Table 2.1 : Business of Scheduled Banks in India - 2012-13 - ആർബിഐ - Reserve Bank of India
Table 2.1 : Business of Scheduled Banks in India - 2012-13
(Amount in ` Billion) |
||||||||
Items |
As on the last reporting Friday of |
|||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
Oct |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
All Scheduled Commercial Banks |
|
|
|
|
|
|
|
|
No. of Reporting Banks |
169 |
169 |
169 |
169 |
169 |
169 |
169 |
165 |
I Liabilities to the banking System |
1223.19 |
1313.29 |
1173.14 |
1191.60 |
1106.18 |
1172.47 |
1114.99 |
1132.65 |
(a) Demand and time deposits from banks |
842.53 |
812.33 |
783.26 |
806.23 |
755.75 |
759.90 |
777.15 |
757.92 |
(b) Borrowing from banks |
319.23 |
435.74 |
323.79 |
316.30 |
275.88 |
326.50 |
258.38 |
309.66 |
(c) Other demand and time liabilities |
61.43 |
65.23 |
66.09 |
69.06 |
74.56 |
86.08 |
79.47 |
65.07 |
II Liabilities to others in India |
64889.25 |
65794.34 |
66254.03 |
68161.43 |
68041.83 |
68725.92 |
68683.37 |
69333.03 |
(a) Aggregate deposits |
59090.82 |
60369.07 |
60632.77 |
62328.02 |
62471.44 |
62951.61 |
62921.72 |
63881.22 |
(i) Demand deposits |
6253.30 |
6002.23 |
5817.75 |
6512.93 |
5939.23 |
6062.55 |
5986.84 |
5851.72 |
(ii) Time Deposits |
52837.52 |
54366.83 |
54815.02 |
55815.10 |
56532.21 |
56889.06 |
56934.87 |
58029.50 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
2064.54 |
1963.54 |
1987.09 |
2034.37 |
1987.35 |
1993.65 |
2010.70 |
1918.71 |
(c) Other demand and time liabilities |
3733.89 |
3461.73 |
3634.17 |
3799.04 |
3583.03 |
3780.66 |
3750.95 |
3533.11 |
III Assets with the banking system |
1779.12 |
1918.27 |
1825.64 |
1928.05 |
1815.40 |
1851.20 |
1764.36 |
1812.73 |
Money at call and short notice |
232.78 |
339.32 |
241.79 |
210.11 |
208.09 |
268.83 |
211.14 |
237.79 |
IV Cash in Hand & Balances with RBI |
3594.00 |
3560.78 |
3456.57 |
3665.57 |
3617.17 |
3575.52 |
3590.51 |
3719.24 |
V Investment in India |
17377.87 |
18188.32 |
18250.85 |
18640.81 |
19183.35 |
19568.96 |
19477.54 |
19626.39 |
(a) Government securities |
17350.18 |
18159.04 |
18222.99 |
18615.63 |
19155.80 |
19542.60 |
19452.58 |
19598.78 |
(b) Other approved securities |
27.70 |
29.27 |
27.86 |
25.18 |
27.56 |
26.37 |
24.95 |
27.61 |
VI Bank Credit |
46118.52 |
46192.49 |
46499.24 |
47630.38 |
47044.97 |
47232.64 |
47637.40 |
48135.62 |
(a) Loans Cash Credit and Overdrafts |
44359.77 |
44451.43 |
44806.19 |
45881.93 |
45337.22 |
45488.74 |
45919.68 |
46400.67 |
(b) Inland Bills Purchased |
163.44 |
169.48 |
167.29 |
173.93 |
168.56 |
186.06 |
193.20 |
212.09 |
(c) Inland Bills Discounted |
979.78 |
964.08 |
940.27 |
973.65 |
972.49 |
981.53 |
964.58 |
932.56 |
(d) Foreign bills purchased |
211.68 |
220.82 |
200.02 |
210.54 |
188.31 |
193.54 |
185.72 |
188.40 |
(e) Foreign bills discounted |
403.85 |
386.68 |
385.47 |
390.33 |
378.40 |
382.78 |
374.22 |
