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
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(Amount in Rs. crore) |
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As on the last Friday of |
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Items |
March |
April |
May |
June |
July |
August |
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1997 |
1997 |
1997 |
1997 |
1997 |
1997 |
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|
|
(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 |
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(ii) Time deposits |
414990 |
425648 |
431323 |
434756 |
439527 |
446702 |
|||
(b) |
Borrowings (other than from RBI, IDBI, NABARD, |
937 |
852 |
2266 |
2327 |
3265 |
1348 |
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EXIM Bank) |
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(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 |
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(a) |
Loans, cash credit and overdrafts |
251622 |
249629 |
250483 |
249993 |
251978 |
251090 |
||
(b) |
Inland bills purchased |
4187 |
4182 |
4307 |
3881 |
4000 |
4237 |
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(c) |
Inland bills discounted |
8605 |
8953 |
8835 |
9231 |
9125 |
8431 |
||
(d) |
Foreign bills purchased |
7649 |
7399 |
7331 |
6220 |
7164 |
7368 |
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|
(e) |
Foreign bills discounted |
6337 |
6208 |
6212 |
6793 |
7122 |
5973 |
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|
|
|
|
|
(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 |
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|
|
|
(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 |
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IV. |
Cash in hand |
60188 |
56723 |
59257 |
59701 |
63711 |
62036 |
61305 |
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V. |
Investments in India |
211892 |
219243 |
218638 |
215986 |
210887 |
214710 |
218705 |
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(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 |
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(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. |