

1053.31

1057.29

1062.63

1075.93

1086.12

1092.25

(b) Borrowings (other than from RBI, NABARD, EXIM Bank)

10.30

11.34

10.74

11.53

10.94

10.32

(c) Other demand and time liabilities

28.74

30.64

33.85

28.83

34.55

31.88

III Assets with the banking system

101.92

96.69

96.85

93.38

101.56

96.36

Money at call and short notice

5.76

4.19

4.34

4.67

6.52

4.09

IV Cash in Hand

8.63

10.07

9.37

8.34

9.57

8.77

V Investment in India

365.36

372.53

372.02

375.79

375.84

374.40

(a) Government securities

363.43

370.52

370.02

372.25

373.75

372.34

(b) Other approved securities

1.93

2.00

2.00

3.55

2.09

2.06

VI Bank Credit

762.82

768.09

793.17

799.80

807.78

823.75

(a) Loans Cash Credit and Overdrafts

743.10

748.58

769.94

777.36

784.09

799.31

(b) Inland Bills Purchased

5.27

5.47

5.36

4.80

5.89

4.42

(c) Inland Bills Discounted

11.22

10.87

14.10

13.81

13.44

15.37

(d) Foreign bills purchased

0.21

0.37

0.88

1.27

1.72

1.67

(e) Foreign bills discounted

3.02

2.80

2.89

2.56

2.63

2.98

Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.

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