RbiSearchHeader

Press escape key to go back

Past Searches

Theme
Theme
Text Size
Text Size
S2

RbiAnnouncementWeb

RBI Announcements
RBI Announcements

Asset Publisher

83658351

Table 2.2 : Business of Scheduled Banks in India According to Bank Group - 2011-12

(Amount in ` Billion)

Item

As on the last reporting friday of

Mar

Apr

May

Jun

Jul

Aug

Sep

Oct

Nov

Dec

Jan

Feb

Mar

2011

2011

2011

2011

2011

2011

2011

2011

2011

2011

2012

2012

2012

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

(11)

(12)

(13)

State Bank of India & its Associates

No. of Reporting Banks

6

6

6

6

6

6

6

6

6

6

6

6

6

I. Liabilities to the banking system

144.81

194.73

172.14

188.88

173.81

173.17

164.25

174.15

167.69

201.71

173.68

192.92

150.53

(a) Demand and time deposits from banks

97.21

113.61

95.69

97.23

95.08

90.54

86.78

91.30

88.40

93.11

86.47

81.81

95.52

(b) Borrowings from banks

2.71

3.20

0.05

10.55

3.01

6.65

1.15

6.25

2.65

14.00

10.45

10.90

18.65

(c) Other demand and time liabilities

44.90

77.91

76.40

81.10

75.72

75.98

76.33

76.60

76.64

94.60

76.75

100.21

36.36

II. Liabilities to others in India

12700.38

12988.50

12919.40

12878.59

13315.58

13314.47

13291.85

13434.15

13497.29

13720.66

13827.51

13774.53

14099.92

(a) Aggregate deposits

11646.66

11782.79

11802.86

11815.64

12312.97

12292.30

12258.57

12447.02

12522.78

12738.56

12962.28

12881.89

13136.95

(i) Demand deposits

1420.44

1125.13

1043.53

1023.35

1027.70

995.81

957.62

1011.88

983.53

1039.56

1032.45

950.88

1020.40

(ii) Time Deposits

10226.22

10657.66

10759.33

10792.29

11285.28

11296.49

11300.95

11435.14

11539.25

11699.00

11929.84

11931.01

12116.55

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

14.13

14.37

28.07

36.98

28.80

30.96

32.82

31.75

32.34

35.60

32.80

30.01

28.15

(c) Other demand and time liabilities

1039.59

1191.34

1088.47

1025.96

973.81

991.22

1000.46

955.38

942.17

946.51

832.43

862.63

934.82

III. Assets with the banking system

224.15

310.62

304.65

310.33

324.63

351.84

357.71

365.82

364.32

380.13

368.28

358.07

193.86

Money at call and short notice

19.29

18.51

10.93

4.00

13.40

9.50

11.35

16.25

15.75

34.50

29.30

26.25

21.69

IV.Cash in hand

83.26

79.30

86.07

89.85

94.06

93.84

98.25

102.34

104.04

104.54

103.59

105.92

101.50

V.Investment in India

3213.73

3357.42

3296.99

3332.55

3542.01

3580.24

3470.10

3451.99

3503.05

3398.97

3461.12

3451.89

3445.90

(a) Government securities

3208.17

3351.88

3291.45

3327.00

3536.47

3575.61

3465.65

3447.60

3498.70

3396.50

3459.57

3450.75

3445.69

(b) Other approved securities

5.57

5.55

5.55

5.54

5.54

4.63

4.45

4.39

4.35

2.47

1.55

1.13

0.22

VI. Bank Credit

8818.82

8813.78

8951.10

8981.69

8969.02

9049.93

9158.44

9260.05

9390.25

9817.21

9827.92

9983.54

10214.79

(a) Loans cash credit and overdrafts

8430.65

8420.03

8557.65

8586.92

8553.17

8630.04

8715.74

8800.22

8912.08

9299.84

9298.44

9442.56

9640.61

(b) Inland bills purchased

26.42

24.86

22.30

19.22

15.36

15.37

19.05

20.71

23.91

25.83

27.35

26.48

29.71

(c) Inland bills discounted

286.59

293.10

296.68

302.91

329.38

329.93

334.88

348.24

358.86

382.21

388.30

405.73

435.25

(d) Foreign bills purchased

8.69

8.65

9.17

9.40

9.22

9.21

10.47

10.35

10.58

11.85

13.56

12.91

12.01

(e) Foreign bills discounted

66.47

67.14

65.30

63.24

61.90

65.39

78.30

80.53

84.82

97.48

100.28

95.86

97.21

Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2011-12 (Contd.)

