RbiSearchHeader

Press escape key to go back

Past Searches

Theme
Theme
Text Size
Text Size
S3

RbiAnnouncementWeb

RBI Announcements
RBI Announcements

Asset Publisher

83562197

2.1 : Business Of Scheduled Banks In India: 2003-04

 

(Amount in Rs. crore)

     As on the last reporting Friday of

Items

March 

April 

May 

June 

July 

August 

September 

2003

2003

2003

2003

2003

2003

2003

(1)

(2)

(3)

(4)

(5)

(6)

(7)

 All Scheduled Commercial Banks

      No. of reporting banks

288

289

289

289

289

289

288

I. Liabilities to the banking system

62346

60169

62469

60288

59735

57839

60512

(a) Demand and time deposits from banks

40454

39786

40346

39906

38142

37870

38976

(b) Borrowings from banks

19638

17743

17561

17954

19120

17510

18883

(c) Other demand and  time liabilities

2254

2640

4562

2428

2473

2459

2653

     

II. Liabilities to others in India

1423297

1464441

1479996

1490255

1492291

1509458

1525509

(a) Aggregate deposits

1280853

1320555

1331282

1344475

1350985

1362869

1375658

     (i) Demand deposits

170289

178631

176458

181655

173431

173291

175705

     (ii) Time deposits

1110564

1141924

1154824

1162820

1177554

1189578

1199953

(b) Borrowings (other than from RBI,

12638

14810

15893

15164

15975

17096

17417

      IDBI, NABARD, EXIM Bank)

(c) Other demand and  time liabilities

129806

129076

132821

130616

125331

129493

132434

III. Assets with the  banking system

59019

52006

55824

51765

53687

55428

60328

of which:

  Money at call and short notice

32135

25053

29332

26609

28113

29252

31213

      

IV. Cash in hand and balances with RBI

65902

84535

88883

85972

82164

78311

71700

V. Investments in India

547546

561979

576089

583065

607061

618725

627992

(a) Government  securities

523417

537498

551948

558950

582726

594623

604283

(b) Other approved  securities

24129

24481

24141

24115

24335

24102

23709

     

VI. Bank credit

729214

729984

730368

732893

726653

726658

735477

(a) Loans, cash credit and overdrafts

682072

682968

686198

689011

682731

683511

692046

(b) Inland bills purchased

5584

5859

5140

4979

5042

4858

5934

(c) Inland bills discounted

20184

21245

19410

18974

19425

19056

17744

(d) Foreign bills purchased

9750

9557

9385

9167

8809

8664

8724

(e) Foreign bills discounted

11624

10355

10235

10762

10646

10569

11029

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

 

   TABLE 2.1 : BUSINESS OF SCHEDULED BANKS  IN INDIA: 2003-04 

(Amount in Rs. crore)

     As on the last reporting Friday of

Items

October 

November 

December 

January 

February 

March 

2003

2003

2003

2004

2004

2004

(8)

(9)

(10)

(11)

(12)

(13)

 All Scheduled Commercial Banks

      No. of reporting banks

288

288

287

287

286

286

I. Liabilities to the banking system

54102

52012

52081

51935

52573

54487

(a) Demand and time deposits from banks

35035

35187

35781

36193

37091

36834

(b) Borrowings from banks

16634

14203

13924

13513

13090

15026

(c) Other demand and  time liabilities

2433

2622

2376

2229

2392

2627

     

II. Liabilities to others in India

1555214

1563749

1578987

1599972

1633277

1677170

(a) Aggregate deposits

1396060

1405818

1421896

1441601

1470836

1504416

     (i) Demand deposits

191075

186359

194201

190058

202286

225022

     (ii) Time deposits

1204985

1219459

1227695

1251543

1268550

1279394

(b) Borrowings (other than from RBI,

21065

22272

22239

22744

23235

24670

      IDBI, NABARD, EXIM Bank)

(c) Other demand and  time liabilities

138089

135659

134852

135627

139206

148084

III. Assets with the  banking system

49554

44441

47210

46773

44810

48179

of which:

  Money at call and short notice

22226

17574

19603

18614

15740

18058

      

IV. Cash in hand and balances with RBI

79282

82291

78094

86004

78919

76895

V. Investments in India

631576

645229

646383

651669

675027

677588

(a) Government  securities

608142

621843

622625

628443

651798

654758

(b) Other approved  securities

23434

23386

23758

23226

23229

22830

     

VI. Bank credit

762303

769212

783357

796995

812463

840785

(a) Loans, cash credit and overdrafts

716462

722256

736035

748853

762835

789240

(b) Inland bills purchased

7000

6474

6330

6363

6878

6969

(c) Inland bills discounted

18941

19556

19929

20483

20307

21730

(d) Foreign bills purchased

8509

9073

9097

9351

9567

10113

(e) Foreign bills discounted

11391

11853

11966

11945

12876

12733

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

 

TABLE 2.1 : BUSINESS OF SCHEDULED BANKS  IN INDIA: 2003-04 (Contd.)

