Table 2 : Month-Wise Business of Scheduled Commercial Banks in India - 1998-99 - ಆರ್ಬಿಐ - Reserve Bank of India
Table 2 : Month-Wise Business of Scheduled Commercial Banks in India - 1998-99
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|
|
|
|
|
(Amount in Rs. crore) |
||
As on the last Friday of |
||||||||
Items |
March |
April |
May |
June |
July |
August |
||
1998 |
1998 |
1998 |
1998 |
1998 |
1998 |
|||
|
|
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
No. of reporting banks |
298 |
298 |
299 |
299 |
299 |
299 |
||
I. |
Liabilities to the banking system |
32287 |
31123 |
32027 |
33798 |
33262 |
34269 |
|
(a) |
Demand and time |
23682 |
23540 |
23849 |
24044 |
25105 |
26227 |
|
deposits from banks |
||||||||
(b) |
Borrowings from banks |
7160 |
7030 |
7648 |
9082 |
7774 |
7577 |
|
(c) |
Other demand and |
1445 |
553 |
530 |
672 |
383 |
465 |
|
time liabilities |
||||||||
II. |
Liabilities to others in India |
646443 |
654751 |
663077 |
670066 |
677805 |
696548 |
|
(a) |
Aggregate deposits |
605410 |
611276 |
616547 |
623944 |
634038 |
653264 |
|
(i) Demand deposits |
102513 |
98631 |
96075 |
98582 |
99357 |
97093 |
||
(ii) Time deposits |
502897 |
512645 |
520472 |
525362 |
534681 |
556172 |
||
(b) |
Borrowings (other than from RBI, |
1279 |
1301 |
3774 |
4325 |
1444 |
1639 |
|
IDBI, NABARD, EXIM Bank) |
||||||||
(c) |
Other demand and |
39754 |
42174 |
42756 |
41797 |
42323 |
41644 |
|
time liabilities |
||||||||
III. |
Assets with the banking system |
24243 |
22263 |
21754 |
23456 |
22552 |
22519 |
|
of which |
||||||||
Money at call and short notice |
8861 |
7744 |
9039 |
10281 |
9278 |
8911 |
||
IV. |
Cash in hand |
61305 |
56260 |
64051 |
65940 |
66710 |
64549 |
|
V. |
Investments in India |
218705 |
231279 |
234301 |
233969 |
238089 |
245649 |
|
(a) |
Government securities |
186957 |
199466 |
202374 |
202184 |
206375 |
213871 |
|
(b) |
Other approved securities |
31748 |
31813 |
31927 |
31785 |
31714 |
317 |
|
VI. |
Bank credit |
324078 |
321577 |
320707 |
319676 |
323050 |
323598 |
|
(a) |
Loans, cash credit |
294735 |
291713 |
291830 |
291354 |
295239 |
296290 |
|
and overdrafts |
||||||||
(b) |
Inland bills purchased |
4660 |
4665 |
4346 |
4305 |
4059 |
4101 |
|
(c) |
Inland bills discounted |
9768 |
10347 |
10131 |
9348 |
10085 |
9614 |
|
(d) |
Foreign bills purchased |
7930 |
7886 |
7571 |
8315 |
7126 |
7053 |
|
|
(e) |
Foreign bills discounted |
6985 |
6966 |
6829 |
6354 |
6541 |
6540 |
|
|
|
|
|
|
|
(Amount in Rs. crore) |
||
As on the last Friday of |
|||||||||
Items |
September |
October |
November |
December |
January |
February |
March |
||
1998 |
1998 |
1998 |
1998 |
1999 |
1999 |
1999 |
|||
|
|
|
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
No. of reporting banks |
299 |
299 |
299 |
299 |
300 |
300 |
301 |
||
I . |
Liabilities to the banking system |
38081 |
40741 |
41273 |
41620 |
41180 |
43762 |
45204 |
|
(a) |
Demand and time |
27932 |
28110 |
28535 |
28514 |
29230) |
29911 |
32410 |
|
deposits from banks |
|||||||||
(b) |
Borrowings from banks |
9712 |
12258 |
12250 |
12573 |
11361 |
13207 |
12072 |
|
(c) |
Other demand and |
437 |
373 |
488 |
533 |
589 |
643 |
722 |
|
time liabilities |
|||||||||
II. |
Liabilities to others in India |
711842 |
722401 |
728599 |
732960 |
741421 |
749861 |
775238 |
|
(a) |
Aggregate deposits |
669066 |
678425 |
680894 |
682963 |
684788 |
689415 |
722204 |
|
(i) Demand deposits |
101953 |
102173 |
100590 |
100776 |
103110 |
101938 |
117423 |
||
(ii) Time deposits |
567113 |
576252 |
580304 |
582187 |
581678 |
587477 |
604780 |
||
(b) |
Borrowings (other than from |
1475 |
2448 |
2743 |
3433 |
2927 |
1829 |
1140 |
|
RBI, IDBI, NABARD, EXIM Bank) |
|||||||||
(c) |
Other demand and |
41301 |
41527 |
44962 |
46564 |
53706 |
58617 |
51894 |
|
time liabilities |
|||||||||
III. |
Assets with the banking system |
27097 |
32066 |
30878 |
29715 |
31512 |
34161 |
34787 |
|
of which |
|||||||||
Money at call and short notice |
13065 |
18244 |
17101 |
15329 |
16470 |
18593 |
18172 |
||
IV. |
Cash in hand |
66606 |
75088 |
75744 |
77549 |
72841 |
73932 |
67910 |
|
V. |
Investments in India |
251867 |
248368 |
251424 |
249303 |
251459 |
252859 |
254594 |
|
(a) |
Government securities |
220725 |
216843 |
219883 |
217919 |
220251 |
221702 |
223217 |
|
(b) |
Other approved securities |
31142 |
31525 |
31541 |
31384 |
31208 |
31157 |
31377 |
|
VI. |
Bank credit |
330691 |
337708 |
337420 |
340917 |
349270 |
353469 |
368837 |
|
(a) |
Loans, cash credit |
303648 |
310035 |
310028 |
312677 |
320133 |
324263 |
337475 |
|
and overdrafts |
|||||||||
(b) |
Inland bills purchased |
4052 |
4323 |
4176 |
4070 |
4463 |
4326 |
4893 |
|
(c) |
Inland bills discounted |
9276 |
9570 |
9369 |
9831 |
9826 |
9889 |
10742 |
|
(d) |
Foreign bills purchased |
7116 |
7201 |
7270 |
7444 |
7919 |
7853 |
8251 |
|
|
(e) |
Foreign bills discounted |
6599 |
6578 |
6577 |
6895 |
6929 |
7138 |
7476 |
Note |
: |
"Cash in hand" includes balances with the Reserve Bank of India. |
Source |
: |
Form-A Return under Section 42(2) of RBI Act, 1934. |