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83478012

Table 3 : Month-Wise Scheduled Commercial Banks' Business in India According to Bank Groups - 1997-98 (Part 2 of 3)

 
 
 
 
 
 
 

(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


1


 
 

(7)


(8)


(9)


(10)


(11)


(12)


(13)


Nationalised Banks

             
                   

No. of reporting banks

19

19

19

19

19

19

19

                   

I.

Liabilities to the banking system

8943

9362

8337

8953

9335

8067

8645

                   
 

(a)

Demand and time deposits from banks

7417

7296

7383

7465

7483

7581

8256

                   
 

(b)

Borrowings from banks

1498

2023

893

1428

1822

444

360

                   
 

(c)

Other demand and

28

43

61

60

30

42

29

   

time liabilities

             
                   

II.

Liabilities to others in India

308126

310574

312211

316940

317004

321416

337713

                   
 

(a)

Aggregate deposits

295462

297195

300247

301494

302807

307895

324604

                   
   

(i) Demand deposits

46185

44947

45530

45949

45414

46620

53289

                   
   

(ii) Time deposits

249277

252248

254717

255545

257393

261275

271315

                   
 

(b)

Borrowings (other than from

--

319

159

790

54

88

4

   

RBI, IDBI, NABARD, EXIM Bank)

             
                   
 

(c)

Other demand and time liabilities

12664

13060

11805

14656

14143

13433

13105

                   

III.

Assets with the banking system

5471

7711

6438

5553

3830

3982

6114

 

of which

             
 

Money at call and short notice

2111

4078

2929

2044

658

1481

2976

                   

IV.

Cash in hand

2070

2304

2199

2435

2202

2296

2258

                   

V.

Investments in India

112528

118744

118950

116213

112707

116743

119032

                   
 

(a)

Government securities

94989

100844

99997

98011

94469

97712

100833

                   
 

(b)

Other approved securities

17539

17900

18953

18202

18238

19031

18199

                   

VI.

Bank credit

136683

140099

140758

144225

149847

152520

158085

                   
 

(a)

Loans, cash credit and overdrafts

125171

127929

128823

132052

137261

139914

144949

                   
 

(b)

Inland bills purchased

2384

2722

2522

2548

2663

2682

2824

                   
 

(c)

Inland bills discounted

1878

1851

1856

1912

1955

2008

2101

                   
 

(d)

Foreign bills purchased

4419

4697

4617

4717

4924

4831

4929

                   
 

(e)


Foreign bills discounted


2831


2900


2940


2996


3044


3085


3282



 
 
 
 
 
 

(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)


Regional Rural Banks

           
                 

No. of reporting banks

196

196

196

196

196

196

                 

I.

Liabilities to the banking system

126

129

143

169

166

149

                 
 

(a)

Demand and time deposits from banks

34

39

40

49

47

32

                 
 

(b)

Borrowings from banks

67

63

83

97

96

95

                 
 

(c)

Other demand and time liabilities

25

27

20

23

23

22

                 

II.

Liabilities to others in India

17543

17932

17913

17825

18318

18500

                 
 

(a)

Aggregate deposits

16972

17281

17204

17136

17630

17786

                 
   

(i) Demand deposits

2947

3048

2969

3042

3035

3033

                 
   

(ii) Time deposits

14025

14233

14235

14094

14595

14753

                 
 

(b)

Borrowings (other than from RBI,

1

7

5

--

54

23

   

IDBI, NABARD, EXIM Bank)

           
                 
 

(c)

Other demand and time liabilities

570

644

704

689

634

691

                 

III.

Assets with the banking system

7594

7870

7935

7912

8310

8479

 

of which

           
 

Money at call and short notice

3110

2997

3012

3208

3168

3097

               

IV.

Cash in hand

226

183

201

214

208

186

               

V.

Investments in India

2488

2616

2671

2602

2688

2687

                 
 

(a)

Government securities

723

839

927

888

739

899

                 
 

(b)

Other approved securities

1765

1777

1744

1714

1949

1788

                 

VI.

Bank credit

8544

8579

8543

8398

8681

8759

                 
 

(a)

Loans, cash credit and overdrafts

8531

8570

8533

8376

8672

8748

                 
 

(b)

Inland bills purchased

12

8

8

10

4

9

                 
 

(c)

Inland bills discounted

1

1

2

1

5

2

                 
 

(d)

Foreign bills purchased

--

--

--

--

--

--

                 
 

(e)


Foreign bills discounted


--


--


--


11


--


--



 
 
 
 
 
 
 

(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)


Regional Rural Banks

             
                   

No. of reporting banks

196

196

196

196

196

196

196

                   

I.

Liabilities to the banking system

144

153

152

134

128

118

137

                   
 

(a)

Demand and time deposits from banks

22

33

33

16

9

4

5

                   
 

(b)

Borrowings from banks

96

94

93

94

93

88

96

                   
 

(c)

Other demand and time liabilities

26

26

26

24

26

26

36

                   

II.

Liabilities to others in India

19278

19380

19517

19800

20207

20681

21660

                   
 

(a)

Aggregate deposits

18528

18588

18807

19093

19501

19962

20978

                   
   

(i) Demand deposits

3175

3138

3173

3265

3382

3525

3805

                   
   

(ii) Time deposits

15353

15450

15634

15828

16119

16437

17173

                   
 

(b)

Borrowings (other than from RBI,

5

81

16

9

20

9

4

   

IDBI, NABARD, EXIM Bank)

             
                   
 

(c)

Other demand and time liabilities

745

711

694

698

685

710

679

                   
                   

III.