401.90 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.1 : BUSINESS OF SCHEDULED BANKS IN INDIA - 2012-13 (Contd.) |
|||||
(Amount in ` Billion) |
|||||
Items |
As on the last reporting Friday of |
||||
Nov |
Dec |
Jan |
Fab |
Mar |
|
(9) |
(10) |
(11) |
(12) |
(13) |
|
All Scheduled Commercial Banks |
|
|
|
|
|
No. of Reporting Banks |
158 |
158 |
154 |
153 |
151 |
I Liabilities to the banking System |
1177.88 |
1216.77 |
1195.88 |
1299.84 |
1331.01 |
(a) Demand and time deposits from banks |
787.38 |
796.91 |
785.47 |
788.17 |
846.53 |
(b) Borrowing from banks |
306.80 |
347.46 |
326.85 |
419.77 |
393.58 |
(c) Other demand and time liabilities |
83.70 |
72.41 |
83.56 |
91.90 |
90.89 |
II Liabilities to others in India |
70264.58 |
70741.87 |
71263.28 |
71771.10 |
73837.51 |
(a) Aggregate deposits |
64400.28 |
64748.22 |
65288.02 |
65651.37 |
67504.54 |
(i) Demand deposits |
6225.70 |
6371.93 |
6103.64 |
6304.97 |
6622.99 |
(ii) Time Deposits |
58174.58 |
58376.29 |
59184.38 |
59346.40 |
60881.55 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
2017.72 |
2041.67 |
2066.02 |
2131.70 |
2216.63 |
(c) Other demand and time liabilities |
3846.58 |
3951.98 |
3909.23 |
3988.03 |
4116.34 |
III Assets with the banking system |
1732.78 |
1942.14 |
1764.74 |
1842.35 |
2199.48 |
Money at call and short notice |
234.96 |
284.41 |
219.67 |
304.59 |
296.05 |
IV Cash in Hand & Balances with RBI |
3283.36 |
3419.28 |
3562.04 |
3431.29 |
3227.58 |
V Investment in India |
19669.70 |
19383.46 |
19661.10 |
19646.41 |
20061.05 |
(a) Government securities |
19646.98 |
19360.35 |
19638.24 |
19625.77 |
20036.53 |
(b) Other approved securities |
22.72 |
23.10 |
22.86 |
20.64 |
24.52 |
VI Bank Credit |
49587.90 |
50258.72 |
50509.15 |
51272.64 |
52604.59 |
(a) Loans Cash Credit and Overdrafts |
47829.45 |
48387.84 |
48640.07 |
49358.91 |
50591.75 |
(b) Inland Bills Purchased |
226.74 |
228.77 |
226.04 |
233.88 |
248.65 |
(c) Inland Bills Discounted |
940.31 |
988.88 |
991.76 |
1040.74 |
1094.54 |
(d) Foreign bills purchased |
176.28 |
206.86 |
207.37 |
202.78 |
214.92 |
(e) Foreign bills discounted |
415.11 |
446.37 |
443.92 |
436.32 |
454.73 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.1 : BUSINESS OF SCHEDULED BANKS IN INDIA - 2012-13 (Contd.) |
|||||||
(Amount in ` Billion) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
All Scheduled Co-operative Banks |
|
|
|
|
|
|
|
No. of Reporting Banks |
68 |
68 |
68 |
67 |
67 |
67 |
67 |
I Liabilities to the banking System |
32.89 |
36.18 |
37.01 |
31.24 |
32.29 |
34.23 |
33.09 |
(a) Demand and time deposits from banks |
31.95 |
33.66 |
33.49 |
28.49 |
29.34 |
30.14 |
30.59 |
(b) Borrowing from banks |
0.87 |
2.47 |
3.44 |
2.70 |
2.65 |
4.05 |
2.45 |
(c) Other demand and time liabilities |
0.07 |
0.05 |
0.07 |
0.06 |
0.30 |
0.05 |
0.05 |
II Liabilities to others in India |
1766.55 |
1800.57 |
1799.65 |
1826.86 |
1855.06 |
1872.91 |
