Table 2.2 : Bank group-wise business of Scheduled Banks in India - 2012-13 - ആർബിഐ - Reserve Bank of India
Table 2.2 : Bank group-wise business of Scheduled Banks in India - 2012-13
(Amount in ` Billion) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar 2012 |
Apr 2012 |
May 2012 |
Jun 2012 |
Jul 2012 |
Aug 2012 |
Sep 2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
SBI and its Associates |
|||||||
No. of Reporting Banks |
6 |
6 |
6 |
6 |
6 |
6 |
6 |
I Liabilities to the banking System |
150.53 |
204.51 |
151.11 |
156.71 |
134.39 |
175.86 |
137.36 |
(a) Demand and time deposits from banks |
95.52 |
108.00 |
97.37 |
98.98 |
85.52 |
90.81 |
81.40 |
(b) Borrowing from banks |
18.65 |
55.76 |
13.15 |
17.50 |
7.00 |
30.50 |
2.25 |
(c) Other demand and time liabilities |
36.36 |
40.75 |
40.59 |
40.23 |
41.88 |
54.54 |
53.70 |
II Liabilities to others in India |
14099.92 |
14469.63 |
14566.39 |
14897.91 |
14936.72 |
15116.77 |
15199.90 |
(a) Aggregate deposits |
13136.95 |
13535.26 |
13604.21 |
13902.73 |
14049.59 |
14181.07 |
14256.01 |
(i) Demand deposits |
1020.40 |
1075.44 |
1005.58 |
1062.55 |
987.95 |
1017.78 |
974.12 |
(ii) Time Deposits |
12116.55 |
12459.82 |
12598.64 |
12840.18 |
13061.65 |
13163.29 |
13281.90 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
28.15 |
34.35 |
39.10 |
37.39 |
37.68 |
36.53 |
34.10 |
(c) Other demand and time liabilities |
934.82 |
900.02 |
923.08 |
957.79 |
849.45 |
899.17 |
909.78 |
III Assets with the banking system |
193.86 |
269.64 |
312.29 |
365.44 |
324.82 |
386.49 |
361.22 |
Money at call and short notice |
21.69 |
61.95 |
54.65 |
66.47 |
27.11 |
82.92 |
42.21 |
IV Cash in Hand |
101.50 |
109.69 |
113.44 |
112.76 |
114.32 |
127.58 |
116.83 |
V Investment in India |
3445.90 |
3804.56 |
3823.26 |
3762.21 |
4017.69 |
4022.48 |
4067.19 |
(a) Government securities |
3445.69 |
3804.35 |
3823.05 |
3762.01 |
4017.52 |
4022.31 |
4067.02 |
(b) Other approved securities |
0.22 |
0.21 |
0.21 |
0.21 |
0.17 |
0.17 |
0.17 |
VI Bank Credit |
10214.79 |
10270.16 |
10332.73 |
10614.83 |
10492.72 |
10543.34 |
10685.61 |
(a) Loans Cash Credit and Overdrafts |
9640.61 |
9692.08 |
9763.02 |
10047.48 |
9915.83 |
9963.18 |
10122.39 |
(b) Inland Bills Purchased |
29.71 |
29.83 |
31.74 |
27.67 |
25.26 |
26.19 |
26.71 |
(c) Inland Bills Discounted |
435.25 |
448.79 |
445.38 |
447.92 |
461.77 |
461.92 |
448.00 |
(d) Foreign bills purchased |
12.01 |
12.81 |
11.87 |
13.51 |
12.77 |
12.97 |
11.64 |
(e) Foreign bills discounted |
97.21 |
86.65 |
80.71 |
78.25 |
77.09 |
79.09 |
76.87 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.) |
||||||
(Amount in ` Billion) |
||||||
Items |
As on the last reporting Friday of |
|||||
Oct 2012 |
Nov 2012 |
Dec 2012 |
Jan 2013 |
Feb 2013 |
Mar 2013 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
SBI and its Associates |
||||||
No. of Reporting Banks |
6 |
6 |
6 |
6 |
6 |
6 |
I Liabilities to the banking System |
132.93 |
163.40 |
161.55 |
140.48 |
172.60 |
153.45 |
(a) Demand and time deposits from banks |
82.28 |
87.52 |
88.66 |
84.75 |
93.44 |
98.36 |
(b) Borrowing from banks |
10.75 |
18.00 |
28.75 |
9.50 |
22.30 |
6.50 |
(c) Other demand and time liabilities |
39.90 |
57.88 |
44.14 |
46.24 |
56.86 |
48.59 |
II Liabilities to others in India |
15351.27 |
15610.28 |
15549.62 |
15622.06 |
15841.04 |
16219.47 |
(a) Aggregate deposits |
14404.62 |
14624.35 |
14570.43 |
14696.48 |
14920.46 |
15248.30 |
(i) Demand deposits |
996.10 |
1026.91 |
1033.90 |
963.47 |
1055.91 |
1144.66 |
(ii) Time Deposits |
13408.52 |
13597.44 |
13536.54 |
13733.01 |
13864.55 |
14103.63 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
34.00 |
31.06 |
30.57 |
31.29 |
31.65 |
30.49 |
(c) Other demand and time liabilities |
912.66 |
954.87 |
948.61 |
894.30 |
888.93 |
940.69 |
III Assets with the banking system |
400.61 |
357.79 |
377.71 |
321.52 |
393.85 |
401.79 |
Money at call and short notice |
43.05 |
52.51 |
66.52 |
15.96 |
65.67 |
37.82 |
IV Cash in Hand |
118.28 |
131.18 |
124.61 |
137.61 |
135.71 |
125.47 |
V Investment in India |
4048.71 |
3978.06 |
3846.98 |
3828.46 |
3763.09 |
3855.59 |
(a) Government securities |
4048.53 |
3977.89 |
3846.81 |
3828.29 |
3762.93 |
3855.43 |
(b) Other approved securities |
0.17 |
0.17 |
0.17 |
0.17 |
0.16 |
0.16 |
VI Bank Credit |
10778.72 |
11280.32 |
11392.54 |
11509.16 |
11721.67 |
12016.45 |
(a) Loans Cash Credit and Overdrafts |
10213.78 |
10685.74 |
10789.67 |
10877.49 |
11074.79 |
11341.56 |
(b) Inland Bills Purchased |
27.64 |
28.74 |
25.99 |