(Amount in ` Billion)

Item

As on the last reporting friday of

Mar

Apr

May

Jun

Jul

Aug

Sep

Oct

Nov

Dec

Jan

Feb

Mar

2011

2011

2011

2011

2011

2011

2011

2011

2011

2011

2012

2012

2012

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

(11)

(12)

(13)

Nationalised Banks $

No. of Reporting Banks

20

20

20

20

20

20

20

20

20

20

20

20

20

I. Liabilities to the banking system

589.33

550.40

534.71

550.65

545.80

559.36

539.94

541.70

521.49

550.77

577.28

614.21

648.64

(a) Demand and time deposits from banks

473.84

449.46

434.58

447.37

450.14

470.36

453.35

454.47

447.44

480.29

490.11

526.94

559.56

(b) Borrowings from banks

99.67

85.05

84.72

88.13

80.02

73.03

70.85

71.98

58.64

55.29

71.50

71.29

73.27

(c) Other demand and time liabilities

15.82

15.88

15.41

15.15

15.64

15.97

15.74

15.24

15.41

15.19

15.66

15.98

15.81

II. Liabilities to others in India

29058.61

30019.98

30004.71

30269.41

30666.88

30809.51

30950.69

31274.24

31415.93

32659.34

32236.26

32573.88

33305.31

(a) Aggregate deposits

27078.17

27982.19

27940.71

28152.08

28529.05

28646.74

28730.08

29160.94

29260.53

30431.60

30075.72

30448.81

31015.28

(i) Demand deposits

2357.96

2157.38

2070.80

2038.90

2126.67

2103.84

2096.74

2145.53

2129.24

2453.14

2229.20

2241.39

2347.15

(ii) Time Deposits

24720.21

25824.81

25869.91

26113.18

26402.38

26542.90

26633.35

27015.41

27131.28

27978.47

27846.53

28207.42

28668.14

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

593.43

635.02

592.48

604.03

639.11

665.12

684.17

680.68

652.46

621.50

615.19

651.97

730.45

(c) Other demand and time liabilities

1387.01

1402.77

1471.51

1513.30

1498.71

1497.65

1536.44

1432.62

1502.95

1606.23

1545.35

1473.10

1559.58

III. Assets with the banking system

435.26

341.69

300.84

355.36

344.64

369.20

404.63

386.45

419.24

544.81

504.61

498.50

503.87

Money at call and short notice

65.76

60.92

37.20

102.95

77.35

89.17

100.20

81.05

109.40

113.28

126.78

104.98

113.80

IV. Cash in hand

103.75

107.27

116.39

119.16

123.17

121.21

123.26

130.70

132.30

124.72

127.83

126.89

122.78

V. Investment in India

7567.30

7899.80

7971.24

8103.92

8530.35

8558.95

8627.26

8676.94

8617.60

8636.44

8551.13

8954.32

8776.12

(a) Government securities

7541.40

7874.05

7945.50

8078.11

8506.34

8537.34

8606.09

8656.04

8596.79

8620.11

8535.76

8939.85

8764.65

(b) Other approved securities

25.91

25.74

25.73

25.81

24.00

21.62

21.17

20.90

20.81

16.33

15.37

14.47

11.47

VI. Bank Credit

20385.26

20330.60

20449.69

20634.97

20615.84

20734.19

20844.60

21097.52

21274.84

22311.42

22175.34

22471.76

23728.93

(a) Loans cash credit and overdrafts

19789.30

19735.29

19860.06

20066.99

20084.02

20221.04

20322.70

20576.67

20761.53

21732.64

21620.62

21913.76

23098.07

(b) Inland bills purchased

75.06

75.54

71.82

67.18

62.93

62.99

63.48

68.23

68.77

87.03

85.58

88.77

93.95

(c) Inland bills discounted

244.63

249.69

247.45

234.82

205.51

186.48

185.86

169.96

166.97

190.42

175.83

182.26

242.89

(d) Foreign bills purchased

111.82

106.92

106.83

105.30

101.91

101.90

107.63

110.83

108.72

122.39

118.49

112.86

114.03

(e) Foreign bills discounted

164.45

163.16

163.54

160.69

161.47

161.79

164.93

171.83

168.85

178.94

174.82

174.10

180.00

Note : $ Includes IDBI Bank Ltd.
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2011-12 (Contd.)

