Table 177 : Commercial Bank Survey - आरबीआई - Reserve Bank of India
Table 177 : Commercial Bank Survey
(` Billion) |
||||||||
Item/Month |
Amount outstanding as on |
|||||||
Aug 27, 2010 |
Sep 24, 2010 |
Oct 22, 2010 |
Nov 19, 2010 |
Dec 31, 2010 |
Jan 28, 2011 |
Feb 25, 2011 |
Mar 25, 2011 |
|
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
Components |
||||||||
C.I Aggregate Deposits of Residents(C.I.1+C.I.2) |
46045.00 |
46424.20 |
48091.19 |
47830.82 |
49175.69 |
49170.22 |
50177.19 |
51378.93 |
C.I.1 Demand Deposits |
6046.71 |
6161.31 |
6572.83 |
6379.64 |
6444.35 |
5908.23 |
6040.50 |
6417.05 |
C.I.2 Time Deposits of Residents (C.I.2.1+C.I.2.2) |
39998.29 |
40262.89 |
41518.36 |
41451.18 |
42731.34 |
43261.99 |
44136.69 |
44961.87 |
C.I.2.1 Short-term Time Deposits |
17999.23 |
18118.30 |
18683.26 |
18653.03 |
19229.10 |
19467.89 |
19861.51 |
20232.84 |
C.I.2.1.1 Certificates of Deposits (CDs) |
3482.46 |
3434.69 |
3499.04 |
3395.45 |
3676.38 |
3842.07 |
4263.48 |
4320.38 |
C.I.2.2 Long-term Time Deposits |
21999.06 |
22144.59 |
22835.10 |
22798.15 |
23502.24 |
23794.09 |
24275.18 |
24729.03 |
C.II Call/Term Funding from Financial Institutions |
1289.61 |
1199.55 |
1142.25 |
1133.28 |
1168.93 |
1234.96 |
1235.62 |
1313.41 |
Sources |
||||||||
S.I Domestic Credit (S.I.1+S.I.2) |
51133.39 |
51477.72 |
52542.04 |
52960.98 |
54469.64 |
55099.19 |
56041.41 |
57170.87 |
S.I.1 Credit to the Government |
14723.39 |
14688.47 |
14984.56 |
14715.30 |
14438.17 |
14785.83 |
14823.19 |
14971.48 |
S.I.2 Credit to the Commercial Sector (S.I.2.1+S.I.2.2+S.I.1.2.3+S.I.1.2.4) |
36410.00 |
36789.24 |
37557.49 |
38245.68 |
40031.48 |
40313.36 |
41218.22 |
42199.39 |
S.I.2.1 Bank Credit |
33539.77 |
34252.29 |
34794.99 |
35598.96 |
37653.72 |
37376.77 |
38130.16 |
39420.83 |
S.I.2.1.1 Non-food Credit |
33066.92 |
33749.96 |
34322.84 |
35018.89 |
36994.25 |
36764.95 |
37477.25 |
38778.00 |
S.I.2.2 Net credit to Primary Dealers |
28.66 |
34.34 |
31.66 |
28.66 |
16.06 |
33.51 |
12.80 |
8.19 |
S.I.2.3 Investments in Other Approved Securities |
55.44 |
53.59 |
52.57 |
48.82 |
46.62 |
43.30 |
43.55 |
44.71 |
S.I.2.4 Other Investments (in non-SLR Securities) |
2786.13 |
2449.03 |
2678.27 |
2569.24 |
2315.07 |
2859.78 |
3031.70 |
2725.65 |
S.II Net Foreign currency Assets of Commercial Banks (S.II.1-S.II.2-S.II.3) |
-780.46 |
-538.10 |
294.60 |
-438.28 |
-754.83 |
-749.98 |
-825.59 |
-611.24 |
S.II.1 Foreign Currency Assets |
387.61 |
604.97 |
1365.51 |
671.82 |
392.40 |
469.08 |
389.96 |
623.92 |
S.II.2 Non-resident Foreign Currency Repatriable Fixed Deposits |
696.16 |
688.55 |
684.73 |
696.40 |
682.20 |
703.94 |
702.75 |
700.77 |
S.II.3 Overseas Foreign Currency Borrowings |
471.91 |
454.52 |
386.18 |
413.70 |
465.03 |