24.78 |
22.64 |
19.39 |
(c) Inland Bills Discounted |
451.36 |
462.87 |
474.81 |
500.43 |
516.56 |
540.48 |
(d) Foreign bills purchased |
11.57 |
15.78 |
15.24 |
15.35 |
17.14 |
18.62 |
(e) Foreign bills discounted |
74.37 |
87.19 |
86.82 |
91.09 |
90.54 |
96.39 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.) |
|||||||
(Amount in ` Billion) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar 2012 |
Apr 2012 |
May 2012 |
Jun 2012 |
Jul 2012 |
Aug 2012 |
Sep 2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Nationalised Banks $ |
|||||||
No. of Reporting Banks |
20 |
20 |
20 |
20 |
20 |
20 |
20 |
I Liabilities to the banking System |
648.64 |
589.85 |
601.67 |
616.70 |
579.85 |
613.57 |
618.80 |
(a) Demand and time deposits from banks |
559.56 |
525.87 |
514.39 |
536.41 |
498.57 |
500.02 |
530.91 |
(b) Borrowing from banks |
73.27 |
49.42 |
72.91 |
63.09 |
64.61 |
96.98 |
71.35 |
(c) Other demand and time liabilities |
15.81 |
14.56 |
14.37 |
17.20 |
16.67 |
16.58 |
16.54 |
II Liabilities to others in India |
33305.31 |
33980.49 |
34090.15 |
34873.08 |
34681.79 |
34944.50 |
34809.36 |
(a) Aggregate deposits |
31015.28 |
31797.54 |
31800.04 |
32536.58 |
32441.90 |
32624.62 |
32500.86 |
(i) Demand deposits |
2347.15 |
2280.82 |
2229.68 |
2547.19 |
2294.37 |
2319.95 |
2314.52 |
(ii) Time Deposits |
28668.14 |
29516.72 |
29570.36 |
29989.39 |
30147.52 |
30304.68 |
30186.35 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
730.45 |
695.34 |
690.07 |
703.40 |
679.61 |
687.52 |
680.52 |
(c) Other demand and time liabilities |
1559.58 |
1487.62 |
1600.03 |
1633.11 |
1560.28 |
1632.35 |
1627.98 |
III Assets with the banking system |
503.87 |
623.41 |
557.19 |
546.76 |
518.35 |
525.15 |
465.31 |
Money at call and short notice |
113.80 |
199.62 |
121.02 |
68.15 |
105.69 |
114.14 |
87.16 |
IV Cash in Hand |
122.78 |
127.04 |
132.41 |
144.64 |
139.62 |
180.27 |
147.36 |
V Investment in India |
8776.12 |
9132.90 |
9222.91 |
9494.35 |
9650.73 |
9951.50 |
9817.76 |
(a) Government securities |
8764.65 |
9121.52 |
9211.54 |
9483.27 |
9639.96 |
9940.66 |
9806.92 |
(b) Other approved securities |
11.47 |
11.37 |
11.37 |
11.08 |
10.76 |
10.84 |
10.84 |
VI Bank Credit |
23728.93 |
23727.71 |
23807.36 |
24403.67 |
23865.10 |
23906.39 |
24003.70 |
(a) Loans Cash Credit and Overdrafts |
23098.07 |
23114.84 |
23198.76 |
23756.59 |
23251.63 |
23295.30 |
23398.28 |
(b) Inland Bills Purchased |
93.95 |
99.86 |
97.92 |
106.32 |
109.10 |
125.40 |
136.46 |
(c) Inland Bills Discounted |
242.89 |
215.64 |
213.64 |
230.41 |
201.91 |
190.10 |
176.86 |
(d) Foreign bills purchased |
114.03 |
115.80 |
116.58 |
123.49 |
117.03 |
113.53 |
110.55 |
(e) Foreign bills discounted |
180.00 |
181.57 |
180.46 |
186.85 |
185.44 |
182.07 |
181.55 |
Notes : $ Includes IDBI Bank Ltd. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.) |
||||||
(Amount in ` Billion) |
||||||
Items |
As on the last reporting Friday of |
|||||
Oct 2012 |
Nov 2012 |
Dec 2012 |
Jan 2013 |
Feb 2013 |
Mar 2013 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Nationalised Banks $ |
||||||
No. of Reporting Banks |
20 |
20 |
20 |
20 |
20 |
20 |
I Liabilities to the banking System |
588.31 |
652.50 |
670.02 |
674.82 |
690.02 |
705.15 |
(a) Demand and time deposits from banks |
511.69 |
549.81 |
553.39 |
552.85 |
549.14 |
596.64 |
(b) Borrowing from banks |
61.85 |
87.78 |
101.75 |
97.59 |
116.70 |
84.26 |
(c) Other demand and time liabilities |
14.78 |
14.90 |
14.88 |
24.37 |
24.18 |
24.24 |
II Liabilities to others in India |
35152.89 |
35304.04 |
35666.44 |
36133.53 |
36175.49 |
37406.87 |
(a) Aggregate deposits |
33071.56 |
32971.54 |
33335.97 |
33820.13 |
33851.62 |
35014.32 |
(i) Demand deposits |
2229.18 |
2418.96 |
2414.95 |
2358.12 |
2403.08 |
2534.88 |
(ii) Time Deposits |
30842.38 |
30552.58 |
30921.03 |
31462.00 |
31448.55 |
32479.44 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
647.70 |
693.40 |
655.34 |
649.96 |
647.88 |
654.61 |
(c) Other demand and time liabilities |
1433.62 |
1639.10 |
1675.12 |
1663.44 |
1675.99 |
1737.94 |
III Assets with the banking system |
483.72 |
456.12 |
570.63 |
528.79 |
562.40 |
695.65 |
Money at call and short notice |
126.95 |
109.40 |
146.22 |
141.36 |
154.42 |
185.44 |
IV Cash in Hand |
134.52 |
160.78 |
150.63 |
137.85 |
169.24 |
140.92 |
V Investment in India |
10065.50 |
10125.37 |
9861.84 |
10120.19 |
9961.82 |
10287.49 |
(a) Government securities |
10054.66 |
10114.96 |
9851.43 |
10110.11 |
9952.28 |
10277.99 |
(b) Other approved securities |