1874.37 |
(a) Aggregate deposits |
1687.11 |
1721.08 |
1725.92 |
1758.40 |
1787.50 |
1801.34 |
1808.53 |
(i) Demand deposits |
148.36 |
148.38 |
146.67 |
158.93 |
153.27 |
160.16 |
154.73 |
(ii) Time Deposits |
1538.76 |
1572.70 |
1579.25 |
1599.47 |
1634.24 |
1641.18 |
1653.80 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
18.75 |
14.69 |
14.42 |
14.19 |
14.98 |
17.07 |
11.33 |
(c) Other demand and time liabilities |
60.69 |
64.80 |
59.31 |
54.27 |
52.58 |
54.50 |
54.51 |
III Assets with the banking system |
261.00 |
280.58 |
279.81 |
270.27 |
266.88 |
267.15 |
279.51 |
Money at call and short notice |
124.11 |
121.69 |
122.93 |
107.43 |
99.77 |
99.40 |
102.12 |
IV Cash in Hand & Balances with RBI |
92.98 |
91.96 |
94.71 |
95.78 |
95.85 |
100.72 |
97.47 |
V Investment in India |
535.00 |
542.22 |
547.08 |
555.45 |
562.53 |
570.56 |
571.46 |
(a) Government securities |
532.52 |
538.77 |
544.76 |
553.14 |
560.23 |
568.24 |
569.17 |
(b) Other approved securities |
2.48 |
3.45 |
2.33 |
2.32 |
2.30 |
2.32 |
2.29 |
VI Bank Credit |
1419.31 |
1429.47 |
1435.02 |
1452.69 |
1485.34 |
1506.67 |
1531.27 |
(a) Loans Cash Credit and Overdrafts |
1400.65 |
1410.01 |
1414.74 |
1433.14 |
1465.21 |
1486.54 |
1510.98 |
(b) Inland Bills Purchased |
4.90 |
5.09 |
4.94 |
4.17 |
4.84 |
4.41 |
5.40 |
(c) Inland Bills Discounted |
9.86 |
10.33 |
11.25 |
10.94 |
11.67 |
12.27 |
11.61 |
(d) Foreign bills purchased |
1.02 |
1.11 |
0.90 |
0.66 |
0.37 |
0.30 |
0.20 |
(e) Foreign bills discounted |
2.87 |
2.93 |
3.19 |
3.80 |
3.24 |
3.15 |
3.07 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.1 : BUSINESS OF SCHEDULED BANKS IN INDIA - 2012-13 (Contd.) |
||||||
(Amount in ` Billion) |
||||||
Items |
As on the last reporting Friday of |
|||||
Oct |
Nov |
Dec |
Jan |
Fab |
Mar |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
All Scheduled Co-operative Banks |
|
|
|
|
|
|
No. of Reporting Banks |
67 |
67 |
67 |
67 |
67 |
67 |
I Liabilities to the banking System |
35.08 |
32.75 |
35.05 |
40.95 |
37.14 |
37.20 |
(a) Demand and time deposits from banks |
31.13 |
29.83 |
29.89 |
30.59 |
31.15 |
32.72 |
(b) Borrowing from banks |
3.89 |
2.85 |
4.42 |
10.30 |
5.56 |
4.42 |
(c) Other demand and time liabilities |
0.06 |
0.06 |
0.73 |
0.05 |
0.43 |
0.06 |
II Liabilities to others in India |
1891.48 |
1910.64 |
1929.92 |
1948.03 |
1972.75 |
1980.96 |
(a) Aggregate deposits |
1829.74 |
1842.01 |
1860.89 |
1884.25 |
1902.46 |
1915.41 |
(i) Demand deposits |
156.23 |
161.65 |
160.94 |
157.20 |
159.47 |
160.28 |
(ii) Time Deposits |
1673.51 |
1680.36 |
1699.95 |
1727.06 |
1742.99 |
1755.14 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
10.58 |
13.82 |
12.06 |
11.92 |
12.03 |
10.57 |
(c) Other demand and time liabilities |
51.15 |
54.82 |
56.97 |
51.86 |
58.26 |
54.98 |
III Assets with the banking system |
254.30 |
253.90 |
292.48 |
253.50 |
240.43 |
248.81 |
Money at call and short notice |
