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12 ಮಾರ್ಚ್ 2005

1. Reserve Bank of India - Liabilities and Assets
(Rs.crore) 2004 2005 Variation Item Mar. 5 Feb. 25 Mar. 4# Week Year 1 2 3 4 5 6 Notes issued 3,18,692 3,51,562 3,55,626 4,064 36,934 Notes in circulation 3,18,671 3,51,548 3,55,615 4,067 36,944 Notes held in Banking Department 21 15 12 –3 –9 Deposits Central Government 100 100 100 — — Market Stabilisation Scheme — 60,835 63,263 2,428 63,263 State Governments 41 41 41 — — Scheduled Commercial Banks 76,454 95,176 89,713 –5,463 13,259 Scheduled State Co-operative Banks
2. Foreign Exchange Reserves
Variation over Item As on Mar. 4, 2005 Week End-March2004 End-December 2004 Year Rs.Crore US$ Mn. Rs.Crore US$ Mn. Rs.Crore US$ Mn. Rs.Crore US$ Mn. Rs.Crore US$ Mn. 1 2 3 4 5 6 7 8 9 10 11 Total Reserves 6,01,239 1,37,559 8,549 1,901 1,11,110 24,600 29,561 6,381 1,00,902 27,130 (a) Foreign Currency Assets 5,75,929 1,31,761 8,640 1,917* 1,09,714 24,313 30,463 6,597 1,00,445 26,821 (b) Gold 19,096 4,376 –85 –14 880 178 –873 –206 130 186 (c) SDRs 20 5 — — 10 3 –2 — 10 3
3. Scheduled Commercial Banks - Business in India
(Rs. crore) Outstanding Variation over as on Financial year so far Year-on-year Item 2005 Month Feb. 25# 2003-2004 2004-2005 2004 2005 1 2 3 4 5 6 7 Liabilities to the Banking System Demand and time deposits from Banks 35,551 –57 –3,468 –1,282 –829 –1,435 Borrowings from Banks (1) 25,059 –3,410 –6,106 10,032 –5,919 11,526 Other demand and time liabilities(2) 3,044 363 –3 417 97 793 Liabilities to Others Aggregate deposits@ 16,93,862 23,586 1,99,799 1,89,446 2,02,217 2
4. Cash Reserve Ratio and Interest Rates
(per cent per annum) 2004 2005 Item / week ended Feb. 27 Jan. 21 Jan. 28 Feb. 4 Feb. 11 Feb. 18 Feb. 25 1 2 3 4 5 6 7 8 Cash Reserve Ratio (per cent)(1) 4.50 5.00 5.00 5.00 5.00 5.00 5.00 Bank Rate 6.00 6.00 6.00 6.00 6.00 6.00 6.00 I.D.B.I.(2) 10.25 10.25 10.25 10.25 10.25 10.25 10.25 Prime Lending Rate(3) 10.25-11.00 10.25-10.75 10.25-10.75 10.25-10.75 10.25-10.75 10.25-10.75 10.25-10.75 Deposit Rate(4) 5.00-5.50 5.25-6.25 5.25-6.25 5.25-6.25 5.25-6.25 5.25-6.25 5.2
5. Accommodation Provided by Scheduled Commercial Banks to Commercial Sector in the form of Bank Credit and Investments in Shares/Debentures/Bonds/Commercial Paper etc.