10.84 |
10.41 |
10.41 |
10.08 |
9.53 |
9.50 |
VI Bank Credit |
24145.07 |
24706.33 |
25095.16 |
25230.66 |
25552.04 |
26346.54 |
(a) Loans Cash Credit and Overdrafts |
23534.01 |
24080.43 |
24446.14 |
24584.72 |
24888.74 |
25622.79 |
(b) Inland Bills Purchased |
153.47 |
166.76 |
165.76 |
165.66 |
172.09 |
187.02 |
(c) Inland Bills Discounted |
169.31 |
165.35 |
169.34 |
156.83 |
159.26 |
205.95 |
(d) Foreign bills purchased |
106.60 |
108.10 |
116.54 |
123.77 |
127.03 |
124.16 |
(e) Foreign bills discounted |
181.69 |
185.70 |
197.38 |
199.68 |
204.92 |
206.62 |
Notes : $ Includes IDBI Bank Ltd. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.) |
|||||||
(Amount in ` Billion) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar 2012 |
Apr 2012 |
May 2012 |
Jun 2012 |
Jul 2012 |
Aug 2012 |
Sep 2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Old Private Sector Banks |
|||||||
No. of Reporting Banks |
13 |
13 |
13 |
13 |
13 |
13 |
13 |
I Liabilities to the banking System |
30.33 |
29.59 |
28.15 |
27.73 |
22.78 |
24.81 |
36.79 |
(a) Demand and time deposits from banks |
24.65 |
23.38 |
22.61 |
22.04 |
19.13 |
19.11 |
21.24 |
(b) Borrowing from banks |
3.16 |
3.78 |
2.81 |
2.79 |
1.30 |
2.79 |
13.18 |
(c) Other demand and time liabilities |
2.53 |
2.43 |
2.73 |
2.90 |
2.36 |
2.91 |
2.37 |
II Liabilities to others in India |
3049.90 |
3118.53 |
3131.61 |
3216.18 |
3248.41 |
3287.70 |
3241.57 |
(a) Aggregate deposits |
2868.49 |
2956.40 |
2973.27 |
3044.37 |
3084.49 |
3090.02 |
3071.24 |
(i) Demand deposits |
247.27 |
242.50 |
240.38 |
256.15 |
248.73 |
263.08 |
251.94 |
(ii) Time Deposits |
2621.23 |
2713.90 |
2732.89 |
2788.22 |
2835.76 |
2826.94 |
2819.30 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
86.68 |
73.44 |
77.64 |
81.22 |
70.78 |
78.83 |
73.95 |
(c) Other demand and time liabilities |
94.72 |
88.68 |
80.70 |
90.59 |
93.14 |
118.86 |
96.39 |
III Assets with the banking system |
32.19 |
27.29 |
20.89 |
33.74 |
27.05 |
28.41 |
22.58 |
Money at call and short notice |
9.80 |
11.65 |
2.45 |
3.35 |
6.65 |
6.55 |
8.65 |
IV Cash in Hand |
23.27 |
26.34 |
27.77 |
27.53 |
27.42 |
34.31 |
29.69 |
V Investment in India |
779.23 |
811.10 |
831.46 |
832.28 |
861.72 |
868.97 |
845.81 |
(a) Government securities |
779.05 |
810.92 |
831.28 |
832.10 |
861.59 |
868.84 |
845.68 |
(b) Other approved securities |
0.18 |
0.18 |
0.18 |
0.18 |
0.13 |
0.13 |
0.13 |
VI Bank Credit |
2228.73 |
2254.14 |
2270.69 |
2317.26 |
2297.77 |
2295.29 |
2325.64 |
(a) Loans Cash Credit and Overdrafts |
2125.59 |
2153.84 |
2174.89 |
2223.06 |
2209.51 |
2211.78 |
2242.69 |
(b) Inland Bills Purchased |
25.64 |
25.57 |
23.92 |
25.18 |
21.08 |
19.38 |
18.13 |
(c) Inland Bills Discounted |
51.87 |
49.26 |
44.58 |
42.66 |
40.60 |
37.24 |
39.03 |
(d) Foreign bills purchased |
12.98 |
12.08 |
12.20 |
12.73 |
12.26 |
13.00 |
12.74 |
(e) Foreign bills discounted |
12.66 |
13.39 |
15.10 |
13.63 |
14.32 |
13.89 |
13.05 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.) |
||||||
(Amount in ` Billion) |
||||||
Items |
As on the last reporting Friday of |
|||||
Oct 2012 |
Nov 2012 |
Dec 2012 |
Jan 2013 |
Feb 2013 |
Mar 2013 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Old Private Sector Banks |
||||||
No. of Reporting Banks |
13 |
13 |
13 |
13 |
13 |
13 |
I Liabilities to the banking System |
28.28 |
29.89 |
36.89 |
28.39 |
24.04 |
27.82 |
(a) Demand and time deposits from banks |
19.40 |
19.87 |
20.74 |
19.08 |
18.11 |
18.28 |
(b) Borrowing from banks |
6.54 |
7.63 |
14.31 |
7.39 |
4.14 |
7.64 |
(c) Other demand and time liabilities |
2.35 |
2.39 |
1.84 |
1.92 |
1.80 |
1.90 |
II Liabilities to others in India |
3289.12 |
3376.82 |
3399.59 |
3428.34 |
3520.83 |
3643.08 |
(a) Aggregate deposits |
3117.46 |
3186.60 |
3210.38 |
3244.08 |
3327.30 |
3425.85 |
(i) Demand deposits |
252.21 |
258.02 |
255.27 |
251.69 |
261.37 |
258.98 |
(ii) Time Deposits |
2865.26 |
2928.58 |
2955.11 |
2992.39 |
3065.92 |
3166.88 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
75.81 |
81.44 |
82.68 |
81.15 |
83.90 |
105.71 |
(c) Other demand and time liabilities |
95.84 |
108.78 |
106.54 |
103.11 |
109.63 |
111.52 |
III Assets with the banking system |
20.73 |
23.95 |
45.71 |
32.16 |
41.36 |
55.92 |
Money at call and short notice |
3.60 |
4.80 |
9.05 |
4.75 |
15.00 |
12.85 |
IV Cash in Hand |
28.33 |
34.92 |
34.69 |
29.96 |
33.79 |
28.62 |
V Investment in India |
853.08 |
874.30 |
858.64 |
883.78 |
910.66 |
934.93 |
(a) Government securities |
852.95 |
874.17 |
858.51 |