(Amount in Rs. crore)

     As on the last reporting Friday of

Items

March 

April 

May 

June 

July 

August 

September 

2003

2003

2003

2003

2003

2003

2003

(1)

(2)

(3)

(4)

(5)

(6)

(7)

All Scheduled Co-operative Banks

      No. of reporting banks

72

73

73

73

73

71

71

I. Liabilities to the banking system

2031

1459

1385

1365

1363

1461

1428

(a) Demand and time deposits from banks

1730

1328

1296

1282

1273

1296

1336

(b) Borrowings from banks

103

116

74

65

74

152

77

(c) Other demand and  time liabilities

198

15

15

18

16

13

15

     

II. Liabilities to others in India

66392

68632

68557

68985

69562

68293

68208

(a) Aggregate deposits

64025

66217

66171

66581

67190

66165

66113

     (i) Demand deposits

6282

6624

6616

6741

6698

6573

6342

     (ii) Time deposits

57743

59593

59555

59840

60492

59592

59771

(b) Borrowings (other than from RBI,

16

16

26

16

25

41

50

      IDBI, NABARD, EXIM Bank)

(c) Other demand and  time liabilities

2351

2399

2360

2388

2347

2087

2045

III. Assets with the  banking system

8072

8403

8201

7966

8249

6846

6446

of which:

  Money at call and short notice

3739

3885

3468

3458

3716

3133

2710

      

IV. Cash in hand and balances with RBI

3555

3573

3806

3551

3739

3568

3532

V. Investments in India

21385

22908

23397

24238

24519

25337

26215

(a) Government  securities

19196

20730

21252

22121

22402

23241

24204

(b) Other approved  securities

2189

2178

2145

2117

2117

2096

2011

     

VI. Bank credit

55242

56323

55072

55296

54670

53907

54454

(a) Loans, cash credit and overdrafts

53900

54889

53752

53989

53359

52627

53196

(b) Inland bills purchased

492

493

456

456

476

742

726

(c) Inland bills discounted

529

618

557

523

517

500

504

(d) Foreign bills purchased

33

38

36

48

36

38

28

(e) Foreign bills discounted

287

285

271

280

282

0

0

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

 

TABLE 2.1 : BUSINESS OF SCHEDULED BANKS  IN INDIA: 2003-04 (Contd.)

(Amount in Rs. crore)

     As on the last reporting Friday of

Items

October 

November 

December 

January 

February 

March 

2003

2003

2003

2004

2004

2004

(8)

(9)

(10)

(11)

(12)

(13)

All Scheduled Co-operative Banks

      No. of reporting banks

71

71

71

71

71

71

I. Liabilities to the banking system

1440

1400

1484

1384

1564

1375

(a) Demand and time deposits from banks

1295

1288

1279

1288

1299

1302

(b) Borrowings from banks

129

100

192

83

253

62

(c) Other demand and  time liabilities

16

12

13

13

12

11

     

II. Liabilities to others in India

68856

69105

69349

70172

70281

71195

(a) Aggregate deposits

66583

66855

67140

67873

68065

68925

     (i) Demand deposits

6682

6652

6652

6661

6820

6898

     (ii) Time deposits

59901

60203

60488

61212

61245

62027

(b) Borrowings (other than from RBI,

40

27

27

140

47

91

      IDBI, NABARD, EXIM Bank)

(c) Other demand and  time liabilities

2233

2223

2182

2159

2169

2179

III. Assets with the  banking system

6270

6084

15496

6270

6477

6585

of which:

  Money at call and short notice

2754

2549

11940

2871

2785

2725

      

IV. Cash in hand and balances with RBI

3647

3432

3881

3662

3777

3814

V. Investments in India

26734

27611

27685

28284

28327

28403

(a) Government  securities

24777

25692

25767

26461

26557

26662

(b) Other approved  securities

1957

1919

1918

1823

1770

1741

     

VI. Bank credit

54993

54589

54822

54751

54804

55428

(a) Loans, cash credit and overdrafts

53713

53297

53506

53380

53399

53900

(b) Inland bills purchased

749

780

796

826

844

943

(c) Inland bills discounted

498

483

485

509

527

548

(d) Foreign bills purchased

32

28

34

35

34

29

(e) Foreign bills discounted

1

1

1

1

0

8

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

 

TABLE 2.1 : BUSINESS OF SCHEDULED BANKS  IN INDIA: 2003-04 (Concld.)