(Rs. crore) 2004 - 2005 2003 - 2004 Outstanding Variations Outstanding Variations as on (3) - (2) as on (6) - (5) 2004 2005 2003 2004 Item Mar. 19 Feb. 18 Mar. 21 Feb. 20 1 2 3 4 5 6 7 1. Bank Credit 8,40,785 10,56,210 2,15,425 7,29,215 8,12,462 83,247 (25.6) (11.4) A. Food Credit 35,961 41,482 5,521 49,479 35,268 –14,211 B. Non-Food Credit 8,04,824 10,14,728 2,09,904 6,79,736 7,77,195 97,458 (26.1) (14.3) [9,82,045] [1,77,221] [22.0] 2. Investments 88,985 87,876 @ –1
6. Foreign Exchange Rates - Spot and Forward Premia
Foreign 2004 2005 2004 2005 Currency Mar. 5 Feb. 28 Mar. 1 Mar. 2 Mar. 3 Mar. 4 Mar. 5 Feb. 28 Mar. 1 Mar. 2 Mar. 3 Mar. 4 1 2 3 4 5 6 7 8 9 10 11 12 13 14 RBI's Reference Rate (Rs. per Foreign Currency) Foreign Currency per Rs. 100@ U.S. Dollar 45.3100 43.6400 43.7200 43.7000 43.6500 43.7100 (Based on Middle Rates) Euro 55.3200 57.9400 57.7200 57.5400 57.3300 57.2900 FEDAI Indicative Rates (Rs. per Foreign Currency) U.S. { Buying 45.2900 43.6350 43.7200 43.7000 43.65
8. Reserve Money : Components and Sources
(Rs. crore) Outstanding as on Variation over Financial year so far Year-on-year 2004 2005 Week 2003-2004 2004-2005 2004 2005 Item Mar. 31 Mar. 4# Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 13 Reserve Money 4,36,512 4,64,006 –2,545 –0.5 42,625 11.5 27,494 6.3 51,794 14.4 52,320 12.7 Components (i+ii+iii) (i) Currency in circulation 3,27,028 3,62,989 4,067 1.1 43,490 15.4 35,961 11.0 42,480 15.0 37,027 11.4 (ii) Bankers' deposits with RBI 1,
9. Repo/Reverse Repo Auctions under Liquidity Adjustment Facility
(Rs. crore) Repo REPO (INJECTION) REVERSE REPO (ABSORPTION) Net injection(+)Outstanding LAF period Bids Received Bids Accepted Cut-Off Bids Received Bids Accepted Cut-Off absorption(-) ofAmount @ Date (Day(s)) Number Amount Number Amount Rate(%) Number Amount Number Amount Rate(%) liquidity (11-6) 1 2 3 4 5 6 7 8 9 10 11 12 13 14 Feb. 28, 2005 1 — — — — — 40 30,930 40 30,930 4.75 –30,930 30,930 Mar. 1,2005 1 — — — — — 50 40,600 50 40,600 4.75 –40,600 40,600 Mar. 2,200
10. Auctions of 91-Day Government of India Treasury Bills
(Rs. crore) Date of Date of Notified Bids Received Bids Accepted Devolvement on Total Weigh- Implicit Amount Auction Issue Amount Number Total Face Value Number Total Face Value PDs/SDs* RBI Issue ted Yieldat Outstanding Com- Non- Com- Non- (8+9+ Average Cut-off as on the petitive Com- petitive Com- 10+11) Price Price Date of Issue petitive petitive (per cent) (Face Value) 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 2004-2005 Jun. 30 Jul. 2 2,000 50 4,023 — 38 2,000 — — — 2,0
11. Auctions of 364-Day Government of India Treasury Bills
(Rs. crore) Date of Date of Notified Bids Received Bids Accepted Devolvement on Total Weigh- Implicit Amount Auction Issue Amount Number Total Face Value Number Total Face Value PDs/SDs* RBI Issue ted Yieldat Outstanding Com- Non- Com- Non- (8+9+ Average Cut-off as on the petitive Com- petitive Com- 10+11) Price Price Date of Issue petitive$ petitive$ (per cent) (Face Value) 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 2004-2005 Jul. 7 Jul. 9 2,000 64 4,485 29 29 2,000 29 — —
12. Cumulative Cash Balances of Scheduled Commercial Banks excluding Regional Rural Banks) with Rese