883.65 |
910.53 |
934.80 |
(b) Other approved securities |
0.13 |
0.13 |
0.13 |
0.13 |
0.13 |
0.13 |
VI Bank Credit |
2366.39 |
2443.22 |
2469.91 |
2501.85 |
2538.02 |
2633.68 |
(a) Loans Cash Credit and Overdrafts |
2278.26 |
2359.25 |
2381.11 |
2410.83 |
2443.41 |
2534.73 |
(b) Inland Bills Purchased |
19.71 |
17.39 |
20.72 |
19.96 |
20.24 |
21.47 |
(c) Inland Bills Discounted |
44.19 |
42.55 |
42.12 |
43.62 |
45.91 |
45.98 |
(d) Foreign bills purchased |
11.85 |
12.62 |
13.20 |
13.09 |
12.99 |
14.01 |
(e) Foreign bills discounted |
12.38 |
11.41 |
12.77 |
14.35 |
15.46 |
17.48 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.) |
|||||||
(Amount in ` Billion) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar 2012 |
Apr 2012 |
May 2012 |
Jun 2012 |
Jul 2012 |
Aug 2012 |
Sep 2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
New Private Sector Banks |
|||||||
No. of Reporting Banks |
7 |
7 |
7 |
7 |
7 |
7 |
7 |
I Liabilities to the banking System |
227.00 |
291.33 |
224.54 |
209.69 |
186.08 |
209.97 |
179.35 |
(a) Demand and time deposits from banks |
120.08 |
111.48 |
106.88 |
104.37 |
106.51 |
101.90 |
93.75 |
(b) Borrowing from banks |
103.68 |
177.28 |
114.67 |
101.69 |
76.78 |
105.10 |
82.23 |
(c) Other demand and time liabilities |
3.23 |
2.57 |
2.99 |
3.63 |
2.79 |
2.97 |
3.37 |
II Liabilities to others in India |
9256.18 |
9152.74 |
9304.93 |
9786.27 |
9808.38 |
10003.97 |
10002.46 |
(a) Aggregate deposits |
7674.35 |
7666.13 |
7813.77 |
8276.18 |
8309.18 |
8424.04 |
8452.89 |
(i) Demand deposits |
1441.99 |
1232.59 |
1201.76 |
1478.81 |
1276.17 |
1306.24 |
1336.26 |
(ii) Time Deposits |
6232.36 |
6433.54 |
6612.00 |
6797.37 |
7033.01 |
7117.80 |
7116.63 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
879.60 |
897.13 |
879.93 |
850.25 |
859.33 |
880.46 |
872.42 |
(c) Other demand and time liabilities |
702.24 |
589.48 |
611.23 |
659.84 |
639.87 |
699.46 |
677.15 |
III Assets with the banking system |
179.15 |
140.48 |
116.94 |
140.02 |
138.16 |
142.54 |
150.54 |
Money at call and short notice |
28.03 |
9.17 |
1.51 |
16.78 |
16.76 |
5.54 |
7.05 |
IV Cash in Hand |
89.63 |
87.66 |
88.67 |
98.97 |
74.51 |
101.09 |
88.18 |
V Investment in India |
2600.46 |
2660.01 |
2587.46 |
2630.78 |
2666.36 |
2730.46 |
2718.20 |
(a) Government securities |
2600.46 |
2660.00 |
2587.45 |
2630.77 |
2666.35 |
2730.45 |
2718.19 |
(b) Other approved securities |
0.01 |
0.01 |
0.01 |
0.01 |
0.01 |
0.01 |
0.01 |
VI Bank Credit |
6513.62 |
6451.02 |
6553.38 |
6683.23 |
6765.89 |
6908.65 |
7067.62 |
(a) Loans Cash Credit and Overdrafts |
6295.73 |
6258.88 |
6378.57 |
6497.20 |
6565.77 |
6677.86 |
6824.25 |
(b) Inland Bills Purchased |
4.42 |
3.96 |
3.71 |
3.49 |
2.91 |
3.59 |
2.63 |
(c) Inland Bills Discounted |
177.14 |
150.16 |
132.67 |
140.11 |
156.87 |
188.63 |
201.03 |
(d) Foreign bills purchased |
10.27 |
10.48 |
10.91 |
12.74 |
13.50 |
13.98 |
15.12 |
(e) Foreign bills discounted |
26.05 |
27.54 |
27.53 |
29.70 |
26.84 |
24.59 |
24.58 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.) |
||||||
(Amount in ` Billion) |
||||||
Items |
As on the last reporting Friday of |
|||||
Oct 2012 |
Nov 2012 |
Dec 2012 |
Jan 2013 |
Feb 2013 |
Mar 2013 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
New Private Sector Banks |
||||||
No. of Reporting Banks |
7 |
7 |
7 |
7 |
7 |
7 |
I Liabilities to the banking System |
232.22 |
200.27 |
191.73 |
200.44 |
270.37 |
220.77 |
(a) Demand and time deposits from banks |
93.21 |
80.37 |
80.19 |
70.10 |
73.83 |
70.94 |
(b) Borrowing from banks |
136.65 |
117.21 |
107.50 |
127.16 |
193.59 |
146.48 |
(c) Other demand and time liabilities |
2.37 |
2.68 |
4.03 |
3.19 |
2.94 |
3.35 |
II Liabilities to others in India |
10168.76 |
10483.09 |
10604.55 |
10604.07 |
10643.42 |
10945.07 |
(a) Aggregate deposits |
8665.34 |
8912.14 |
8912.59 |
8815.09 |
8773.26 |
9051.63 |
(i) Demand deposits |
1305.53 |
1388.34 |
1492.64 |
1395.90 |
1426.69 |
1524.88 |
(ii) Time Deposits |
7359.81 |
7523.80 |
7419.96 |
7419.19 |
7346.56 |
7526.75 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
848.59 |
859.64 |
920.47 |
989.27 |
1015.94 |
1042.21 |
(c) Other demand and time liabilities |
654.84 |
711.30 |
771.49 |
799.70 |
854.22 |
851.23 |
III Assets with the banking system |
156.38 |
156.14 |
187.45 |
142.41 |
147.16 |
186.66 |
Money at call and short notice |
3.58 |
17.40 |
0.64 |
7.44 |
18.23 |
3.06 |
IV Cash in Hand |
83.52 |
112.84 |
105.82 |
110.31 |
100.89 |
86.15 |
V Investment in India |
2737.76 |
2784.11 |
