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83499784

Table 3 : Scheduled Commercial Banks’ Business in India According to Bank Groups : 1999-2000

 
 
 
 
 
 
 
 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


   

Items

March

April

May

June

July

August

Septem-

Octo-

Novem-

Decem-

January

February

   March

                 

ber

ber

ber

ber

     
     

1999


1999


1999


1999


1999


1999


1999


1999


1999


1999


2000


2000


2000


 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


(7)


(8)


(9)


(10)


(11)


(12)


(13)


State Bank of India and its Associates

                         

No. of reporting banks

8

8

8

8

8

8

8

8

8

8

8

8

8

                               

I.

Liabilities to the banking system

10227

10424

10890

10554

10204

10122

11027

10712

10167

11464

10941

10621

13878

 

(a)

Demand and time

                         
   

deposits from banks

9687

9896

9764

9747

9906

9776

10243

10042

9827

10440

10213

10064

13190

 

(b)

Borrowings from banks

3

2

46

6

1

73

317

1

48

4

147

47

4

 

(c)

Other demand and time

                         
   

liabilities

537

526

1080

801

297

273

467

669

292

1020

581

510

684

                               

II.

Liabilities to others in India

226919

229067

227095

230573

235217

235991

239552

246686

249162

254247

257184

260178

272133

 

(a)

Aggregate deposits

202438

195230

194861

198443

202605

203492

206250

210241

211045

213241

216520

219013

228507

   

(i) Demand deposits

33981

32620

31072

30973

31281

30661

31261

31974

31548

31560

32516

33201

40033

   

(ii) Time deposits

168457

162610

163789

167470

171324

172831

174989

178267

179497

181681

184004

185812

188474

                               
 

(b)

Borrowings (other than

                         
   

from RBI, IDBI, NABARD,

                         
   

EXIM Bank)

—

—

—

—

—

—

—

—

—

—

—

—

—

 

(c)

Other demand and time

                         
   

liabilities

24481

33837

32234

32130

32612

32499

33302

36445

38117

41006

40664

41165

43626

                               

III.

Assets with the banking system

11129

17509

10222

11599

14077

14921

15969

13150

18371

12388

11548

11462

12570

 

of which:

                         
 

Money at call and short notice

9470

12231

9056

10301

12571

13334

14177

11292

12910

9681

8879

8224

10127

                               

IV.

Cash in hand

620

644

635

622

620

599

643

669

662

784

684

656

713

                               

VI.

Investments in India

78262

82310

83628

86011

87990

90517

92105

92474

94451

95464

96028

97005

99443

 

(a)

Government securities

69593

73668

74985

77453

79531

82113

83818

84235

86238

87402

88018

89033

91527

 

(b)

Other approved securities

8669

8642

8643

8558

8459

8404

8287

8239

8213

8062

8010

7972

7916

                               

VII.

Bank credit

104201

104120

102823

101830

102651

103472

104597

108470

109013

113487

114054

115446

124866

 

(a)

Loans, cash credit and overdrafts

96864

96628

95794

94817

96026

96930

98023

101748

102455

106448

106963

108050

116476

 

(b)

Inland bills purchased

764

859

682

558

552

483

520

558

550

717

742

668

721

 

(c)

Inland bills discounted

3905

4128

3613

3852

3634

3583

3489

3589

3363

3775

3704

3877

4470

 

(d)

Foreign bills purchased

669

625

664

643

650

813

741

741

676

643

604

646

668

 

(e)


Foreign bills discounted


1999


1880


2070


1960


1789


1663


1824


1834


1969


1904


2041


2205


2531



 
 
 
 
 
 
 
 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


   

Items

March

April

May

June

July

August

Septem-

Octo-

Novem-

Decem-

January

February

   March

                 

ber

ber

ber

ber

     
     

1999


1999


1999


1999


1999


1999


1999


1999


1999


1999


2000


2000


2000


 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


(7)


(8)


(9)


(10)


(11)


(12)


(13)


Nationalised Banks

                         

No. of reporting banks

19

19

19

19

19

19

19

19

19

19

19

19

19

                               

I.