515.11 |
512.80 |
534.39 |
S.III Net Bank Reserves (S.III.1+S.III.2-S.III.3) |
3250.14 |
3195.02 |
3016.08 |
3285.13 |
3414.22 |
3183.16 |
3438.32 |
3444.77 |
S.III.1 Balances with the RBI |
2968.30 |
2917.65 |
2747.36 |
3006.31 |
3128.68 |
2906.30 |
3159.78 |
3191.63 |
S.III.2 Cash in Hand |
290.79 |
300.53 |
309.65 |
323.29 |
335.29 |
320.60 |
312.06 |
303.46 |
S.III.3 Loans and Advances from the RBI |
8.95 |
23.16 |
40.94 |
44.47 |
49.76 |
43.74 |
33.52 |
50.31 |
S.IV Capital Account |
4403.48 |
4401.56 |
4437.05 |
4506.92 |
4534.54 |
4556.98 |
4560.26 |
4813.29 |
S.V Other items (net) (S.I+S.II+S.III-S.IV-C.I-C.II)(net) (S.I+S.II+S |
1864.97 |
2109.32 |
2182.23 |
2336.82 |
2249.87 |
2570.21 |
2681.08 |
2498.78 |
S.V.1 Other Demand & Time Liabilities (net of S.II.3)(net of S.II.3) |
2768.80 |
2850.36 |
3355.97 |
2914.36 |
2826.92 |
2745.65 |
2785.59 |
2883.66 |
S.V.2 Net Inter-Bank Liabilities (other than to PDs) |
-194.24 |
-194.52 |
-218.28 |
-210.18 |
-218.82 |
-139.32 |
-255.07 |
-429.76 |
TABLE 177 : COMMERCIAL BANK SURVEY (Contd.) |
||||||||
(` Billion) |
||||||||
Item/Month |
Amount outstanding as on |
|||||||
Apr 22, 2011 |
May 20, 2011 |
Jun 17, 2011 |
Jul 29, 2011 |
Aug 26, 2011 |
Sep 23, 2011 |
Oct 21, 2011 |
Nov 18, 2011 |
|
1 |
10 |
11 |
12 |
13 |
14 |
15 |
16 |
17 |
Components |
||||||||
C.I Aggregate Deposits of Residents(C.I.1+C.I.2) |
52527.32 |
52509.90 |
52754.27 |
54120.19 |
54383.27 |
54569.43 |
55437.19 |
55699.66 |
C.I.1 Demand Deposits |
5856.31 |
5629.50 |
5504.16 |
5671.04 |
5615.35 |
5607.44 |
5678.19 |
5599.77 |
C.I.2 Time Deposits of Residents (C.I.2.1+C.I.2.2) |
46671.01 |
46880.40 |
47250.11 |
48449.15 |
48767.93 |
48961.99 |
49759.00 |
50099.89 |
C.I.2.1 Short-term Time Deposits |
21001.95 |
21096.18 |
21262.55 |
21802.12 |
21945.57 |
22032.90 |
22391.55 |
22544.95 |
C.I.2.1.1 Certificates of Deposits (CDs) |
4538.95 |
4293.01 |
4293.41 |
4177.12 |
4126.14 |
3900.11 |
3932.94 |
3853.84 |
C.I.2.2 Long-term Time Deposits |
25669.06 |
25784.22 |
25987.56 |
26647.03 |
26822.36 |
26929.10 |
27367.45 |
27554.94 |
C.II Call/Term Funding from Financial Institutions |
1317.72 |
1365.35 |
1427.31 |
1522.75 |
1623.55 |
1721.94 |
1731.98 |
1676.45 |
Sources |
||||||||
S.I Domestic Credit (S.I.1+S.I.2) |
58142.73 |
58561.39 |
59139.19 |
59906.15 |
60577.89 |
61019.33 |
61720.95 |
62119.97 |
S.I.1 Credit to the Government |
15510.02 |
15777.88 |
16020.21 |
16787.91 |
16981.35 |
16983.60 |
17023.92 |
17082.28 |
S.I.2 Credit to the Commercial Sector (S.I.2.1+ S.I.2.2+S.I.1.2.3+S.I.1.2.4) |
42632.71 |
42783.50 |
43118.98 |
43118.25 |
43596.54 |
44035.73 |
44697.03 |
45037.69 |
S.I.2.1 Bank Credit |
39254.47 |
39580.08 |
40009.24 |
40113.68 |
40476.30 |
40948.25 |
41515.51 |
41886.72 |