2894.12 |
2868.98 |
3025.78 |
3125.65 |
(a) Government securities |
2737.76 |
2784.11 |
2894.11 |
2868.97 |
3025.78 |
3125.65 |
(b) Other approved securities |
0.01 |
0.01 |
0.01 |
0.01 |
0.01 |
0.01 |
VI Bank Credit |
7190.03 |
7402.33 |
7429.29 |
7421.36 |
7549.94 |
7675.39 |
(a) Loans Cash Credit and Overdrafts |
6978.90 |
7193.11 |
7194.73 |
7205.40 |
7316.97 |
7451.24 |
(b) Inland Bills Purchased |
2.86 |
3.91 |
6.97 |
6.54 |
8.03 |
8.26 |
(c) Inland Bills Discounted |
166.69 |
161.77 |
180.56 |
162.15 |
178.43 |
170.41 |
(d) Foreign bills purchased |
16.25 |
17.63 |
15.47 |
17.46 |
16.03 |
14.95 |
(e) Foreign bills discounted |
25.32 |
25.91 |
31.55 |
29.81 |
30.48 |
30.53 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.) |
|||||||
(Amount in ` Billion) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar 2012 |
Apr 2012 |
May 2012 |
Jun 2012 |
Jul 2012 |
Aug 2012 |
Sep 2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Foreign Banks |
|||||||
No. of Reporting Banks |
41 |
41 |
41 |
41 |
41 |
41 |
41 |
I Liabilities to the banking System |
131.82 |
168.71 |
140.18 |
146.86 |
151.90 |
115.34 |
113.94 |
(a) Demand and time deposits from banks |
35.22 |
34.53 |
33.30 |
34.63 |
39.33 |
38.86 |
39.43 |
(b) Borrowing from banks |
93.13 |
129.43 |
101.49 |
107.17 |
107.52 |
71.43 |
71.41 |
(c) Other demand and time liabilities |
3.48 |
4.75 |
5.38 |
5.05 |
5.04 |
5.05 |
3.11 |
II Liabilities to others in India |
3390.46 |
3247.20 |
3329.77 |
3534.43 |
3495.50 |
3481.79 |
3517.06 |
(a) Aggregate deposits |
2661.82 |
2638.21 |
2660.58 |
2769.46 |
2764.62 |
2792.52 |
2779.05 |
(i) Demand deposits |
851.71 |
813.90 |
789.41 |
812.95 |
770.68 |
793.74 |
744.87 |
(ii) Time Deposits |
1810.11 |
1824.31 |
1871.18 |
1956.50 |
1993.94 |
1998.77 |
2034.18 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
338.06 |
261.68 |
298.74 |
361.99 |
339.85 |
310.16 |
349.16 |
(c) Other demand and time liabilities |
390.58 |
347.31 |
370.44 |
402.98 |
391.03 |
379.11 |
388.86 |
III Assets with the banking system |
401.21 |
380.55 |
345.21 |
354.01 |
324.98 |
287.14 |
275.24 |
Money at call and short notice |
12.09 |
12.31 |
17.71 |
8.87 |
3.72 |
10.39 |
15.99 |
IV Cash in Hand |
5.91 |
6.96 |
8.15 |
7.91 |
7.71 |
9.65 |
10.17 |
V Investment in India |
1288.56 |
1287.98 |
1294.77 |
1430.53 |
1491.05 |
1500.22 |
1533.82 |
(a) Government securities |
1288.54 |
1287.86 |
1294.75 |
1430.46 |
1490.93 |
1500.20 |
1533.80 |
(b) Other approved securities |
0.02 |
0.12 |
0.02 |
0.07 |
0.12 |
0.02 |
0.02 |
VI Bank Credit |
2321.16 |
2342.05 |
2387.32 |
2442.10 |
2436.23 |
2374.02 |
2357.31 |
(a) Loans Cash Credit and Overdrafts |
2088.96 |
2085.21 |
2143.79 |
2188.56 |
2207.37 |
2135.87 |
2134.71 |
(b) Inland Bills Purchased |
9.40 |
9.90 |
9.82 |
11.13 |
10.13 |
11.41 |
9.19 |
(c) Inland Bills Discounted |
72.46 |
99.76 |
103.57 |
112.43 |
111.26 |
103.53 |
99.58 |
(d) Foreign bills purchased |
62.40 |
69.65 |
48.47 |
48.08 |
32.76 |
40.07 |
35.67 |
(e) Foreign bills discounted |
87.93 |
77.53 |
81.67 |
81.90 |
74.71 |
83.14 |
78.17 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.) |
||||||
(Amount in ` Billion) |
||||||
Items |
As on the last reporting Friday of |
|||||
Oct 2012 |
Nov 2012 |
Dec 2012 |
Jan 2013 |
Feb 2013 |
Mar 2013 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Foreign Banks |
||||||
No. of Reporting Banks |
41 |
41 |
41 |
41 |
41 |
41 |
I Liabilities to the banking System |
124.73 |
105.05 |
127.43 |
122.82 |
115.00 |
178.04 |
(a) Demand and time deposits from banks |
41.02 |
39.34 |
43.71 |
47.97 |
45.57 |
45.46 |
(b) Borrowing from banks |
78.59 |
59.86 |
76.32 |
67.29 |
63.36 |
126.37 |
(c) Other demand and time liabilities |
5.12 |
5.85 |
7.40 |
7.56 |
6.07 |
6.21 |
II Liabilities to others in India |
3443.97 |
3562.44 |
3563.26 |
3483.57 |
3579.56 |
3599.72 |
(a) Aggregate deposits |
2745.52 |
2836.95 |
2820.67 |
2778.51 |
2825.81 |
2800.22 |
(i) Demand deposits |
707.45 |
780.26 |
816.68 |
768.69 |
789.63 |
786.91 |
(ii) Time Deposits |
2038.06 |
2056.70 |
2003.99 |
2009.82 |
2036.18 |
2013.31 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
311.92 |
352.08 |
352.55 |
314.29 |
352.28 |
383.55 |
(c) Other demand and time liabilities |
386.54 |
373.41 |
390.05 |
390.77 |
401.48 |
415.95 |
III Assets with the banking system |
268.74 |
256.04 |
249.44 |
235.80 |
190.76 |
293.89 |
Money at call and short notice |
11.32 |
7.53 |
17.01 |
4.69 |
12.61 |
18.72 |
IV Cash in Hand |
10.64 |
12.51 |
12.26 |
12.29 |
10.75 |
5.65 |