Liabilities to the banking system

11513

13731

13544

13425

13615

13875

14406

14993

14581

14898

14018

13915

14489

 

(a)

Demand and time

                         
   

deposits from banks

11054

11585

11646

11741

12411

12705

13227

13305

13208

13451

12954

12786

13678

 

(b)

Borrowings from banks

412

2053

1812

1613

1135

1099

1111

1613

1329

1411

1024

1087

788

 

(c)

Other demand and time

                         
   

liabilities

47

93

86

71

69

71

68

75

44

36

40

42

23

                               

II.

Liabilities to others in India

397198

399761

400914

405460

410451

414700

426738

427496

427355

435524

435171

441996

469309

 

(a)

Aggregate deposits

380178

380806

382203

385662

392290

396689

408475

408234

407630

413734

414271

420381

445599

   

(i) Demand deposits

59683

54381

53569

54248

53621

53039

56673

54984

53874

57139

56407

57731

68110

   

(ii) Time deposits

320495

326425

328634

331414

338669

343650

351802

353250

353756

356595

357864

362650

377489

 

(b)

Borrowings (other than

                         
   

from RBI, IDBI, NABARD,

                         
   

EXIM Bank)

85

267

374

958

813

95

596

789

988

553

551

555

592

 

(c)

Other demand and

                         
   

time liabilities

16935

18688

18337

18840

17348

17916

17667

18473

18737

21237

20349

21060

23118

                               

III.

Assets with the banking system

6940

6872

5484

4993

6873

4949

5842

6742

6295

7012

7376

6764

7971

 

of which:

                         
 

Money at call and short notice

3453

3447

2433

2167

3414

1921

2624

3347

2690

2474

3466

2702

2584

                               

IV.

Cash in hand

2695

2689

2754

2659

2640

2551

2789

2794

2905

3401

3018

2854

3345

                               

VI.

Investments in India

131079

135736

139478

141854

143355

147184

147658

148715

151957

151001

151014

152515

154583

 

(a)

Government securities

113856

118440

121670

124576

126310

130188

130845

131939

135144

134482

134598

136212

138413

 

(b)

Other approved securities

17223

17296

17808

17278

17045

16996

16813

16776

16813

16519

16416

16303

16170

                               

VII.

Bank credit

182914

183586

182808

183556

186340

187025

191248

196119

197808

206923

207153

210136

222041

 

(a)

Loans, cash credit and overdrafts

169430

170250

170263

171270

174371

175162

178856

183466

184804

193301

193458

195787

205950

 

(b)

Inland bills purchased

2888

2832

2461

2368

2357

2208

2406

2418

2466

2707

2675

2762

3627

 

(c)

Inland bills discounted

1987

2060

1906

1909

1908

1936

2046

2381

2343

2324

2276

2273

2411

 

(d)

Foreign bills purchased

5213

5073

4832

4701

4728

4537

4640

4647

4670

4824

5043

5551

5970

 

(e)


Foreign bills discounted


3396


3371


3346


3308


2976


3182


3300


3207


3525


3767


3701


3763


4083



 
 
 
 
 
 
 
 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


   

Items

March

April

May

June

July

August

Septem-

Octo-

Novem-

Decem-

January

February

   March

                 

ber

ber

ber

ber

     
     

1999


1999


1999


1999


1999


1999


1999


1999


1999


1999


2000


2000


2000


 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


(7)


(8)


(9)


(10)


(11)


(12)


(13)


Regional Rural Banks

                         

No. of reporting banks

196

196

196

196

196

196

196

196

196

196

196

196

196

                               

I.

Liabilities to the banking system

151

151

163

151

137

136

175

167

165

180

176

168

157

 

(a)

Demand and time

                         
   

deposits from banks

20

18

17

17

14

14

17

17

17

7

14

13

23

 

(b)

Borrowings from banks

90

86

86

81

63

62

97

98

102

117

99

97

98

 

(c)

Other demand and time

                         
   

liabilities

41

47

60

53

60

60

61

52

46

56

63

58

36

                               

II.

Liabilities to others in India

26319

27221

27099

27304

27793

28301

28990

29566

29583

30324

30351

30617

33248

 

(a)

Aggregate deposits

25428

26007

25925

26207

26683

27162

27869

28341

28339

29044

29072

29368

31898

   

(i) Demand deposits

4688

4798

4690

4654

4718

4771

5047

4883

4883

5061

4974

5010

5967

   

(ii) Time deposits

20740

21209

21235

21553

21965

22391

22822

23458

23456

23983

24098

24358

25931

 

(b)

Borrowings (other than

                         
   

from RBI, IDBI, NABARD,

                         
   

EXIM Bank)

8

132

99

9

16

14

17

35

24

36

42

44

32

 

(c)

Other demand and

                         
   

time liabilities

883

1082

1075

1088

1094

1125

1104

1190

1220

1244

1237

1205

1318

                               

III.