Fortnight Date Ended 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 Feb. 5 Feb. 6 Feb. 7 Feb. 8 Feb. 9 Feb. 10 Feb. 11 Feb. 12 Feb. 13 Feb. 14 Feb. 15 Feb. 16 Feb. 17 Feb. 18 Feb. 18, 2005 92,011 1,84,022 2,79,820 3,68,257 4,56,940 5,49,077 6,42,815 7,38,482 8,34,149 9,25,656 10,17,114 11,08,677 12,03,601 12,92,630 Feb. 19 Feb. 20 Feb. 21 Feb. 22 Feb. 23 Feb. 24 Feb. 25 Feb. 26 Feb. 27 Feb. 28 Mar. 1 Mar. 2 Mar. 3 Mar. 4 Mar. 4, 2005 92,198 1,84,397 2,88,967 3,88,451 4,83,707 5,
15. Index Numbers of Wholesale Prices (Base : 1993 - 94 = 100)
2004 2005 Percentage Variation over Weight Feb. 21 Dec. 25* Feb. 19# Week Month End Year Items / Week ended March 1 2 3 4 5 6 7 8 9 ALL COMMODITIES 100.00 180.1 188.5 188.8 — 0.2 4.7 4.8 Primary Articles 22.02 183.1 186.0 185.8 0.2 0.6 2.6 1.5 (i) Fruits and Vegetables 2.92 183.0 191.2 197.3 0.6 4.0 14.0 7.8 Fuel, Power, Light and Lubricants 14.23 261.7 288.1 288.9 — 0.3 9.9 10.4 Manufactured Products 63.75 160.8 167.1 167.5 –0.1 0.1 3.7 4.2 (i) Sugar, Khandsari and G
17. Average Daily Turnover in Call Money Market
(Rs. crore) WeekEnded Jan. 21, 2005 Jan. 28, 2005 Feb. 4, 2005 Feb. 11, 2005 Feb. 18, 2005 Feb. 25, 2005 Mar. 4, 2005 1 2 3 4 5 6 7 8 1. Banks (a) Borrowings 4,684 6,988 6,264 6,492 5,943 5,488 3,168 (b) Lendings 5,189 7,356 6,596 7,455 6,483 5,880 3,817 2. Primary Dealers (a) Borrowings 1,613 1,917 1,827 2,331 1,881 1,930 1,825 (b) Lendings 21 6 35 2 1 2 8 3. Non-Bank Institutions (a) Lendings 1,098 1,541 1,445 1,366 1,340 1,536 1,167 4. Total (a) Borrowings 6,297 8,
18. Turnover in Government Securities Market (Face Value)
(Rs. crore) WeekEnded Items Jan. 28, 2005 Feb. 4, 2005 Feb. 11, 2005 Feb. 18, 2005 Feb. 25, 2005 Mar. 4, 2005 1 2 3 4 5 6 7 I. Outright Transactions (a) Govt. of India Dated Securities 9,742 19,612 42,892 36,131 26,822 28,530 (b) State Government Securities 377 692 552 683 407 386 (c) 91 – Day Treasury Bills 6,301 5,808 5,340 3,819 6,729 7,240 (d) 364 – Day Treasury Bills 7,110 10,986 5,162 9,246 7,825 11,274 II. RBI* 13 11 — 13 24 355 @ :Excluding Repo Transactions.
22. Government of India : Long and Medium Term Borrowings - 2003-2004
(Face Value in Rs. crore) Gross Amount Raised Net Amount Raised 2004-2005 2003-2004 2003-2004 2004-2005 2003-2004 2003-2004 (Upto (Upto (Upto (Upto Mar. 4, 2005) Mar. 5, 2004) Mar. 4, 2005) Mar. 5, 2004) 1 2 3 4 5 6 7 1. Total 1,05,350$ 1,35,934 1,35,934 71,034 $ 1,04,032 88,807 of which : 1.1 Devolvement/Private Placement on RBI 1,197 21,500 21,500 2. RBI's OMO Sales 2,848 41,835 41,849 Purchases — — — $ : Includes Rs.25,000 crore under Market Stabilisation Scheme.
23. Secondary Market Transactions in Government Securities (Face Value)
(Amount in Rs. crore) For the Week Ended Feb. 25, 2005 For the Week Ended Mar. 4, 2005 Item Amount YTM (%PA) Indicative** Amount YTM (%PA) Indicative** Minimum Maximum Minimum Maximum 1 2 3 4 5 6 7 I. OutrightTransactions 1. Govt. of India Dated Securities Maturing in the year 2004-05 — — — — — — 2005-06 123 5.1893 5.5572 65 5.4153 5.4835 2006-07 1,177 5.6846 5.7822 95 5.7422 5.8001 2007-08 594 5.8436 5.9757 156 5.8549 6.0102 2008-09 697 6.1290 6.6048 1,035 6.1262 6.7

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ಪೇಜ್ ಕೊನೆಯದಾಗಿ ಅಪ್ಡೇಟ್ ಆದ ದಿನಾಂಕ: ಜುಲೈ 19, 2024