V Investment in India |
1421.25 |
1411.25 |
1420.94 |
1458.62 |
1479.09 |
1353.91 |
(a) Government securities |
1421.23 |
1411.23 |
1420.92 |
1458.60 |
1479.07 |
1350.89 |
(b) Other approved securities |
0.02 |
0.02 |
0.02 |
0.02 |
0.02 |
3.02 |
VI Bank Credit |
2392.62 |
2471.43 |
2579.37 |
2538.69 |
2598.41 |
2633.16 |
(a) Loans Cash Credit and Overdrafts |
2133.15 |
2226.88 |
2284.01 |
2254.46 |
2322.74 |
2342.40 |
(b) Inland Bills Purchased |
8.27 |
9.76 |
9.11 |
8.88 |
10.60 |
12.19 |
(c) Inland Bills Discounted |
100.94 |
107.73 |
121.99 |
128.67 |
140.54 |
131.68 |
(d) Foreign bills purchased |
42.13 |
22.15 |
46.41 |
37.70 |
29.59 |
43.18 |
(e) Foreign bills discounted |
108.14 |
104.91 |
117.85 |
108.98 |
94.93 |
103.71 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.) |
|||||||
(Amount in ` Billion) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar 2012 |
Apr 2012 |
May 2012 |
Jun 2012 |
Jul 2012 |
Aug 2012 |
Sep 2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Regional Rural Banks |
|||||||
No. of Reporting Banks |
82 |
82 |
82 |
82 |
82 |
82 |
82 |
I Liabilities to the banking System |
34.86 |
29.30 |
27.49 |
33.92 |
31.19 |
32.92 |
28.75 |
(a) Demand and time deposits from banks |
7.51 |
9.06 |
8.70 |
9.79 |
6.70 |
9.20 |
10.41 |
(b) Borrowing from banks |
27.33 |
20.07 |
18.76 |
24.06 |
18.66 |
19.69 |
17.96 |
(c) Other demand and time liabilities |
0.02 |
0.17 |
0.02 |
0.06 |
5.83 |
4.03 |
0.38 |
II Liabilities to others in India |
1787.48 |
1825.75 |
1831.18 |
1853.56 |
1871.03 |
1891.20 |
1913.01 |
(a) Aggregate deposits |
1733.93 |
1775.54 |
1780.89 |
1798.71 |
1821.66 |
1839.34 |
1861.66 |
(i) Demand deposits |
344.79 |
356.99 |
350.94 |
355.28 |
361.32 |
361.77 |
365.14 |
(ii) Time Deposits |
1389.14 |
1418.55 |
1429.96 |
1443.43 |
1460.33 |
1477.57 |
1496.52 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
1.60 |
1.60 |
1.60 |
0.12 |
0.11 |
0.15 |
0.55 |
(c) Other demand and time liabilities |
51.95 |
48.61 |
48.69 |
54.73 |
49.26 |
51.71 |
50.80 |
III Assets with the banking system |
468.84 |
476.89 |
473.11 |
488.07 |
482.05 |
481.46 |
489.49 |
Money at call and short notice |
47.38 |
44.63 |
44.46 |
46.49 |
48.16 |
49.29 |
50.08 |
IV Cash in Hand |
18.20 |
17.27 |
17.69 |
19.45 |
16.95 |
16.75 |
15.68 |
V Investment in India |
487.59 |
491.76 |
491.00 |
490.66 |
495.80 |
495.33 |
494.75 |
(a) Government securities |
471.79 |
474.38 |
474.92 |
477.02 |
479.44 |
480.14 |
480.97 |
(b) Other approved securities |
15.80 |
17.38 |
16.07 |
13.64 |
16.37 |
15.19 |
13.78 |
VI Bank Credit |
1111.29 |
1147.41 |
1147.76 |
1169.29 |
1187.26 |
1204.96 |
1197.52 |
(a) Loans Cash Credit and Overdrafts |
1110.82 |
1146.59 |
1147.15 |
1169.04 |
1187.10 |
1204.76 |
1197.36 |
(b) Inland Bills Purchased |
0.31 |
0.36 |
0.18 |
0.14 |
0.08 |
0.09 |
0.08 |
(c) Inland Bills Discounted |
0.16 |
0.46 |
0.43 |
0.11 |
0.09 |
0.11 |
0.08 |
(d) Foreign bills purchased |
- |
- |
- |
- |
- |
- |
- |
(e) Foreign bills discounted |
- |
- |
- |
- |
- |
- |
- |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.) |
||||||
(Amount in ` Billion) |
||||||
Items |
As on the last reporting Friday of |
|||||
Oct 2012 |
Nov 2012 |
Dec 2012 |
Jan 2013 |
Feb 2013 |
Mar 2013 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Regional Rural Banks |
||||||
No. of Reporting Banks |
78 |
71 |
71 |
67 |
66 |
64 |
I Liabilities to the banking System |
26.17 |
26.77 |
29.15 |
28.93 |
27.80 |
45.77 |
(a) Demand and time deposits from banks |
10.34 |
10.45 |
10.22 |
10.73 |
8.07 |
16.85 |
(b) Borrowing from banks |
15.28 |
16.31 |
18.82 |
17.92 |
19.68 |
22.33 |
(c) Other demand and time liabilities |
0.55 |
- |
0.11 |
0.28 |
0.05 |
6.59 |
II Liabilities to others in India |
1927.02 |
1927.92 |
1958.40 |
1991.70 |
2010.76 |
2023.29 |
(a) Aggregate deposits |
1876.72 |
1868.70 |
1898.18 |
1933.73 |
1952.93 |
1964.22 |
(i) Demand deposits |
361.25 |
353.22 |
358.51 |
365.77 |
368.29 |
372.69 |
(ii) Time Deposits |
1515.47 |
1515.48 |
1539.67 |
1567.96 |
1584.64 |
1591.54 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
0.69 |
0.10 |
0.06 |
0.07 |
0.05 |
0.06 |
(c) Other demand and time liabilities |
49.61 |
59.12 |
60.16 |
57.90 |
57.77 |
59.01 |
III Assets with the banking system |
482.54 |
482.74 |
511.21 |
504.07 |
506.82 |
565.57 |
Money at call and short notice |
49.30 |
43.32 |
44.97 |
45.47 |
38.66 |
38.16 |
IV Cash in Hand |
15.35 |
18.34 |
18.66 |
15.95 |
17.45 |
18.10 |
V Investment in India |
500.09 |
496.60 |
500.93 |
501.07 |
505.97 |
