Table 2 : Month-Wise Business of Scheduled Commercial Banks in India - 1997-98 - आरबीआई - Reserve Bank of India
Table 2 : Month-Wise Business of Scheduled Commercial Banks in India - 1997-98
| | | | | | (Amount in Rs. crore) | |||
As on the last Friday of | |||||||||
Items | March | April | May | June | July | August | |||
1997 | 1997 | 1997 | 1997 | 1997 | 1997 | ||||
| | | (1) | (2) | (3) | (4) | (5) | (6) | |
No. of reporting banks | 295 | 294 | 295 | 295 | 295 | 298 | |||
I. | Liabilities to the banking system | 21193 | 22874 | 25534 | 27460 | 26966 | 27017 | ||
(a) | Demand and time deposits from banks | 17396 | 17853 | 16947 | 17748 | 18544 | 18400 | ||
(b) | Borrowings from banks | 3258 | 3903 | 7832 | 8941 | 7885 | 8105 | ||
(c) | Other demand and time liabilities | 539 | 1118 | 755 | 771 | 537 | 512 | ||
II. | Liabilities to others in India | 540790 | 546219 | 553275 | 560071 | 563504 | 567706 | ||
(a) | Aggregate deposits | 505600 | 510886 | 517414 | 523081 | 525302 | 530577 | ||
(i) Demand deposits | 90610 | 85238 | 86091 | 88325 | 85775 | 83875 | |||
(ii) Time deposits | 414990 | 425648 | 431323 | 434756 | 439527 | 446702 | |||
(b) | Borrowings (other than from RBI, IDBI, NABARD, | 937 | 852 | 2266 | 2327 | 3265 | 1348 | ||
EXIM Bank) | |||||||||
(c) | Other demand and time liabilities | 34253 | 34481 | 33595 | 34663 | 34937 | 35781 | ||
III. | Assets with the banking system | 19892 | 25082 | 21662 | 22713 | 21911 | 21029 | ||
of which | |||||||||
Money at call and short notice | 7959 | 8535 | 10882 | 11964 | 10898 | 9410 | |||
IV. | Cash in hand | 53195 | 55296 | 56562 | 53856 | 59480 | 57898 | ||
V. | Investments in India | 190514 | 201192 | 205621 | 212410 | 215429 | 220545 | ||
(a) | Government securities | 158890 | 169603 | 174078 | 181112 | 183968 | 188268 | ||
(b) | Other approved securities | 31624 | 31589 | 31543 | 31298 | 31461 | 32277 | ||
VI. | Bank credit | 278400 | 276371 | 277168 | 276118 | 279389 | 277099 | ||
(a) | Loans, cash credit and overdrafts | 251622 | 249629 | 250483 | 249993 | 251978 | 251090 | ||
(b) | Inland bills purchased | 4187 | 4182 | 4307 | 3881 | 4000 | 4237 | ||
(c) | Inland bills discounted | 8605 | 8953 | 8835 | 9231 | 9125 | 8431 | ||
(d) | Foreign bills purchased | 7649 | 7399 | 7331 | 6220 | 7164 | 7368 | ||
| (e) | Foreign bills discounted | 6337 | 6208 | 6212 | 6793 | 7122 | 5973 |
| | | | | | | (Amount in Rs. crore) | |||
As on the last Friday of | ||||||||||
Items | September | October | November | December | January | February | March | |||
1997 | 1997 | 1997 | 1997 | 1998 | 1998 | 1998 | ||||
| | | (7) | (8) | (9) | (10) | (11) | (12) | (13) | |
No. of reporting banks | 298 | 298 | 298 | 298 | 298 | 298 | 298 | |||
I. | Liabilities to the banking system | 27699 | 31990 | 30213 | 30100 | 30848 | 29052 | 32287 | ||
(a) | Demand and time deposits from | 19458 | 20305 | 20659 | 20563 | 20029 | 21092 | 23682 | ||
banks | ||||||||||
(b) | Borrowings from banks | 7725 | 11263 | 9004 | 9176 | 8098 | 6288 | 7160 | ||
(c) | Other demand and time liabilities | 516 | 422 | 550 | 361 | 2721 | 1672 | 1445 | ||
II. | Liabilities to others in India | 581625 | 591047 | 596554 | 605342 | 607708 | 620267 | 646443 | ||
(a) | Aggregate deposits | 546548 | 551436 | 559156 | 563040 | 568235 | 580314 | 605410 | ||
(i) Demand deposits | 90267 | 87957 | 89752 | 90685 | 90161 | 91015 | 102513 | |||
(ii) Time deposits | 456281 | 463479 | 469404 | 472355 | 478074 | 489299 | 502897 | |||
(b) | Borrowings (other than from RBI, | 1051 | 3189 | 2842 | 4904 | 1679 | 1411 | 1279 | ||
IDBI, NABARD, EXIM Bank) | ||||||||||
(c) | Other demand and time liabilities | 34026 | 36422 | 34556 | 37398 | 37794 | 38542 | 39754 | ||
III. | Assets with the banking system | 20163 | 26264 | 22734 | 225999 | 20225 | 21674 | 24243 | ||
of which | ||||||||||
Money at call and short notice | 7693 | 13279 | 9741 | 9439 | 6410 | 7985 | 8861 | |||
IV. | Cash in hand | 60188 | 56723 | 59257 | 59701 | 63711 | 62036 | 61305 | ||
V. | Investments in India | 211892 | 219243 | 218638 | 215986 | 210887 | 214710 | 218705 | ||
(a) | Government securities | 181506 | 188483 | 186841 | 184713 | 179370 | 182297 | 186957 | ||
(b) | Other approved securities | 30386 | 30760 | 31797 | 31273 | 31517 | 32413 | 31748 | ||
VI. | Bank credit | 279734 | 287626 | 288482 | 294721 | 307061 | 313455 | 324078 | ||
(a) | Loans, cash credit and overdrafts | 253862 | 261100 | 261924 | 267783 | 279507 | 285352 | 294735 | ||
(b) | Inland bills purchased | 4072 | 4674 | 4354 | 4441 | 4589 | 4350 | 4660 | ||
(c) | Inland bills discounted | 8523 | 8225 | 8587 | 8525 | 8705 | 9516 | 9768 | ||
(d ) | Foreign bills purchased | 7237 | 7480 | 7503 | 7615 | 7798 | 7693 | 7930 | ||
| (e) | Foreign bills discounted | 6040 | 6147 | 6114 | 6357 | 6462 | 6544 | 6985 |
Note | : | "Cash in hand" includes balances with the Reserve Bank of India. |
Source | : | Form-A Return under Section 42(2) of RBI Act, 1934. |