(Amount in ` Billion)

Item

As on the last reporting friday of

Mar

Apr

May

Jun

Jul

Aug

Sep

Oct

Nov

Dec

Jan

Feb

Mar

2011

2011

2011

2011

2011

2011

2011

2011

2011

2011

2012

2012

2012

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

(11)

(12)

(13)

Old Private Sector Banks

No. of Reporting Banks

14

14

14

14

13

13

13

13

13

13

13

13

13

I. Liabilities to the banking system

20.08

27.62

24.97

24.56

38.62

39.10

25.66

26.16

27.77

32.57

33.15

28.80

30.33

(a) Demand and time deposits from banks

15.14

8.66

15.44

16.58

15.74

18.67

15.62

19.79

19.15

21.63

19.92

22.62

24.65

(b) Borrowings from banks

3.48

17.47

7.98

6.45

21.29

18.75

8.58

4.89

7.00

9.36

11.63

4.13

3.16

(c) Other demand and time liabilities

1.46

1.48

1.55

1.53

1.59

1.68

1.46

1.48

1.62

1.58

1.60

2.04

2.53

II. Liabilities to others in India

2587.54

2585.77

2594.78

2636.15

2707.60

2757.59

2832.77

2873.25

2899.53

2948.91

2949.98

2952.75

3049.90

(a) Aggregate deposits

2463.34

2452.03

2469.58

2500.34

2569.41

2615.05

2685.57

2727.18

2752.21

2788.97

2794.64

2793.84

2868.49

(i) Demand deposits

254.66

235.11

234.04

234.10

233.54

233.24

230.64

232.42

232.78

249.42

246.24

246.29

247.27

(ii) Time Deposits

2208.68

2216.92

2235.54

2266.24

2335.87

2381.81

2454.93

2494.76

2519.43

2539.55

2548.40

2547.55

2621.23

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

36.32

40.11

45.18

51.21

55.81

61.39

62.19

68.05

66.16

73.90

64.94

67.54

86.68

(c) Other demand and time liabilities

87.88

93.63

80.01

84.60

82.38

81.15

85.01

78.02

81.17

86.05

90.40

91.37

94.72

III. Assets with the banking system

39.65

25.06

24.55

35.66

30.49

34.58

43.10

26.04

28.92

39.39

34.87

34.38

32.19

Money at call and short notice

5.30

1.75

0.00

4.50

7.67

2.35

12.15

1.45

4.50

6.05

5.45

4.46

9.80

IV. Cash in hand

20.36

20.83

24.65

23.32

23.57

24.14

25.66

27.20

25.03

25.69

25.07

24.94

23.27

V. Investment in India

648.09

658.12

668.98

685.23

711.10

719.24

728.51

742.69

753.61

746.26

750.84

788.13

779.23

(a) Government securities

647.57

657.62

668.48

684.72

710.60

718.75

728.04

742.23

753.14

745.87

750.51

787.93

779.05

(b) Other approved securities

0.52

0.50

0.50

0.50

0.50

0.49

0.47

0.47

0.47

0.39

0.34

0.20

0.18

VI Bank Credit

1833.64

1823.90

1830.12

1863.91

1895.44

1910.56

1962.07

1990.05

2018.11

2092.85

2093.06

2112.81

2228.73

(a) Loans cash credit and overdrafts

1741.67

1734.51

1741.96

1779.46

1806.35

1819.89

1870.17

1894.96

1919.13

1992.45

1997.36

2016.29

2125.59

(b) Inland bills purchased

17.76

15.24

12.42

10.69

15.06

16.86

19.24

22.78

26.25

28.86

26.53

27.16

25.64

(c) Inland bills discounted

50.52

51.05

53.17

51.38

51.19

48.90

46.20

45.38

45.53

44.35

42.74

43.28

51.87

(d) Foreign bills purchased

12.91

12.36

11.74

11.23

11.91

13.81

13.10

13.65

13.88

14.20

14.31

14.00

12.98

(e) Foreign bills discounted

10.79

10.74

10.84

11.15

10.93

11.10

13.35

13.28

13.32

12.99

12.12

12.09

12.66

Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2011-12 (Contd.)