503.48 |
(a) Government securities |
483.65 |
484.61 |
488.56 |
488.62 |
495.17 |
491.78 |
(b) Other approved securities |
16.44 |
11.99 |
12.37 |
12.46 |
10.79 |
11.70 |
VI Bank Credit |
1262.79 |
1284.28 |
1292.45 |
1307.43 |
1312.57 |
1299.36 |
(a) Loans Cash Credit and Overdrafts |
1262.57 |
1284.04 |
1292.17 |
1307.17 |
1312.26 |
1299.02 |
(b) Inland Bills Purchased |
0.14 |
0.18 |
0.21 |
0.21 |
0.27 |
0.31 |
(c) Inland Bills Discounted |
0.08 |
0.05 |
0.06 |
0.05 |
0.05 |
0.03 |
(d) Foreign bills purchased |
- |
- |
- |
- |
- |
- |
(e) Foreign bills discounted |
- |
- |
- |
- |
- |
- |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.) |
|||||||
(Amount in ` Billion) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar 2012 |
Apr 2012 |
May 2012 |
Jun 2012 |
Jul 2012 |
Aug 2012 |
Sep 2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Scheduled State Co-op. Banks |
|||||||
No. of Reporting Banks |
16 |
16 |
16 |
16 |
16 |
16 |
16 |
I Liabilities to the banking System |
- |
0.04 |
0.01 |
0.57 |
- |
0.01 |
0.01 |
(a) Demand and time deposits from banks |
- |
- |
- |
- |
- |
- |
- |
(b) Borrowing from banks |
- |
0.04 |
0.01 |
0.57 |
- |
0.01 |
0.01 |
(c) Other demand and time liabilities |
- |
- |
- |
- |
- |
- |
- |
II Liabilities to others in India |
677.60 |
685.78 |
676.56 |
690.34 |
702.96 |
705.47 |
696.02 |
(a) Aggregate deposits |
640.22 |
650.67 |
646.75 |
659.35 |
673.22 |
674.16 |
672.39 |
(i) Demand deposits |
44.68 |
44.58 |
43.59 |
53.65 |
48.15 |
50.58 |
49.37 |
(ii) Time Deposits |
595.54 |
606.10 |
603.16 |
605.70 |
625.07 |
623.58 |
623.01 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
9.76 |
4.01 |
3.84 |
5.24 |
5.45 |
7.85 |
1.56 |
(c) Other demand and time liabilities |
27.63 |
31.10 |
25.97 |
25.76 |
24.29 |
23.46 |
22.08 |
III Assets with the banking system |
176.70 |
188.27 |
191.06 |
176.72 |
168.60 |
167.48 |
178.87 |
Money at call and short notice |
117.72 |
114.68 |
117.65 |
101.74 |
93.27 |
92.82 |
96.99 |
IV Cash in Hand |
0.96 |
0.98 |
1.01 |
1.10 |
1.08 |
1.09 |
1.10 |
V Investment in India |
209.41 |
212.60 |
213.43 |
213.03 |
215.29 |
213.29 |
213.08 |
(a) Government securities |
209.17 |
211.28 |
213.24 |
212.83 |
215.09 |
213.10 |
212.89 |
(b) Other approved securities |
0.24 |
1.32 |
0.20 |
0.20 |
0.20 |
0.20 |
0.19 |
VI Bank Credit |
694.16 |
696.74 |
695.77 |
717.17 |
747.64 |
762.05 |
777.21 |
(a) Loans Cash Credit and Overdrafts |
694.05 |
696.63 |
695.71 |
717.06 |
747.53 |
761.98 |
777.13 |
(b) Inland Bills Purchased |
0.03 |
0.04 |
0.02 |
0.05 |
0.04 |
0.01 |
0.04 |
(c) Inland Bills Discounted |
- |
- |
- |
- |
- |
- |
- |
(d) Foreign bills purchased |
0.08 |
0.07 |
0.03 |
0.06 |
0.07 |
0.06 |
0.04 |
(e) Foreign bills discounted |
- |
- |
- |
- |
- |
- |
- |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.) |
||||||
(Amount in ` Billion) |
||||||
Items |
As on the last reporting Friday of |
|||||
Oct 2012 |
Nov 2012 |
Dec 2012 |
Jan 2013 |
Feb 2013 |
Mar 2013 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Scheduled State Co-op. Banks |
||||||
No. of Reporting Banks |
16 |
16 |
16 |
16 |
16 |
16 |
I Liabilities to the banking System |
- |
- |
2.09 |
6.71 |
2.94 |
0.77 |
(a) Demand and time deposits from banks |
- |
- |
- |
- |
- |
- |
(b) Borrowing from banks |
- |
- |
2.09 |
6.71 |
2.94 |
0.77 |
(c) Other demand and time liabilities |
- |
- |
- |
- |
- |
- |
II Liabilities to others in India |
693.84 |
699.83 |
714.06 |
725.35 |
730.82 |
737.98 |
(a) Aggregate deposits |
671.14 |
673.18 |
689.62 |
701.93 |
706.02 |
714.63 |
(i) Demand deposits |
50.93 |
50.11 |
52.30 |
50.81 |
49.15 |
51.74 |
(ii) Time Deposits |
620.21 |
623.07 |
637.32 |
651.13 |
656.87 |
662.89 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
0.28 |
2.48 |
1.31 |
0.39 |
1.10 |
0.25 |
(c) Other demand and time liabilities |
22.41 |
24.18 |
23.12 |
23.03 |
23.71 |
23.10 |
III Assets with the banking system |
152.38 |
157.21 |
195.63 |
160.12 |
138.87 |
152.45 |
Money at call and short notice |
80.65 |
85.23 |
112.96 |
103.03 |
91.28 |
97.51 |
IV Cash in Hand |
1.00 |
1.09 |
1.16 |
1.04 |
1.10 |
1.17 |
V Investment in India |
213.58 |
214.79 |
222.94 |
225.82 |
224.49 |
224.80 |
(a) Government securities |
213.39 |
214.61 |
222.77 |
225.69 |
224.36 |
224.67 |
(b) Other approved securities |
0.19 |
0.18 |
0.18 |
0.13 |
0.13 |
0.13 |
VI Bank Credit |
791.58 |
796.49 |
814.04 |
825.91 |
838.66 |
853.07 |
(a) Loans Cash Credit and Overdrafts |
791.52 |
796.38 |
813.91 |
825.79 |
838.58 |
853.00 |
