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83282454

No. 3 : All Scheduled Banks - Business in India

 
 
 
 
 
 
 
 
 
 

(Rs. Crore)


Last Reporting Friday (in case of March) /

1990-91

1997-98

1998-99

1999


2000


Last Friday


 
 
 

Jan.


Jul.


Aug.


Sep. (P)


Oct. (P)


Nov. (P)


Dec. (P)


Jan. (P)


1


2


3


4


5


6


7


8


9


10


11


12


Number of reporting banks

299

343

346

345

351

351

351

351

351

351

351

                       

Liabilities to the banking system (1)

6,673

32,853

46,943

42,559

47,871

46,849

49,831

52,620

50,463

50,583

50,406

Demand and time deposits from banks (2)

5,598

24,209

33,875

30,555

34,171

34,760

35,778

36,972

35,862

37,566

36,638

Borrowings from banks (3)

998

7,200

12,345

11,415

13,076

11,356

13,270

14,701

13,776

11,997

12,968

Other demand and time liabilities (4)

77

1,445

723

589

623

734

782

947

824

1,020

799

                       

Liabilities to others (1)

2,13,125

6,78,493

8,13,627

7,79,545

8,47,959

8,56,637

8,69,673

8,87,888

8,91,984

9,09,636

9,12,808

                       

Aggregate deposits (5)

1,99,643

6,29,672

7,51,412

7,21,927

7,85,165

7,93,337

8,04,239

8,15,929

8,18,358

8,32,563

8,35,918

Demand

34,823

1,06,101

1,21,565

1,07,373

1,14,090

1,13,318

1,15,868

1,20,221

1,17,409

1,19,132

1,24,010

Time (5)

1,64,820

5,23,571

6,29,846

6,14,554

6,71,075

6,80,019

6,88,371

6,95,709

7,00,949

7,13,432

7,11,909

Borrowings (6)

645

1,401

1,192

2,987

2,066

1,646

2,031

3,515

4,516

3,115

2,486

Other demand and time liabilities (4)

12,838

47,421

61,023

54,631

60,727

61,653

63,403

68,443

69,110

73,957

74,403

                       

Borrowings from Reserve Bank (7)

3,483

395

2,908

5,429

2,843

2,882

4,370

7,682

6,947

2,681

4,608

Against usance bills / promissory notes

-

-

-

-

-

-

-

-

-

-

-

Others (8)

3,483

395

2,908

5,429

2,843

2,882

4,370

7,682

6,947

2,681

4,608

                       

Cash in hand and balances with

                     

Reserve Bank

25,995

63,000

69,207

74,653

72,538

70,863

71,784

81,111

71,290

66,639

66,089

Cash in hand

1,847

3,781

4,579

4,493

4,748

4,565

4,551

4,837

4,931

5,605

5,247

Balances with Reserve Bank (9)

24,147

59,220

65,127

70,160

67,790

66,298

67,233

76,274

66,359

61,034

60,842

                       

Assets with the Banking System

6,848

29,990

43,110

40,343

46,807

45,189

47,132

46,867

48,702

49,900

47,196

Balances with other banks

3,347

14,236

15,852

14,561

15,746

15,060

15,835

15,940

16,606

17,665

17,526

In current account

1,926

3,915

4,779

4,285

4,590

4,060

4,216

4,324

4,390

4,524

4,720

In other accounts

1,421

10,321

11,073

10,276

11,156

11,000

11,619

11,616

12,216

13,141

12,805

Money at call and short notice

2,201

11,592

22,315

21,009

26,129

25,496

26,209

25,906

26,666

22,907

23,605

Advances to banks (10)

902

2,196

3,132

3,041

2,897

2,683

2,088

2,128

2,054

3,927

3,579

Other assets

398

1,965

1,812

1,731

2,035

1,951

3,000

2,894

3,377

5,401

2,487

                       

Investment

76,831

2,27,363

2,65,431

2,62,289

2,92,996

2,99,731

3,02,223

3,05,064

3,12,583

3,13,728

3,14,979

Government securities (11)

51,086

1,93,687

2,31,906

2,29,064

2,59,722

2,66,596

2,68,758

2,71,408

2,78,785

2,80,151

2,81,507

Other approved securities

25,746

33,676

33,525

33,224

33,274

33,135

33,465

33,656

33,799

33,578

33,472

                       

Bank credit

1,25,575

3,49,216

3,99,471

3,78,463

4,04,559

4,06,631

4,11,366

4,25,604

4,29,521

4,45,275

4,50,103

Loans, cash-credits and overdrafts

1,14,982

3,19,060

3,67,259

3,48,499

3,75,026

3,77,045

3,81,279

3,94,198

3,97,973

4,12,319

4,16,129

Inland bills-purchased

3,532

4,955

5,198

4,753

4,257

4,091

4,425

4,428

4,402

4,771

4,995

Inland bills-discounted

2,409

9,967

11,020

10,075

10,648

10,714

10,521

11,432

11,421

12,101

12,442

Foreign bills-purchased

2,788

8,030

8,289

7,958

7,659

7,543

7,634

7,911

7,721

7,895

8,333

Foreign bills-discounted

1,864

7,204

7,704

7,176

6,970

7,237

7,506

7,636

8,004

8,189

8,205

Cash-Deposit Ratio

13.0

10.0

9.3

10.3

9.2

8.9

8.9

9.9

8.7

8.0

7.9

Investment-Deposit Ratio

38.5

36.1

35.3

36.3

37.3

37.8

37.6

37.4

38.2

37.7

37.7

Credit-Deposit Ratio


62.9


55.5


53.2


52.4


51.5


51.3


51.1


52.2


52.5


53.5


53.8


*

:

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.

Also see 'Notes on Tables'.

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