(Amount in Rs. crore)

     As on the last reporting Friday of

Items

March 

April 

May 

June 

July 

August 

September 

2003

2003

2003

2003

2003

2003

2003

(1)

(2)

(3)

(4)

(5)

(6)

(7)

All Scheduled Banks

      No. of reporting banks

360

362

362

362

362

360

359

I. Liabilities to the banking system

64377

61628

63854

61653

61098

59300

61940

(a) Demand and time deposits from banks

42184

41114

41642

41188

39415

39166

40312

(b) Borrowings from banks

19741

17859

17635

18019

19194

17662

18960

(c) Other demand and  time liabilities

2452

2655

4577

2446

2489

2472

2668

     

II. Liabilities to others in India

1489689

1533073

1548553

1559240

1561853

1577751

1593717

(a) Aggregate deposits

1344878

1386772

1397453

1411056

1418175

1429034

1441771

     (i) Demand deposits

176571

185255

183074

188396

180129

179864

182047

     (ii) Time deposits

1168307

1201517

1214379

1222660

1238046

1249170

1259724

(b) Borrowings (other than from RBI,

12654

14826

15919

15180

16000

17137

17467

      IDBI, NABARD, EXIM Bank)

(c) Other demand and  time liabilities

132157

131475

135181

133004

127678

131580

134479

III. Assets with the  banking system

67091

60409

64025

59731

61936

62274

66774

of which:

  Money at call and short notice

35874

28938

32800

30067

31829

32385

33923

      

IV. Cash in hand and balances with RBI

69457

88108

92689

89523

85903

81879

75232

V. Investments in India

568931

584887

599486

607303

631580

644062

654207

(a) Government  securities

542613

558228

573200

581071

605128

617864

628487

(b) Other approved  securities

26318

26659

26286

26232

26452

26198

25720

VI. Bank credit

784455

786307

785440

788189

781323

780565

789931

(a) Loans, cash credit and overdrafts

735972

737857

739950

743000

736090

736138

745242

(b) Inland bills purchased

6076

6352

5596

5435

5518

5600

6660

(c) Inland bills discounted

20713

21863

19967

19497

19942

19556

18248

(d) Foreign bills purchased

9783

9595

9421

9215

8845

8702

8752

(e) Foreign bills discounted

11911

10640

10506

11042

10928

10569

11029

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

 

TABLE 2.1 : BUSINESS OF SCHEDULED BANKS  IN INDIA: 2003-04 (Concld.)

(Amount in Rs. crore)

     As on the last reporting Friday of

Items

October 

November 

December 

January 

February 

March 

2003

2003

2003

2004

2004

2004

(8)

(9)

(10)

(11)

(12)

(13)

All Scheduled Banks

      No. of reporting banks

359

359

358

358

357

357

I. Liabilities to the banking system

55542

53412

53565

53319

54137

55862

(a) Demand and time deposits from banks

36330

36475

37060

37481

38390

38136

(b) Borrowings from banks

16763

14303

14116

13596

13343

15088

(c) Other demand and  time liabilities

2449

2634

2389

2242

2404

2638

     

II. Liabilities to others in India

1624070

1632854

1648336

1670144

1703558

1748365

(a) Aggregate deposits

1462643

1472673

1489036

1509474

1538901

1573341

     (i) Demand deposits

197757

193011

200853

196719

209106

231920

     (ii) Time deposits

1264886

1279662

1288183

1312755

1329795

1341421

(b) Borrowings (other than from RBI,

21105

22299

22266

22884

23282

24761

      IDBI, NABARD, EXIM Bank)

(c) Other demand and  time liabilities

140322

137882

137034

137786

141375

150263

III. Assets with the  banking system

55824

50525

62706

53043

51287

54765

of which:

  Money at call and short notice

24980

20123

31543

21485

18525

20783

      

IV. Cash in hand and balances with RBI

82929

85723

81975

89666

82696

80708

V. Investments in India

658310

672840

674068

679953

703354

705990

(a) Government  securities

632919

647535

648392

654904

678355

681419

(b) Other approved  securities

25391

25305

25676

25049

24999

24571

VI. Bank credit

817296

823801

838179

851746

867267

896213

(a) Loans, cash credit and overdrafts

770175

775553

789541

802233

816234

843140

(b) Inland bills purchased

7749

7254

7126

7189

7722

7912

(c) Inland bills discounted

19439

20039

20414

20992

20834

22278

(d) Foreign bills purchased

8541

9101

9131

9386

9601

10142

(e) Foreign bills discounted

11392

11854

11967

11946

12876

12741

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

 

RbiTtsCommonUtility

प्ले हो रहा है
കേൾക്കുക

Related Assets

RBI-Install-RBI-Content-Global

RbiSocialMediaUtility

റിസർവ് ബാങ്ക് ഓഫ് ഇന്ത്യ മൊബൈൽ ആപ്ലിക്കേഷൻ ഇൻസ്റ്റാൾ ചെയ്ത് ഏറ്റവും പുതിയ വാർത്തകളിലേക്ക് വേഗത്തിലുള്ള ആക്സസ് നേടുക!

Scan Your QR code to Install our app

RbiWasItHelpfulUtility

ഈ പേജ് സഹായകരമായിരുന്നോ?