Assets with the banking system

11319

11982

12052

12148

12258

12615

12615

12708

12683

13061

13131

13240

14506

 

of which:

                         
 

Money at call and short notice

4164

4417

4082

4047

3948

4150

4022

3905

4314

4194

4122

4462

4425

                               

IV.

Cash in hand

300

277

314

308

307

275

294

260

262

317

270

266

513

                               

VI.

Investments in India

5007

5041

5167

5211

5301

5366

5673

5866

5939

6016

5935

5973

6036

 

(a)

Government securities

1191

1157

1275

1332

1317

1409

1347

1356

1399

1357

1226

1180

1472

 

(b)

Other approved securities

3816

3884

3892

3879

3984

3957

4326

4510

4540

4659

4709

4793

4564

                               

VII.

Bank credit

11016

11136

11043

11143

11351

11440

11660

11941

12073

12358

12371

12470

13665

 

(a)

Loans, cash credit and overdrafts

11004

11122

11030

11130

11344

11435

11653

11935

12066

12342

12340

12445

13610

 

(b)

Inland bills purchased

10

13

12

12

6

4

6

5

6

15

29

24

48

 

(c)

Inland bills discounted

2

1

1

1

1

1

1

1

1

1

2

1

7

 

(d)

Foreign bills purchased

—

—

—

—

—

—

—

—

—

—

—

—

—

 

(e)


Foreign bills discounted


—


—


—


—


—


—


—


—


—


—


—


—


—



 
 
 
 
 
 
 
 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


   

Items

March

April

May

June

July

August

Septem-

Octo-

Novem-

Decem-

January

February

   March

                 

ber

ber

ber

ber

     
     

1999


1999


1999


1999


1999


1999


1999


1999


1999


1999


2000


2000


2000


 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


(7)


(8)


(9)


(10)


(11)


(12)


(13)


Foreign Banks

                         

No. of reporting banks

44

44

42

43

43

43

43

43

42

42

42

42

42

                               

I.

Liabilities to the banking system

12505

13933

12137

11641

11920

11210

11893

13500

12445

11718

11608

12640

14957

 

(a)

Demand and time

                         
   

deposits from banks

2549

2369

2146

2151

2025

2294

2210

2431

2472

2988

2388

3101

2500

 

(b)

Borrowings from banks

9890

11466

9906

9372

9774

8763

9599

10999

9730

8549

9004

9287

12299

 

(c)

Other demand and

                         
   

time liabilities

66

98

85

118

121

153

84

70

243

181

216

252

158

                               

II.

Liabilities to others in India

49507

50912

51909

51302

50638

51755

50313

55034

54006

55557

54032

54843

55589

 

(a)

Aggregate deposits

43345

43783

44312

44490

45315

46011

44259

46872

45901

49005

47378

47856

46775

   

(i) Demand deposits

8924

8999

8838

8469

9007

9262

9034

10322

9984

9850

11723

12319

11954

   

(ii) Time deposits

34421

34784

35474

36021

36308

36749

35225

36550

35917

39155

35655

35537

34821

 

(b)

Borrowings (other than

                         
   

from RBI, IDBI, NABARD,

                         
   

EXIM Bank)

938

2229

2450

2604

1078

1116

1159

1674

2487

1487

1309

1429

2541

 

(c)

Other demand and

                         
   

time liabilities

5224

4900

5147

4208

4245

4628

4895

6488

5618

5065

5345

5558

6273

                               

III.

Assets with the banking system

1162

1164

1651

1258

1094

1127

1084

1750

1531

2249

1826

1776

1370

 

of which:

                         
 

Money at call and short notice

354

292

808

431

279

375

256

803

281

692

522

342

206

                               

IV.

Cash in hand

131

150

150

160

142

141

149

160

166

286

186

183

176

VI.

Investments in India

16899

16701

16997

16970

17719

17236

16988

17786

18825

19199

19198

19004

18528

 

(a)

Government securities

16615

16402

16696

16671

17421

16947

16710

17481

18546

18928

18931

18731

18273

 

(b)

Other approved securities

284

299

301

299

298

289

278

305

279

271

267

273

255

                               

VII.