86.41 |
89.42 |
117.30 |
107.69 |
97.81 |
101.60 |
IV Cash in Hand & Balances with RBI |
94.29 |
92.99 |
91.69 |
91.20 |
88.90 |
93.32 |
V Investment in India |
578.94 |
587.32 |
594.96 |
601.61 |
600.32 |
599.20 |
(a) Government securities |
576.82 |
585.14 |
592.79 |
597.94 |
598.11 |
597.01 |
(b) Other approved securities |
2.12 |
2.18 |
2.17 |
3.68 |
2.22 |
2.20 |
VI Bank Credit |
1554.41 |
1564.58 |
1607.21 |
1625.71 |
1646.44 |
1676.83 |
(a) Loans Cash Credit and Overdrafts |
1534.62 |
1544.96 |
1583.85 |
1603.14 |
1622.68 |
1652.31 |
(b) Inland Bills Purchased |
5.30 |
5.50 |
5.41 |
4.84 |
5.93 |
4.45 |
(c) Inland Bills Discounted |
11.22 |
10.87 |
14.10 |
13.81 |
13.44 |
15.37 |
(d) Foreign bills purchased |
0.24 |
0.45 |
0.97 |
1.35 |
1.77 |
1.72 |
(e) Foreign bills discounted |
3.02 |
2.80 |
2.89 |
2.56 |
2.63 |
2.98 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.1 : BUSINESS OF SCHEDULED BANKS IN INDIA - 2012-13 (Contd.) |
|||||||
(Amount in ` Billion) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
All Scheduled Banks |
|
|
|
|
|
|
|
No. of Reporting Banks |
237 |
237 |
237 |
236 |
236 |
236 |
236 |
I Liabilities to the banking System |
1256.08 |
1349.47 |
1210.14 |
1222.84 |
1138.48 |
1206.70 |
1148.08 |
(a) Demand and time deposits from banks |
874.48 |
845.99 |
816.75 |
834.72 |
785.09 |
790.04 |
807.73 |
(b) Borrowing from banks |
320.10 |
438.21 |
327.24 |
319.00 |
278.53 |
330.55 |
260.83 |
(c) Other demand and time liabilities |
61.50 |
65.27 |
66.16 |
69.12 |
74.86 |
86.12 |
79.52 |
II Liabilities to others in India |
66655.80 |
67594.91 |
68053.68 |
69988.29 |
69896.89 |
70598.83 |
70557.74 |
(a) Aggregate deposits |
60777.93 |
62090.14 |
62358.68 |
64086.42 |
64258.94 |
64752.95 |
64730.24 |
(i) Demand deposits |
6401.65 |
6150.61 |
5964.42 |
6671.85 |
6092.50 |
6222.71 |
6141.57 |
(ii) Time Deposits |
54376.28 |
55939.53 |
56394.27 |
57414.57 |
58166.45 |
58530.23 |
58588.67 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
2083.28 |
1978.24 |
2001.51 |
2048.56 |
2002.33 |
2010.72 |
2022.03 |
(c) Other demand and time liabilities |
3794.58 |
3526.53 |
3693.49 |
3853.31 |
3635.61 |
3835.16 |
3805.47 |
III Assets with the banking system |
2040.12 |
2198.85 |
2105.45 |
2198.32 |
2082.28 |
2118.34 |
2043.87 |
Money at call and short notice |
356.89 |
461.02 |
364.73 |
317.54 |
307.86 |
368.23 |
313.26 |
IV Cash in Hand & Balances with RBI |
3686.98 |
3652.74 |
3551.29 |
3761.35 |
3713.02 |
3676.24 |
3687.98 |
V Investment in India |
17912.87 |
18730.54 |
18797.94 |
19196.26 |
19745.88 |
20139.52 |
20049.00 |
(a) Government securities |
17882.70 |
18697.81 |
18767.75 |
19168.76 |
19716.03 |
20110.84 |
20021.75 |
(b) Other approved securities |
30.18 |
32.73 |
30.19 |
27.50 |
29.85 |
28.68 |
27.24 |
VI Bank Credit |
47537.83 |
47621.96 |
47934.26 |
49083.08 |
48530.31 |
48739.31 |
49168.67 |
(a) Loans Cash Credit and Overdrafts |