(b) Inland Bills Purchased |
0.03 |
0.03 |
0.05 |
0.05 |
0.04 |
0.03 |
(c) Inland Bills Discounted |
- |
- |
- |
- |
- |
- |
(d) Foreign bills purchased |
0.03 |
0.08 |
0.09 |
0.08 |
0.04 |
0.05 |
(e) Foreign bills discounted |
- |
- |
- |
- |
- |
- |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Contd.) |
|||||||
(Amount in ` Billion) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar 2012 |
Apr 2012 |
May 2012 |
Jun 2012 |
Jul 2012 |
Aug 2012 |
Sep 2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Scheduled Urban Co-operative Banks |
|||||||
No. of Reporting Banks |
52 |
52 |
52 |
51 |
51 |
51 |
51 |
I Liabilities to the banking System |
32.89 |
36.14 |
37.00 |
30.67 |
32.29 |
34.22 |
33.08 |
(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 |
2.43 |
3.44 |
2.13 |
2.65 |
4.04 |
2.44 |
(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 |
1088.95 |
1114.79 |
1123.09 |
1136.51 |
1152.10 |
1167.44 |
1178.35 |
(a) Aggregate deposits |
1046.89 |
1070.40 |
1079.17 |
1099.05 |
1114.29 |
1127.18 |
1136.14 |
(i) Demand deposits |
103.68 |
103.80 |
103.08 |
105.28 |
105.12 |
109.59 |
105.35 |
(ii) Time Deposits |
943.21 |
966.60 |
976.08 |
993.77 |
1009.17 |
1017.60 |
1030.79 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
8.99 |
10.68 |
10.58 |
8.95 |
9.53 |
9.22 |
9.77 |
(c) Other demand and time liabilities |
33.07 |
33.70 |
33.34 |
28.51 |
28.29 |
31.03 |
32.44 |
III Assets with the banking system |
84.30 |
92.30 |
88.75 |
93.56 |
98.29 |
99.67 |
100.64 |
Money at call and short notice |
6.39 |
7.02 |
5.28 |
5.69 |
6.50 |
6.57 |
5.13 |
IV Cash in Hand |
7.44 |
8.13 |
8.55 |
8.62 |
9.22 |
9.82 |
9.42 |
V Investment in India |
325.59 |
329.62 |
333.65 |
342.42 |
347.24 |
357.26 |
358.38 |
(a) Government securities |
323.35 |
327.49 |
331.52 |
340.30 |
345.14 |
355.14 |
356.28 |
(b) Other approved securities |
2.24 |
2.13 |
2.13 |
2.12 |
2.10 |
2.12 |
2.10 |
VI Bank Credit |
725.14 |
732.73 |
739.25 |
735.52 |
737.69 |
744.61 |
754.06 |
(a) Loans Cash Credit and Overdrafts |
706.60 |
713.38 |
719.02 |
716.07 |
717.68 |
724.56 |
733.85 |
(b) Inland Bills Purchased |
4.87 |
5.05 |
4.92 |
4.12 |
4.80 |
4.40 |
5.37 |
(c) Inland Bills Discounted |
9.86 |
10.33 |
11.24 |
10.94 |
11.67 |
12.27 |
11.61 |
(d) Foreign bills purchased |
0.94 |
1.04 |
0.87 |
0.60 |
0.29 |
0.24 |
0.16 |
(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 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2012-13 (Concld.) |
||||||
(Amount in ` Billion) |
||||||
Items |
As on the last reporting Friday of |
|||||
Oct 2012 |
Nov 2012 |
Dec 2012 |
Jan 2013 |
Feb 2013 |
Mar 2013 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Scheduled Urban Co-operative Banks |
||||||
No. of Reporting Banks |
51 |
51 |
51 |
51 |
51 |
51 |
I Liabilities to the banking System |
35.08 |
32.75 |
32.95 |
34.24 |
34.20 |
36.43 |
(a) Demand and time deposits from banks |
31.13 |
29.83 |
29.89 |
30.59 |
31.15 |
32.72 |
(b) Borrowing from banks |
3.88 |
2.85 |
2.33 |
3.59 |
2.62 |
3.66 |
(c) Other demand and time liabilities |
0.06 |
0.06 |
0.73 |
0.05 |
0.43 |
0.06 |
II Liabilities to others in India |
1197.64 |
1210.81 |
1215.86 |
1222.68 |
1241.93 |
1242.98 |
(a) Aggregate deposits |
1158.60 |
1168.83 |
1171.27 |
1182.32 |
1196.44 |
1200.78 |
(i) Demand deposits |
105.30 |
111.54 |
108.64 |
106.39 |
110.32 |
108.53 |
(ii) Time Deposits |
1053.31 |
1057.29 |
1062.63 |
1075.93 |
1086.12 |
1092.25 |
(b) Borrowings (other than from RBI, NABARD, EXIM Bank) |
10.30 |
11.34 |
10.74 |
11.53 |
10.94 |
10.32 |
(c) Other demand and time liabilities |
28.74 |
30.64 |
33.85 |
28.83 |
34.55 |
31.88 |
III Assets with the banking system |
101.92 |
96.69 |
96.85 |
93.38 |
101.56 |
96.36 |
Money at call and short notice |
5.76 |
4.19 |
4.34 |
4.67 |
6.52 |
4.09 |
IV Cash in Hand |
8.63 |
10.07 |
9.37 |
8.34 |
9.57 |
8.77 |
V Investment in India |
365.36 |
372.53 |
372.02 |
375.79 |
375.84 |
374.40 |
(a) Government securities |
363.43 |
370.52 |
370.02 |
372.25 |
373.75 |
372.34 |
(b) Other approved securities |
1.93 |
2.00 |
2.00 |
3.55 |
2.09 |
2.06 |
VI Bank Credit |
762.82 |
768.09 |
793.17 |
799.80 |
807.78 |
823.75 |
(a) Loans Cash Credit and Overdrafts |
743.10 |
748.58 |
769.94 |
777.36 |
784.09 |
799.31 |
(b) Inland Bills Purchased |
5.27 |
5.47 |
5.36 |
4.80 |
5.89 |
4.42 |
(c) Inland Bills Discounted |
11.22 |
10.87 |
14.10 |
13.81 |
13.44 |
15.37 |
(d) Foreign bills purchased |
0.21 |
0.37 |
0.88 |
1.27 |
1.72 |
1.67 |
(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. |