S.I.2.1.1 Non-food Credit |
38818.18 |
38914.51 |
39235.96 |
39409.17 |
39740.49 |
40265.80 |
40826.29 |
41099.60 |
S.I.2.2 Net credit to Primary Dealers |
32.30 |
32.08 |
43.42 |
40.03 |
30.82 |
30.44 |
27.03 |
22.71 |
S.I.2.3 Investments in Other Approved Securities |
43.12 |
46.37 |
46.55 |
44.13 |
40.25 |
40.06 |
39.84 |
39.02 |
S.I.2.4 Other Investments (in non-SLR Securities) |
3302.82 |
3124.97 |
3019.76 |
2920.40 |
3049.17 |
3016.98 |
3114.65 |
3089.24 |
S.II Net Foreign currency Assets of Commercial Banks (S.II.1-S.II.2-S.II.3) |
-602.67 |
-1034.59 |
-1044.29 |
-1126.94 |
-1296.26 |
-1313.35 |
-1379.68 |
-1205.99 |
S.II.1 Foreign Currency Assets |
602.27 |
302.44 |
339.93 |
295.43 |
266.17 |
309.80 |
307.69 |
435.24 |
S.II.2 Non-resident Foreign Currency Repatriable Fixed Deposits |
708.46 |
716.36 |
726.93 |
733.58 |
751.39 |
779.04 |
794.47 |
812.29 |
S.II.3 Overseas Foreign Currency Borrowings |
496.48 |
620.68 |
657.29 |
688.79 |
811.03 |
844.11 |
892.90 |
828.95 |
S.III Net Bank Reserves (S.III.1+S.III.2-S.III.3) |
3698.48 |
3702.16 |
3667.61 |
3928.36 |
3962.36 |
3834.79 |
4085.15 |
3936.06 |
S.III.1 Balances with the RBI |
3399.91 |
3390.99 |
3347.95 |
3598.21 |
3624.14 |
3501.66 |
3704.29 |
3583.93 |
S.III.2 Cash in Hand |
309.62 |
337.52 |
340.30 |
354.11 |
355.24 |
360.11 |
391.54 |
384.31 |
S.III.3 Loans and Advances from the RBI |
11.05 |
26.35 |
20.64 |
23.96 |
17.01 |
26.98 |
10.68 |
32.19 |
S.IV Capital Account |
4983.68 |
5120.12 |
5177.95 |
5222.87 |
5226.44 |
5226.28 |
5269.66 |
5264.60 |
S.V Other items (net) (S.I+S.II+S.III-S.IV-C.I-C.II)(net) (S.I+S.II+S |
2409.82 |
2233.59 |
2402.99 |
1841.75 |
2010.73 |
2023.13 |
1987.59 |
2209.33 |
S.V.1 Other Demand & Time Liabilities (net of S.II.3) (net of S.II.3) |
3121.06 |
3006.51 |
2910.57 |
2815.37 |
2790.73 |
2754.94 |
2613.04 |
2660.82 |
S.V.2 Net Inter-Bank Liabilities (other than to PDs) |
-265.59 |
-347.35 |
-347.94 |
-332.17 |
-379.44 |
-491.53 |
-451.19 |
-426.71 |
(Continued) |
TABLE 177 : COMMERCIAL BANK SURVEY (Concld.) |
||||||||
(` Billion) |
||||||||
Item/Month |
Amount outstanding as on |
|||||||
Dec 30, 2011 |
Jan 27, 2012 |
Feb 24, 2012 |
Mar 23, 2012 |
Apr 20, 2012 |
May 18, 2012 |
Jun 29, 2012 |
||
1 |
18 |
19 |
20 |
21 |
22 |
23 |
24 |
|
Components |
||||||||
C.I Aggregate Deposits of Residents(C.I.1+C.I.2) |
57499.21 |
56942.45 |
57426.62 |
58309.62 |
59590.20 |
59792.76 |
61482.82 |
|
C.I.1 Demand Deposits |
6410.03 |
5955.56 |
5970.66 |
6253.30 |
6002.23 |
5807.15 |
6499.03 |
|
C.I.2 Time Deposits of Residents(C.I.2.1+C.I.2.2) |
51089.18 |
50986.89 |
51455.97 |
52056.32 |
53587.97 |
53985.61 |
54983.79 |
|
C.I.2.1 Short-term Time Deposits |
22990.13 |
22944.10 |
23155.19 |
23425.35 |
24114.59 |
24293.52 |
24742.71 |
|