Assets with the banking system

8557

8580

8716

8790

8826

8960

9415

 

of which

             
 

Money at call and short notice

3489

3318

3279

3346

3149

3071

3126

                   

IV.

Cash in hand

197

174

183

200

184

206

253

                   

V.

Investments in India

2753

2856

2838

3041

3264

3406

3528

                   
 

(a)

Government securities

921

1006

979

965

997

1019

1011

                   
 

(b)

Other approved securities

1832

1850

1859

2076

2267

2387

2517

                   

VI.

Bank credit

8976

9197

9258

9353

9447

9882

9686

                   
 

(a)

Loans, cash credit and overdrafts

8967

9185

9250

9340

9435

9867

9674

                   
 

(b)

Inland bills purchased

8

9

7

10

11

14

10

                   
 

(c)

Inland bills discounted

1

1

1

3

1

1

2

                   
 

(d)

Foreign bills purchased

--

--

--

--

--

--

--

                   
 

(e)


Foreign bills discounted


--


2


--


--


--


--


--



 
 
 
 
 
 

(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)


Foreign Banks

           
                 

No. of reporting banks

37

37

38

38

38

41

                 

I.

Liabilities to the banking system

3309

3901

5962

6721

6995

6972

                 
 

(a)

Demand and time deposits from banks

808

962

901

1294

1452

1627

                 
 

(b)

Borrowings from banks

2457

2723

4819

5177

5429

5270

                 
 

(c)

Other demand and time liabilities

44

216

242

250

114

75

                 

II.

Liabilities to others in India

40575

41531

43327

43724

44177

42769

                 
 

(a)

Aggregate deposits

36336

37253

38032

38386

37995

37841

                 
   

(i) Demand deposits

7570

7578

7617

7887

7901

7754

                 
   

(ii) Time deposits

28766

29675

30415

30499

30094

30087

                 
 

(b)

Borrowings (other than from RBI,

805

764

1610

1531

2416

1064

   

IDBI, NABARD, EXIM Bank)

           
                 
 

(c)

Other demand and time liabilities

3434

3514

3685

3807

3766

3864

                 

III.

Assets with the banking system

771

976

1099

1181

1187

1091

 

of which

           
 

Money at call and short notice

95

211

485

513

290

371

                 

IV.

Cash in hand

82

100

103

99

109

138

                 

V.

Investments in India

11319

12106

12854

13286

13492

12729

                 
 

(a)

Government securities

11029

11826

12574

13008

13191

12401

                 
 

(b)

Other approved securities

290

280

280

278

301

328

                 

VI.

Bank credit

26539

27024

27191

27490

28200

27821

                 
 

(a)

Loans, cash credit and overdrafts

23424

23832

23963

24400

24926

24725

                 
 

(b)

Inland bills purchased

273

295

307

277

306

308

                 
 

(c)

Inland bills discounted

1031

1079

1091

1001

1117

912

                 
 

(d)

Foreign bills purchased

990

1017

1025

1003

1057

964

                 
 

(e)


Foreign bills discounted


821


801


805


809


794


912



 
 
 
 
 
 
 

(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)


Foreign Banks

             
                   

No. of reporting banks

41

41

41

41

41

41

41

                   

I.

Liabilities to the banking system

6452

9027

8462

7806

6450

6513

6546

                   
 

(a)

Demand and time deposits from banks

1291

1163

1190

1403

1265

1098

1018

                   
                   
 

(b)

Borrowings from banks

5096

7811

7189

6332

5125

5358

5468

                   
 

(c)

Other demand and time liabilities

65

53

83

71

60

57

60

                   
                   

II.

Liabilities to others in India

42354

44828

45617

47064

45902

46827

47524

                   
 

(a)

Aggregate deposits

37741

38644

39761

40067

39845

41287

41905

                   
   

(i) Demand deposits

7709

7532

8109

7796

7545

7209

7980

                   
   

(ii) Time deposits

30032

31112

31652

32271

32300

34078

33925

                   
 

(b)

Borrowings (other than from

817

2267

1908

3082

1547

1290

1264

   

RBI, IDBI, NABARD, EXIM Bank)

             
                   
 

(c)

Other demand and time liabilities

3796

3917

3948

3915

4510

4250

4355

                   
                   

III.

Assets with the banking system

1150

1192

1590

1707

1777

1942

1206

 

of which

             
 

Money at call and short notice

127

341

697

801

913

1236

607

                   

IV.

Cash in hand

123

115

110

121

115

109

106

                   

V.

Investments in India

12901

12835

12401

13199

13113

13354

14375

                   
 

(a)

Government securities

12601

12531

12102

12908

12837

13075

14084

                   
 

(b)

Other approved securities

300

304

299

291

276

279

291

                   

VI.

Bank credit

27656

28762

28231

28568

29534

29872

29428

                   
 

(a)

Loans, cash credit and overdrafts

24585

25498

25067

25497

26678

27159

26689

                   
 

(b)

Inland bills purchased

265

373

310

319

295

347

292

                   
 

(c)

Inland bills discounted

902

1019

975

831

773

636

613

                   
 

(d)

Foreign bills purchased

954

896

930

983

936

967

1008

                   
 

(e)


Foreign bills discounted


950


976


949


938


852


763


826


--

:

Nil or negligible.

Source

:

Form-A Return under Section 42(2) of RBI Act, 1934.

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