(Amount in ` Billion)

Item

As on the last reporting friday of

Mar

Apr

May

Jun

Jul

Aug

Sep

Oct

Nov

Dec

Jan

Feb

Mar

2011

2011

2011

2011

2011

2011

2011

2011

2011

2011

2012

2012

2012

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

(11)

(12)

(13)

New Private Sector Banks

No. of Reporting Banks

7

7

7

7

7

7

7

7

7

7

7

7

7

I. Liabilities to the banking system

200.36

200.84

160.68

167.33

177.54

186.37

204.38

202.28

243.17

228.55

234.76

199.67

227.00

(a) Demand and time deposits from banks

117.34

116.40

104.00

103.26

110.39

115.44

108.32

106.20

117.45

126.60

113.39

117.71

120.08

(b) Borrowings from banks

79.64

81.52

53.53

60.74

64.41

68.03

93.05

93.43

122.98

98.81

118.71

79.06

103.68

(c) Other demand and time liabilities

3.38

2.93

3.15

3.32

2.73

2.89

3.01

2.65

2.74

3.14

2.66

2.90

3.23

II. Liabilities to others in India

7869.40

7920.32

8051.47

8065.60

8382.11

8477.84

8512.44

8741.13

8733.24

9242.87

8997.16

9069.41

9256.18

(a) Aggregate deposits

6898.72

6925.36

6993.07

7030.38

7325.60

7397.55

7431.14

7636.68

7659.06

8080.86

7559.80

7694.84

7674.35

(i) Demand deposits

1236.93

1117.69

1112.72

1094.50

1145.72

1140.40

1160.90

1174.52

1123.25

1551.70

1295.68

1337.05

1441.99

(ii) Time Deposits

5661.80

5807.67

5880.34

5935.88

6179.88

6257.14

6270.25

6462.16

6535.81

6529.16

6264.12

6357.78

6232.36

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

407.85

413.17

444.21

451.32

477.15

485.04

499.53

512.65

501.00

526.02

807.86

750.32

879.60

(c) Other demand and time liabilities

562.83

581.79

614.19

583.90

579.37

595.26

581.78

591.80

573.17

635.99

629.50

624.25

702.24

III. Assets with the banking system

115.74

51.04

78.22

79.86

60.12

71.29

99.08

109.17

90.35

200.10

135.07

134.81

179.15

Money at call and short notice

22.61

8.96

15.10

23.63

10.54

12.29

14.34

19.42

8.33

35.84

6.75

17.14

28.03

IV. Cash in hand

71.50

78.07

85.06

82.35

89.82

93.20

90.05

108.68

99.19

99.59

92.05

86.54

89.63

V. Investment in India

2057.65

2091.87

2242.77

2249.86

2326.69

2400.30

2411.86

2429.91

2422.52

2455.11

2417.98

2484.80

2600.46

(a) Government securities

2057.27

2091.50

2242.40

2249.49

2326.32

2399.96

2411.54

2429.61

2422.22

2454.89

2417.86

2484.73

2600.46

(b) Other approved securities

0.38

0.37

0.37

0.37

0.37

0.35

0.32

0.30

0.30

0.23

0.12

0.07

0.01

VI Bank Credit

5457.89

5383.32

5385.75

5504.03

5577.28

5673.15

5746.97

5855.89

5904.18

6073.80

6107.02

6207.24

6513.62

(a) Loans cash credit and overdrafts

5282.16

5214.06

5214.65

5322.36

5396.54

5493.78

5586.78

5679.70

5726.99

5899.91

5920.78

6008.64

6295.73

(b) Inland bills purchased

6.91

7.38

7.11

8.00

8.70

7.71

7.12

6.84

7.04

4.71

4.21

4.21

4.42

(c) Inland bills discounted

145.69

133.37

137.01

146.84

142.31

140.39

119.80

135.87

138.20

128.83

142.79

156.85

177.14

(d) Foreign bills purchased

6.35

6.73

6.82

6.69

6.82

7.35

7.70

8.67

9.01

10.84

9.65

10.11

10.27

(e) Foreign bills discounted

16.76

21.78

20.15

20.15

22.91

23.91

25.57

24.81

22.93

29.51

29.58

27.43

26.05

Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2011-12 (Contd.)