C.I.2.1.1 Certificates of Deposits (CDs) |
4092.98 |
4047.91 |
4087.91 |
4247.02 |
4498.23 |
5011.44 |
4188.13 |
|
C.I.2.2 Long-term Time Deposits |
28099.05 |
28042.79 |
28300.78 |
28630.98 |
29473.39 |
29692.08 |
30241.08 |
|
C.II Call/Term Funding from Financial Institutions |
1576.39 |
1833.90 |
1812.49 |
2064.54 |
1963.54 |
1987.31 |
2034.38 |
|
Sources |
||||||||
S.I Domestic Credit(S.I.1+S.I.2) |
63382.57 |
63338.31 |
64507.34 |
66236.65 |
67274.29 |
67815.50 |
69078.45 |
|
S.I.1 Credit to the Government |
16914.85 |
16883.08 |
17427.90 |
17350.18 |
18159.04 |
18219.46 |
18599.74 |
|
S.I.2 Credit to the Commercial Sector (S.I.2.1+S.I.2.2+S.I.1.2.3+S.I.1.2.4) |
46467.72 |
46455.23 |
47079.45 |
48886.48 |
49115.25 |
49596.04 |
50478.71 |
|
S.I.2.1 Bank Credit |
43668.78 |
43527.29 |
44090.95 |
46118.52 |
46192.49 |
46480.82 |
47608.44 |
|
S.I.2.1.1 Non-food Credit |
42823.31 |
42696.42 |
43258.83 |
45305.48 |
45376.05 |
45428.70 |
46533.26 |
|
S.I.2.2 Net credit to Primary Dealers |
45.03 |
47.18 |
55.06 |
30.03 |
43.84 |
49.95 |
28.57 |
|
S.I.2.3 Investments in Other Approved Securities |
33.24 |
31.31 |
28.98 |
27.70 |
29.27 |
29.44 |
26.59 |
|
S.I.2.4 Other Investments (in non-SLR Securities) |
2720.67 |
2849.45 |
2904.45 |
2710.23 |
2849.64 |
3035.84 |
2815.11 |
|
S.II Net Foreign currency Assets of Commercial Banks (S.II.1-S.II.2-S.II.3) |
-1070.19 |
-802.66 |
-676.71 |
-801.93 |
-889.65 |
-972.30 |
-1069.25 |
|
S.II.1 Foreign Currency Assets |
512.80 |
662.46 |
726.62 |
732.67 |
637.19 |
599.40 |
579.83 |
|
S.II.2 Non-resident Foreign Currency Repatriable Fixed Deposits |
825.92 |
777.03 |
772.53 |
781.20 |
778.86 |
790.18 |
808.95 |
|
S.II.3 Overseas Foreign Currency Borrowings |
757.07 |
688.09 |
630.80 |
753.40 |
747.98 |
781.52 |
840.13 |
|
S.III Net Bank Reserves (S.III.1+S.III.2-S.III.3) |
3825.87 |
3961.84 |
3428.89 |
3506.45 |
3521.43 |
3380.17 |
3592.25 |
|
S.III.1 Balances with the RBI |
3506.10 |
3683.65 |
3117.22 |
3232.71 |
3185.82 |
3068.44 |
3254.30 |
|
S.III.2 Cash in Hand |
378.56 |
370.81 |
366.91 |
361.29 |
374.96 |
386.34 |
408.66 |
|
S.III.3 Loans and Advances from the RBI |
58.79 |
92.62 |
55.24 |
87.55 |
39.35 |
74.60 |
70.71 |
|
S.IV Capital Account |
5282.93 |
5302.70 |
5280.50 |
5291.51 |
5834.25 |
5989.30 |
6062.97 |
|
S.V Other items (net) (S.I+S.II+S.III-S.IV-C.I-C.II)(net) (S.I+S.II+S |
1779.72 |
2418.43 |
2739.91 |
3275.51 |
2518.08 |
2454.01 |
2021.28 |
|
S.V.1 Other Demand & Time Liabilities (net of S.II.3)(net of S.II.3) |
2952.21 |
2809.88 |
2800.18 |
2980.49 |
2713.76 |
2834.01 |
2980.27 |
|
S.V.2 Net Inter-Bank Liabilities (other than to PDs) |
-651.61 |
-529.74 |
-509.24 |
-525.90 |
-561.14 |
-588.40 |
-668.21 |
|
Note : Data from 2010-11 onwards are provisional. |