Bank credit

30513

30454

29731

29006

30464

31006

30542

31712

32361

33305

33821

35623

36814

 

(a)

Loans, cash credit and overdrafts

27379

27280

26781

26158

27489

27801

27213

28274

28931

29728

30175

31721

32262

 

(b)

Inland bills purchased

452

373

346

311

335

428

487

457

430

550

482

447

565

 

(c)

Inland bills discounted

618

763

700

706

793

827

742

888

903

892

1089

1107

1348

 

(d)

Foreign bills purchased

976

923

886

855

838

789

849

787

790

845

814

976

1080

 

(e)


Foreign bills discounted


1088


1115


1018


976


1009


1161


1251


1306


1307


1290


1261


1372


1559



 
 
 
 
 
 
 
 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


   

Items

March

April

May

June

July

August

Septem-

Octo-

Novem-

Decem-

January

February

   March

                 

ber

ber

ber

ber

     
     

1999


1999


1999


1999


1999


1999


1999


1999


1999


1999


2000


2000


2000


 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


(7)


(8)


(9)


(10)


(11)


(12)


(13)


Other Scheduled Commercial Banks

                         

No. of reporting banks

34

34

33

33

33

33

33

33

33

33

33

33

32

                               

I.

Liabilities to the banking system

10808

10585

10065

9395

9980

9343

10738

11355

10844

11048

11105

12084

16150

 

(a)

Demand and time

                         
   

deposits from banks

9100

9023

8558

8109

7929

8037

8286

8341

8517

9317

8901

9864

14146

 

(b)

Borrowings from banks

1676

1532

1456

1193

1976

1230

2382

2944

2254

1632

2102

2081

1864

 

(c)

Other demand and

                         
   

time liabilities

32

30

51

93

75

76

70

70

73

99

102

139

140

                               

II.

Liabilities to others in India

75296

80046

80632

80841

80938

83481

83546

86608

88379

92410

91453

97392

106049

 

(a)

Aggregate deposits

70815

74654

75058

75251

76452

78669

78852

80383

82434

86482

85505

91269

98814

   

(i) Demand deposits

10147

10067

9962

9907

10664

10738

10963

12149

12558

13498

13771

16317

19219

   

(ii) Time deposits

60668

64587

65096

65344

65788

67931

67889

68234

69876

72984

71734

74952

79595

 

(b)

Borrowings (other than

                         
   

from RBI, IDBI, NABARD,

                         
   

EXIM Bank)

110

522

925

839

102

365

185

1281

897

516

533

481

1038

 

(c)

Other demand and

                         
   

time liabilities

4371

4870

4649

4751

4384

4447

4509

4944

5048

5412

5415

5642

6197

                               

III.

Assets with the banking system

4236

4429

4233

2978

3260

2984

3283

2986

3288

3475

3756

5567

6787

 

of which:

                         
 

Money at call and short notice

730

1193

1584

829

784

804

655

845

1027

764

1313

2621

1693

                               

IV.

Cash in hand

617

618

685

698

729

711

711

692

765

1090

870

792

875

                               

VI.

Investments in India

23347

24966

26227

26482

26941

27275

27609

28169

29460

29537

30123

31647

33106

 

(a)

Government securities

21962

23565

24848

25137

25582

25924

26263

26828

28120

28219

28809

30335

31814

 

(b)

Other approved securities

1385

1401

1379

1345

1359

1351

1346

1341

1340

1318

1314

1312

1292

                               

VII.

Bank credit

40191

41133

40418

40081

41245

41823

42611

44214

45048

49104

47890

50910

56683

 

(a)

Loans, cash credit and overdrafts

32797

33416

33300

33327

34166

34715

35589

36677

37445

41126

39649

42648

46818

 

(b)

Inland bills purchased

779

775

696

649

695

695

720

746

740

804

820

885

1394

 

(c)

Inland bills discounted

4229

4557

4057

3750

4023

4057

3906

4348

4347

4612

4887

4715

5591

 

(d)

Foreign bills purchased

1393

1383

1338

1354

1400

1364

1388

1393

1452

1539

1479

1579

1779

 

(e)


Foreign bills discounted


993


1002


1027


1001


961


992


1008


1050


1064


1023


1055


1083


1101


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

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