(Amount in ` Billion)

Item

As on the last reporting friday of

Mar

Apr

May

Jun

Jul

Aug

Sep

Oct

Nov

Dec

Jan

Feb

Mar

2011

2011

2011

2011

2011

2011

2011

2011

2011

2011

2012

2012

2012

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

(11)

(12)

(13)

Foreign Banks

No. of Reporting Banks

34

34

36

36

36

36

38

38

38

38

38

39

41

I. Liabilities to the banking system

122.45

94.26

84.45

119.00

86.80

65.09

69.01

67.62

81.72

147.90

128.88

112.25

131.82

(a) Demand and time deposits from banks

25.26

27.64

27.54

25.09

14.34

14.07

18.09

16.29

19.34

16.72

22.93

22.48

35.22

(b) Borrowings from banks

91.68

63.00

53.64

89.62

69.45

47.83

48.61

48.01

59.97

126.17

100.84

84.98

93.13

(c) Other demand and time liabilities

5.51

3.62

3.27

4.29

3.01

3.19

2.31

3.32

2.40

5.01

5.11

4.79

3.48

II. Liabilities to others in India

2984.59

3027.41

3031.30

3003.76

3158.09

3336.83

3399.54

3452.11

3435.99

3297.19

3292.76

3313.30

3390.46

(a) Aggregate deposits

2425.78

2506.46

2445.12

2403.15

2508.16

2565.47

2607.28

2613.75

2671.02

2593.16

2629.43

2672.06

2661.82

(i) Demand deposits

810.43

879.99

833.79

781.49

809.31

814.87

833.40

787.75

811.72

784.79

826.65

855.97

851.71

(ii) Time Deposits

1615.35

1626.47

1611.33

1621.66

1698.85

1750.60

1773.88

1826.00

1859.30

1808.37

1802.78

1816.10

1810.11

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

261.60

215.02

255.34

283.70

321.70

380.76

442.62

437.94

422.83

318.35

312.46

312.52

338.06

(c) Other demand and time liabilities

297.22

305.94

330.84

316.91

328.23

390.60

349.65

400.42

342.14

385.68

350.87

328.72

390.58

III. Assets with the banking system

313.81

256.18

265.72

277.25

249.74

235.99

251.88

231.60

222.42

302.55

296.49

311.47

401.21

Money at call and short notice

13.28

19.62

16.19

12.11

15.88

13.07

12.85

20.07

16.92

17.27

19.16

13.01

12.09

IV. Cash in hand

7.88

8.01

8.66

8.75

7.27

6.86

6.76

7.65

7.65

6.78

7.02

6.44

5.91

V. Investment in India

1074.48

1089.00

1181.94

1233.14

1257.44

1294.59

1314.43

1289.17

1352.72

1235.68

1251.63

1294.34

1288.56

(a) Government securities

1074.45

1088.96

1181.90

1233.10

1257.39

1294.55

1314.40

1289.14

1352.69

1235.67

1251.61

1294.32

1288.54

(b) Other approved securities

0.03

0.03

0.03

0.03

0.04

0.04

0.03

0.03

0.03

0.02

0.02

0.02

0.02

VI Bank Credit

1978.97

1954.71

2016.37

2068.24

2072.00

2107.81

2210.52

2258.29

2247.84

2297.32

2240.65

2220.04

2321.16

(a) Loans cash credit and overdrafts

1750.84

1727.52

1773.81

1820.54

1832.20

1877.59

1958.75

1983.69

2001.89

2032.35

2043.29

2027.97

2088.96

(b) Inland bills purchased

7.57

6.98

6.45

6.35

4.80

7.64

10.16

11.57

12.73

12.80

11.68

9.92

9.40

(c) Inland bills discounted

71.14

70.10

89.21

103.07

106.57

106.88

105.45

105.32

105.50

104.83

74.47

73.30

72.46

(d) Foreign bills purchased

46.06

42.25

51.09

43.14

46.85

41.90

46.63

51.77

39.27

56.23

35.05

30.13

62.40

(e) Foreign bills discounted

103.36

107.86

95.81

95.14

81.57

73.81

89.54

105.95

88.44

91.12

76.16

78.72

87.93

Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2011-12 (Contd.)

(Amount in ` Billion)

Item

As on the last reporting friday of

Mar

Apr

May

Jun

Jul

Aug

Sep

Oct

Nov

Dec

Jan

Feb

Mar

2011

2011

2011

2011

2011

2011

2011

2011

2011

2011

2012

2012

2012

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

(11)

(12)

(13)

Regional Rural Banks

No. of Reporting Banks

82

82

82

82

82

82

82

82

82

82

82

82

82

I. Liabilities to the banking system

28.87

43.11

29.53

29.66

30.18

30.66

28.24

27.17

27.31

28.37

28.47

28.65

34.86

(a) Demand and time deposits from banks

8.62

19.69

7.94

8.85

6.72

7.57

6.70

5.86

6.32

6.55

6.88

6.34

7.51

(b) Borrowings from banks

20.07

23.17

21.58

20.78

23.39

23.00

21.27

20.90

20.98

21.81

21.47

22.05

27.33

(c) Other demand and time liabilities

0.18

0.25

0.01

0.04

0.06

0.10

0.27

0.41

0.01

0.01

0.12

0.25

0.02

II. Liabilities to others in India

1610.61

1629.07

1617.14

1622.86

1650.42

1663.73

1682.17

1694.71

1696.18

1741.83

1747.68

1758.76

1787.48

(a) Aggregate deposits

1567.02

1586.95

1574.92

1579.60

1608.58

1617.56

1635.83

1646.08

1646.34

1691.99

1697.61

1707.72

1733.93

(i) Demand deposits

336.63

341.02

334.61

331.83

328.10

327.17

328.14

326.09

319.24

331.43

325.34

339.08

344.79

(ii) Time Deposits

1230.39

1245.93

1240.31

1247.78

1280.48

1290.38

1307.69

1319.99

1327.10

1360.56

1372.27

1368.64

1389.14

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

0.08

0.04

0.05

0.06

0.18

0.28

0.61

0.92

1.66

1.02

0.66

0.13

1.60

(c) Other demand and time liabilities

43.52

42.07

42.17

43.19

41.66

45.89

45.72

47.71

48.18

48.82

49.41

50.92

51.95

III. Assets with the banking system

415.24

424.26

411.93

412.99

415.31

401.11

397.06

398.24

393.31

419.54

413.82

403.56

468.84

Money at call and short notice

39.82

42.49

41.74

42.19

39.51

38.13

33.46

40.50

39.46

41.70

43.38

44.69

47.38

IV. Cash in hand

16.71

16.14

16.69

16.87

16.23

16.00

16.14

14.98

16.11

17.24

15.25

16.19

18.20

V. Investment in India

454.93

456.93

462.34

462.08

464.45

468.28

471.50

473.07

471.81

475.62

481.69

483.40

487.59

(a) Government securities

442.62

446.01

448.15

447.79

450.78

455.15

457.88

459.31

458.75

461.82

467.77

470.32

471.79

(b) Other approved securities

12.31

10.92

14.18

14.29

13.67

13.13

13.62

13.76

13.07

13.80

13.92

13.09

15.80

VI. Bank Credit

946.25

948.15

947.05

956.41

984.09

1000.65

1025.66

1053.71

1051.50

1076.18

1083.30

1095.56

1111.29

(a) Loans cash credit and overdrafts

945.45

947.61

946.48

956.13

983.72

1000.35

1025.39

1053.37

1051.14

1075.62

1082.48

1095.05

1110.82

(b) Inland bills purchased

0.71

0.45

0.48

0.20

0.32

0.20

0.18

0.20

0.21

0.38

0.33

0.34

0.31

(c) Inland bills discounted

0.09

0.10

0.09

0.08

0.06

0.10

0.09

0.14

0.15

0.18

0.49

0.16

0.16

(d) Foreign bills purchased

-

-

-

-

-

-

-

-

-

-

-

-

-

(e) Foreign bills discounted

-

-

-

-

-

-

-

-

-

-

-

-

-

Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2011-12 (Contd.)

(Amount in ` Billion)

Item

As on the last reporting friday of

Mar

Apr

May

Jun

Jul

Aug

Sep

Oct

Nov

Dec

Jan

Feb

Mar

2011

2011

2011

2011

2011

2011

2011

2011

2011

2011

2012

2012

2012

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

(11)

(12)

(13)

Scheduled State Co-operative Banks

No. of Reporting Banks

16

16

16

16

16

16

16

16

16

16

16

16

16

I. Liabilities to the banking system

0.01

-

-

0.19

0.56

0.52

1.68

2.76

-

-

-

-

-

(a) Demand and time deposits from banks

-

-

-

-

-

-

-

-

-

-

-

-

-

(b) Borrowings from banks

0.01

-

-

0.19

0.56

0.52

1.68

2.76

-

-

-

-

-

(c) Other demand and time liabilities

-

-

-

-

-

-

-

-

-

-

-

-

-

II. Liabilities to others in India

633.79

644.83

619.14

615.10

619.22

619.35

621.71

629.74

630.57

640.91

655.73

660.80

677.60

(a) Aggregate deposits

593.85

613.90

588.18

581.31

585.42

585.99

593.74

599.14

602.64

613.97

624.93

631.11

640.22

(i) Demand deposits

45.08

42.53

41.82

42.01

41.58

40.92

38.94

38.60

39.97

42.60

41.94

44.45

44.68

(ii) Time Deposits

548.77

571.37

546.36

539.30

543.84

545.07

554.80

560.55

562.66

571.38

582.99

586.66

595.54

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

8.52

3.66

7.21

10.16

8.68

7.31

2.75

2.87

2.82

2.06

5.22

4.24

9.76

(c) Other demand and time liabilities

31.42

27.27

23.75

23.63

25.12

26.05

25.21

27.72

25.11

24.88

25.58

25.45

27.63

III. Assets with the banking system

146.11

166.05

142.75

140.27

140.65

151.78

150.49

166.61

160.69

159.14

173.91

180.33

176.70

Money at call and short notice

98.66

120.15

110.68

110.69

109.97

112.32

107.36

110.64

104.39

103.62

120.12

126.40

117.72

IV. Cash in hand

0.93

0.83

0.98

0.99

1.17

0.96

1.14

1.09

1.10

1.04

0.99

1.04

0.96

V. Investment in India

213.29

222.21

223.34

220.23

220.49

215.51

215.66

208.43

208.57

207.98

208.33

208.75

209.41

(a) Government securities

203.65

212.73

213.86

210.75

211.00

206.15

206.38

207.64

207.78

207.24

207.82

208.45

209.17

(b) Other approved securities

9.63

9.48

9.48

9.48

9.48

9.35

9.28

0.79

0.79

0.75

0.51

0.30

0.24

VI. Bank Credit

586.98

586.28

602.56

594.22

610.87

621.52

632.48

643.30

641.07

648.48

664.60

685.24

694.16

(a) Loans cash credit and overdrafts

586.87

586.11

602.43

594.16

610.83

621.38

632.41

643.20

640.95

648.32

664.45

685.11

694.05

(b) Inland bills purchased

0.09

0.14

0.10

0.06

0.04

0.05

0.03

0.03

0.02

0.04

0.04

0.03

0.03

(c) Inland bills discounted

-

-

-

-

-

-

-

-

-

-

-

-

-

(d) Foreign bills purchased

0.01

0.02

0.02

-

-

0.09

0.04

0.07

0.10

0.12

0.11

0.10

0.08

(e) Foreign bills discounted

-

-

-

-

-

-

-

-

-

-

-

-

-

Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2011-12 (Contd.)

(Amount in ` Billion)

Item

As on the last reporting friday of

Mar

Apr

May

Jun

Jul

Aug

Sep

Oct

Nov

Dec

Jan

Feb

Mar

2011

2011

2011

2011

2011

2011

2011

2011

2011

2011

2012

2012

2012

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

(11)

(12)

(13)

Scheduled Urban Co-operative Banks

No. of Reporting Banks

53

53

53

53

53

53

53

53

53

52

52

52

52

I. Liabilities to the banking system

28.39

30.07

28.00

29.21

29.97

30.12

31.60

31.92

30.81

31.20

31.06

33.78

32.89

(a) Demand and time deposits from banks

27.90

28.76

27.59

27.63

28.19

28.27

28.85

28.78

28.66

29.25

29.67

30.40

31.95

(b) Borrowings from banks

0.45

1.26

0.36

1.53

1.72

1.78

2.70

3.09

2.12

1.91

1.34

3.34

0.87

(c) Other demand and time liabilities

0.04

0.06

0.04

0.06

0.05

0.07

0.05

0.06

0.03

0.04

0.06

0.04

0.07

II. Liabilities to others in India

918.67

939.37

947.77

962.55

987.20

995.92

1006.19

1019.10

1026.76

1044.19

1058.30

1076.43

1088.95

(a) Aggregate deposits

878.06

896.62

905.74

919.72

946.51

953.85

961.75

977.42

985.31

1001.15

1015.39

1032.84

1046.89

(i) Demand deposits

103.38

103.08

101.83

102.66

105.37

104.23

102.47

103.86

102.91

101.31

100.73

102.74

103.68

(ii) Time Deposits

774.68

793.54

803.91

817.06

841.14

849.62

859.28

873.56

882.40

899.84

914.66

930.10

943.21

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

10.95

12.21

11.99

8.18

9.02

9.67

9.43

10.65

10.32

10.85

11.25

11.27

8.99

(c) Other demand and time liabilities

29.67

30.54

30.04

34.64

31.67

32.41

35.01

31.03

31.13

32.19

31.66

32.32

33.07

III. Assets with the banking system

68.88

69.23

69.34

76.00

76.20

79.15

74.84

70.07

73.52

71.69

71.62

80.60

84.30

Money at call and short notice

4.65

4.45

3.60

3.04

4.93

6.17

5.35

4.36

4.61

2.59

5.02

6.86

6.39

IV. Cash in hand

6.71

6.77

7.78

7.52

7.95

7.87

7.99

11.05

8.64

8.01

8.20

8.52

7.44

V. Investment in India

279.62

280.65

284.44

288.50

298.65

302.63

304.79

305.95

313.43

315.65

270.89

323.02

325.59

(a) Government securities

277.03

278.06

279.70

285.91

296.06

300.01

302.24

297.05

310.76

313.32

268.74

320.78

323.35

(b) Other approved securities

2.59

2.59

4.74

2.59

2.58

2.62

2.55

8.90

2.68

2.32

2.15

2.24

2.24

VI. Bank Credit

600.62

611.45

618.54

623.66

631.71

640.20

651.22

666.27

672.87

690.13

700.98

710.48

725.14

(a) Loans cash credit and overdrafts

580.76

592.99

598.75

603.36

610..94

619.70

630.73

646.17

653.85

671.36

681.78

692.49

706.60

(b) Inland bills purchased

5.13

4.37

4.70

4.94

5.73

4.79

4.51

4.21

4.17

4.35

4.62

4.79

4.87

(c) Inland bills discounted

11.49

10.97

11.80

12.21

12.17

12.88

13.06

12.88

11.98

11.42

10.90

9.34

9.86

(d) Foreign bills purchased

0.42

0.49

0.32

0.26

0.20

0.20

0.22

0.21

0.18

0.20

0.83

1.16

0.94

(e) Foreign bills discounted

2.82

2.63

2.97

2.89

2.68

2.63

2.70

2.80

2.69

2.79

2.86

2.71

2.87

Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI.

RbiTtsCommonUtility

प्ले हो रहा है
ಕೇಳಿ

Related Assets

RBI-Install-RBI-Content-Global

RbiSocialMediaUtility

ಭಾರತೀಯ ರಿಸರ್ವ್ ಬ್ಯಾಂಕ್ ಮೊಬೈಲ್ ಅಪ್ಲಿಕೇಶನ್ ಅನ್ನು ಇನ್ಸ್ಟಾಲ್ ಮಾಡಿ ಮತ್ತು ಇತ್ತೀಚಿನ ಸುದ್ದಿಗಳಿಗೆ ತ್ವರಿತ ಅಕ್ಸೆಸ್ ಪಡೆಯಿರಿ!

Scan Your QR code to Install our app

RbiWasItHelpfulUtility

ಈ ಪುಟವು ಸಹಾಯಕವಾಗಿತ್ತೇ?