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3. Scheduled Commercial Banks - Business in India
82530268

3. Scheduled Commercial Banks - Business in India

(Rs. crore)


     

Outstanding

Variation over


     

as on

             

Item

   

2000

   

Financial year so far

Year-on-year


     

May 26#

Month

 

1999-2000

2000-2001

1999

2000


1

   

2

3

 

4

 

5

6

7


                     

Liabilities to the Banking System

                 

Demand and time deposits from Banks

37,682

-1,388

 

-279

 

1,252

8,283

5,550

Borrowings from Banks(1)

   

16,127

-587

 

1,234

 

-85

5,658

2,821

Other demand and time liabilities(2)

 

1,297

380

 

639

 

451

832

-65

Liabilities to Others

                   

Aggregate deposits

   

8,41,114 @

5,319

 

8,334

31,049

1,13,189

1,18,756

       

(0.6)

 

(1.2)

 

(3.8)

(18.6)

(16.4)

           

[1.2]

 

[3.9]

[15.6]

[16.9]

Demand

   

1,28,760

-1,728

 

-9,293

 

2,484

12,055

20,629

Time

   

7,12,354 @

7,046

 

17,626*

28,566*

1,01,134 *

98,126*

Borrowings(3)

   

5,551

1,766

 

2,708

 

2,593

75

1,702

Other demand and time liabilities

 

75,609

-1,254

 

1,370*

-2,809*

11,309*

14,166 *

Borrowings from Reserve Bank

 

10,628

3,080

 

5,521

 

4,137

8,107

2,212

                     

Cash in hand and Balances with Reserve Bank

69,837

2,053

 

8,392

 

7,737

12,250

-6,464

Cash in hand

   

5,415

236

 

176

 

734

362

877

Balances with Reserve Bank

   

64,422

1,818

 

8,216

 

7,003

11,888

-7,341

                     

Assets with the Banking System

                 

Balance with other Banks(4)

   

17,030

-49

 

-213

 

1,288

2,318

4,155

Money at call and short notice

 

21,863

-1,828

 

-210

 

-70

8,923

3,900

Advances to Banks

   

2,514

374

 

-624

-1,009

520

1,034

Other assets

   

1,565

-87

 

-98

 

-477

126

242

Investments(5)

   

3,29,614

9,473

 

16,902

20,693

37,197

58,117

       

(3.0)

 

(6.6)

 

(6.7)

(15.9)

(21.4)

Government securities

   

2,98,524

9,421

 

16,256

20,695

37,099

59,051

Other approved securities

   

31,090

52

 

646

 

-2

97

-934

                     

Bank Credit

   

4,42,956

-3,540

 

-2,012

 

8,774

46,118

76,130

       

(-0.8)

 

(-0.5)

 

(2.0)

(14.4)

(20.8)

Food Credit

   

30,843

3,053

 

5,897

 

5,152

6,667

8,130

Non-food credit

   

4,12,113

-6,593

 

-7,909

 

3,623

39,451

68,001

                     

Loans, cash-credit and overdrafts

 

4,04,714

-2,681

 

-306

 

5,640

45,339

67,545

Inland bills- purchased

   

4,935

-513

 

-695

 

50

-148

737

discounted(6)

   

15,012

-198

 

-464

 

2,118

146

4,735

Foreign bills-purchased

   

8,396

-1,016

 

-531

 

-429

149

675

discounted

   

9,900

866

 

-15

 

1,395

632

2,439

Cash-Deposit Ratio

   

8.30

             

Investment-Deposit Ratio

   

39.19

             

Credit-Deposit Ratio

   

52.66

             

@ : Includes Rs. 17,945 crore on account of proceeds from Resurgent India Bonds (RIBs), since August 28, 1998. Figures in italics are percentage variations net of RIBs.

(1) Excluding borrowings of Regional Rural Banks from their sponsor banks.
(2) Wherever it has not been possible to identify a liability to the banking system, it has been included in the corresponding items under 'liabilites to others'.
(3) Other than from Reserve Bank of India, IDBI, NABARD and EXIM Bank.
(4) In current account and in other account.
(5) Investments set out in this Table are for the purpose of SLR and do not include other investments which are given separately in Table No. 5.
(6) Excludes bills rediscounted with the Reserve Bank of India.

Figures in brackets denote percentage variation in the relevant period.

* : Revised in line with the new accounting standards and consistent with the methodology suggested by the Working Group on Money Supply: Analytics and Methodology of Compilation (June 1998). The revision is in respect of pension and provident funds with commercial banks which are classified as other demand and time liabilities and includes those banks which have reported such changes so far.

Note : Based on Special Returns submitted by the banks as required when the last Friday of the month is not an alternate Friday for reporting purposes.

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