45760.42 |
45861.45 |
46220.92 |
47315.07 |
46802.43 |
46975.28 |
47430.65 |
(b) Inland Bills Purchased |
168.34 |
174.57 |
172.23 |
178.09 |
173.39 |
190.46 |
198.61 |
(c) Inland Bills Discounted |
989.64 |
974.41 |
951.51 |
984.58 |
984.16 |
993.80 |
976.19 |
(d) Foreign bills purchased |
212.71 |
221.92 |
200.93 |
211.20 |
188.68 |
193.84 |
185.92 |
(e) Foreign bills discounted |
406.72 |
389.61 |
388.66 |
394.13 |
381.64 |
385.93 |
377.30 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.1 : BUSINESS OF SCHEDULED BANKS IN INDIA - 2012-13 (Concld.) |
||||||
(Amount in ` Billion) |
||||||
Items |
As on the last reporting Friday of |
|||||
Oct |
Nov |
Dec |
Jan |
Fab |
Mar |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
All Scheduled Banks |
|
|
|
|
|
|
No. of Reporting Banks |
232 |
225 |
225 |
221 |
220 |
218 |
I Liabilities to the banking System |
1167.74 |
1210.62 |
1251.82 |
1236.83 |
1336.98 |
1368.21 |
(a) Demand and time deposits from banks |
789.06 |
817.21 |
826.81 |
816.06 |
819.32 |
879.25 |
(b) Borrowing from banks |
313.54 |
309.65 |
351.88 |
337.15 |
425.33 |
398.01 |
(c) Other demand and time liabilities |
65.13 |
83.76 |
73.14 |
83.61 |
92.33 |
90.94 |
II Liabilities to others in India |
71224.51 |
72175.22 |
72671.79 |
73211.30 |
73743.85 |
75818.47 |
(a) Aggregate deposits |
65710.96 |
66242.29 |
66609.11 |
67172.27 |
67553.83 |
69419.95 |
(i) Demand deposits |
6007.95 |
6387.35 |
6532.88 |
6260.84 |
6464.44 |
6783.26 |
(ii) Time Deposits |
59703.01 |
59854.93 |
60076.23 |
60911.43 |
61089.40 |
62636.69 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
1929.29 |
2031.54 |
2053.72 |
2077.94 |
2143.73 |
2227.20 |
(c) Other demand and time liabilities |
3584.26 |
3901.39 |
4008.95 |
3961.09 |
4046.29 |
4171.32 |
III Assets with the banking system |
2067.03 |
1986.69 |
2234.61 |
2018.25 |
2082.77 |
2448.29 |
Money at call and short notice |
324.20 |
324.38 |
401.71 |
327.36 |
402.39 |
397.65 |
IV Cash in Hand & Balances with RBI |
3813.53 |
3376.35 |
3510.97 |
3653.23 |
3520.19 |
3320.91 |
V Investment in India |
20205.33 |
20257.02 |
19978.42 |
20262.72 |
20246.73 |
20660.25 |
(a) Government securities |
20175.60 |
20232.12 |
19953.14 |
20236.18 |
20223.88 |
20633.54 |
(b) Other approved securities |
29.73 |
24.90 |
25.27 |
26.54 |
22.85 |
26.71 |
VI Bank Credit |
49690.03 |
51152.48 |
51865.93 |
52134.86 |
52919.08 |
54281.41 |
(a) Loans Cash Credit and Overdrafts |
47935.29 |
49374.42 |
49971.69 |
50243.21 |
50981.58 |
52244.05 |
(b) Inland Bills Purchased |
217.39 |
232.24 |
234.18 |
230.88 |
239.81 |
253.09 |
(c) Inland Bills Discounted |
943.78 |
951.18 |
1002.98 |
1005.57 |
1054.18 |
1109.91 |
(d) Foreign bills purchased |
188.65 |
176.73 |
207.83 |
208.72 |
204.54 |
216.64 |
(e) Foreign bills discounted |
404.93 |
417.91 |
449.26 |
446.48 |
438.95 |
457.71 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |