Table 2.2 : Business of Scheduled Banks in India According to Bank Group - 2011-12 - ആർബിഐ - Reserve Bank of India
Table 2.2 : Business of Scheduled Banks in India According to Bank Group - 2011-12
(Amount in ` Billion) |
|||||||||||||
Item |
As on the last reporting friday of |
||||||||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2012 |
2012 |
2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
State Bank of India & its Associates |
|||||||||||||
No. of Reporting Banks |
6 |
6 |
6 |
6 |
6 |
6 |
6 |
6 |
6 |
6 |
6 |
6 |
6 |
I. Liabilities to the banking system |
144.81 |
194.73 |
172.14 |
188.88 |
173.81 |
173.17 |
164.25 |
174.15 |
167.69 |
201.71 |
173.68 |
192.92 |
150.53 |
(a) Demand and time deposits from banks |
97.21 |
113.61 |
95.69 |
97.23 |
95.08 |
90.54 |
86.78 |
91.30 |
88.40 |
93.11 |
86.47 |
81.81 |
95.52 |
(b) Borrowings from banks |
2.71 |
3.20 |
0.05 |
10.55 |
3.01 |
6.65 |
1.15 |
6.25 |
2.65 |
14.00 |
10.45 |
10.90 |
18.65 |
(c) Other demand and time liabilities |
44.90 |
77.91 |
76.40 |
81.10 |
75.72 |
75.98 |
76.33 |
76.60 |
76.64 |
94.60 |
76.75 |
100.21 |
36.36 |
II. Liabilities to others in India |
12700.38 |
12988.50 |
12919.40 |
12878.59 |
13315.58 |
13314.47 |
13291.85 |
13434.15 |
13497.29 |
13720.66 |
13827.51 |
13774.53 |
14099.92 |
(a) Aggregate deposits |
11646.66 |
11782.79 |
11802.86 |
11815.64 |
12312.97 |
12292.30 |
12258.57 |
12447.02 |
12522.78 |
12738.56 |
12962.28 |
12881.89 |
13136.95 |
(i) Demand deposits |
1420.44 |
1125.13 |
1043.53 |
1023.35 |
1027.70 |
995.81 |
957.62 |
1011.88 |
983.53 |
1039.56 |
1032.45 |
950.88 |
1020.40 |
(ii) Time Deposits |
10226.22 |
10657.66 |
10759.33 |
10792.29 |
11285.28 |
11296.49 |
11300.95 |
11435.14 |
11539.25 |
11699.00 |
11929.84 |
11931.01 |
12116.55 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
14.13 |
14.37 |
28.07 |
36.98 |
28.80 |
30.96 |
32.82 |
31.75 |
32.34 |
35.60 |
32.80 |
30.01 |
28.15 |
(c) Other demand and time liabilities |
1039.59 |
1191.34 |
1088.47 |
1025.96 |
973.81 |
991.22 |
1000.46 |
955.38 |
942.17 |
946.51 |
832.43 |
862.63 |
934.82 |
III. Assets with the banking system |
224.15 |
310.62 |
304.65 |
310.33 |
324.63 |
351.84 |
357.71 |
365.82 |
364.32 |
380.13 |
368.28 |
358.07 |
193.86 |
Money at call and short notice |
19.29 |
18.51 |
10.93 |
4.00 |
13.40 |
9.50 |
11.35 |
16.25 |
15.75 |
34.50 |
29.30 |
26.25 |
21.69 |
IV.Cash in hand |
83.26 |
79.30 |
86.07 |
89.85 |
94.06 |
93.84 |
98.25 |
102.34 |
104.04 |
104.54 |
103.59 |
105.92 |
101.50 |
V.Investment in India |
3213.73 |
3357.42 |
3296.99 |
3332.55 |
3542.01 |
3580.24 |
3470.10 |
3451.99 |
3503.05 |
3398.97 |
3461.12 |
3451.89 |
3445.90 |
(a) Government securities |
3208.17 |
3351.88 |
3291.45 |
3327.00 |
3536.47 |
3575.61 |
3465.65 |
3447.60 |
3498.70 |
3396.50 |
3459.57 |
3450.75 |
3445.69 |
(b) Other approved securities |
5.57 |
5.55 |
5.55 |
5.54 |
5.54 |
4.63 |
4.45 |
4.39 |
4.35 |
2.47 |
1.55 |
1.13 |
0.22 |
VI. Bank Credit |
8818.82 |
8813.78 |
8951.10 |
8981.69 |
8969.02 |
9049.93 |
9158.44 |
9260.05 |
9390.25 |
9817.21 |
9827.92 |
9983.54 |
10214.79 |
(a) Loans cash credit and overdrafts |
8430.65 |
8420.03 |
8557.65 |
8586.92 |
8553.17 |
8630.04 |
8715.74 |
8800.22 |
8912.08 |
9299.84 |
9298.44 |
9442.56 |
9640.61 |
(b) Inland bills purchased |
26.42 |
24.86 |
22.30 |
19.22 |
15.36 |
15.37 |
19.05 |
20.71 |
23.91 |
25.83 |
27.35 |
26.48 |
29.71 |
(c) Inland bills discounted |
286.59 |
293.10 |
296.68 |
302.91 |
329.38 |
329.93 |
334.88 |
348.24 |
358.86 |
382.21 |
388.30 |
405.73 |
435.25 |
(d) Foreign bills purchased |
8.69 |
8.65 |
9.17 |
9.40 |
9.22 |
9.21 |
10.47 |
10.35 |
10.58 |
11.85 |
13.56 |
12.91 |
12.01 |
(e) Foreign bills discounted |
66.47 |
67.14 |
65.30 |
63.24 |
61.90 |
65.39 |
78.30 |
80.53 |
84.82 |
97.48 |
100.28 |
95.86 |
97.21 |
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 2011-12 (Contd.) |
|||||||||||||
(Amount in ` Billion) |
|||||||||||||
Item |
As on the last reporting friday of |
||||||||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2012 |
2012 |
2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Nationalised Banks $ |
|||||||||||||
No. of Reporting Banks |
20 |
20 |
20 |
20 |
20 |
20 |
20 |
20 |
20 |
20 |
20 |
20 |
20 |
I. Liabilities to the banking system |
589.33 |
550.40 |
534.71 |
550.65 |
545.80 |
559.36 |
539.94 |
541.70 |
521.49 |
550.77 |
577.28 |
614.21 |
648.64 |
(a) Demand and time deposits from banks |
473.84 |
449.46 |
434.58 |
447.37 |
450.14 |
470.36 |
453.35 |
454.47 |
447.44 |
480.29 |
490.11 |
526.94 |
559.56 |
(b) Borrowings from banks |
99.67 |
85.05 |
84.72 |
88.13 |
80.02 |
73.03 |
70.85 |
71.98 |
58.64 |
55.29 |
71.50 |
71.29 |
73.27 |
(c) Other demand and time liabilities |
15.82 |
15.88 |
15.41 |
15.15 |
15.64 |
15.97 |
15.74 |
15.24 |
15.41 |
15.19 |
15.66 |
15.98 |
15.81 |
II. Liabilities to others in India |
29058.61 |
30019.98 |
30004.71 |
30269.41 |
30666.88 |
30809.51 |
30950.69 |
31274.24 |
31415.93 |
32659.34 |
32236.26 |
32573.88 |
33305.31 |
(a) Aggregate deposits |
27078.17 |
27982.19 |
27940.71 |
28152.08 |
28529.05 |
28646.74 |
28730.08 |
29160.94 |
29260.53 |
30431.60 |
30075.72 |
30448.81 |
31015.28 |
(i) Demand deposits |
2357.96 |
2157.38 |
2070.80 |
2038.90 |
2126.67 |
2103.84 |
2096.74 |
2145.53 |
2129.24 |
2453.14 |
2229.20 |
2241.39 |
2347.15 |
(ii) Time Deposits |
24720.21 |
25824.81 |
25869.91 |
26113.18 |
26402.38 |
26542.90 |
26633.35 |
27015.41 |
27131.28 |
27978.47 |
27846.53 |
28207.42 |
28668.14 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
593.43 |
635.02 |
592.48 |
604.03 |
639.11 |
665.12 |
684.17 |
680.68 |
652.46 |
621.50 |
615.19 |
651.97 |
730.45 |
(c) Other demand and time liabilities |
1387.01 |
1402.77 |
1471.51 |
1513.30 |
1498.71 |
1497.65 |
1536.44 |
1432.62 |
1502.95 |
1606.23 |
1545.35 |
1473.10 |
1559.58 |
III. Assets with the banking system |
435.26 |
341.69 |
300.84 |
355.36 |
344.64 |
369.20 |
404.63 |
386.45 |
419.24 |
544.81 |
504.61 |
498.50 |
503.87 |
Money at call and short notice |
65.76 |
60.92 |
37.20 |
102.95 |
77.35 |
89.17 |
100.20 |
81.05 |
109.40 |
113.28 |
126.78 |
104.98 |
113.80 |
IV. Cash in hand |
103.75 |
107.27 |
116.39 |
119.16 |
123.17 |
121.21 |
123.26 |
130.70 |
132.30 |
124.72 |
127.83 |
126.89 |
122.78 |
V. Investment in India |
7567.30 |
7899.80 |
7971.24 |
8103.92 |
8530.35 |
8558.95 |
8627.26 |
8676.94 |
8617.60 |
8636.44 |
8551.13 |
8954.32 |
8776.12 |
(a) Government securities |
7541.40 |
7874.05 |
7945.50 |
8078.11 |
8506.34 |
8537.34 |
8606.09 |
8656.04 |
8596.79 |
8620.11 |
8535.76 |
8939.85 |
8764.65 |
(b) Other approved securities |
25.91 |
25.74 |
25.73 |
25.81 |
24.00 |
21.62 |
21.17 |
20.90 |
20.81 |
16.33 |
15.37 |
14.47 |
11.47 |
VI. Bank Credit |
20385.26 |
20330.60 |
20449.69 |
20634.97 |
20615.84 |
20734.19 |
20844.60 |
21097.52 |
21274.84 |
22311.42 |
22175.34 |
22471.76 |
23728.93 |
(a) Loans cash credit and overdrafts |
19789.30 |
19735.29 |
19860.06 |
20066.99 |
20084.02 |
20221.04 |
20322.70 |
20576.67 |
20761.53 |
21732.64 |
21620.62 |
21913.76 |
23098.07 |
(b) Inland bills purchased |
75.06 |
75.54 |
71.82 |
67.18 |
62.93 |
62.99 |
63.48 |
68.23 |
68.77 |
87.03 |
85.58 |
88.77 |
93.95 |
(c) Inland bills discounted |
244.63 |
249.69 |
247.45 |
234.82 |
205.51 |
186.48 |
185.86 |
169.96 |
166.97 |
190.42 |
175.83 |
182.26 |
242.89 |
(d) Foreign bills purchased |
111.82 |
106.92 |
106.83 |
105.30 |
101.91 |
101.90 |
107.63 |
110.83 |
108.72 |
122.39 |
118.49 |
112.86 |
114.03 |
(e) Foreign bills discounted |
164.45 |
163.16 |
163.54 |
160.69 |
161.47 |
161.79 |
164.93 |
171.83 |
168.85 |
178.94 |
174.82 |
174.10 |
180.00 |
Note : $ Includes IDBI Bank Ltd. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2011-12 (Contd.) |
|||||||||||||
(Amount in ` Billion) |
|||||||||||||
Item |
As on the last reporting friday of |
||||||||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2012 |
2012 |
2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Old Private Sector Banks |
|||||||||||||
No. of Reporting Banks |
14 |
14 |
14 |
14 |
13 |
13 |
13 |
13 |
13 |
13 |
13 |
13 |
13 |
I. Liabilities to the banking system |
20.08 |
27.62 |
24.97 |
24.56 |
38.62 |
39.10 |
25.66 |
26.16 |
27.77 |
32.57 |
33.15 |
28.80 |
30.33 |
(a) Demand and time deposits from banks |
15.14 |
8.66 |
15.44 |
16.58 |
15.74 |
18.67 |
15.62 |
19.79 |
19.15 |
21.63 |
19.92 |
22.62 |
24.65 |
(b) Borrowings from banks |
3.48 |
17.47 |
7.98 |
6.45 |
21.29 |
18.75 |
8.58 |
4.89 |
7.00 |
9.36 |
11.63 |
4.13 |
3.16 |
(c) Other demand and time liabilities |
1.46 |
1.48 |
1.55 |
1.53 |
1.59 |
1.68 |
1.46 |
1.48 |
1.62 |
1.58 |
1.60 |
2.04 |
2.53 |
II. Liabilities to others in India |
2587.54 |
2585.77 |
2594.78 |
2636.15 |
2707.60 |
2757.59 |
2832.77 |
2873.25 |
2899.53 |
2948.91 |
2949.98 |
2952.75 |
3049.90 |
(a) Aggregate deposits |
2463.34 |
2452.03 |
2469.58 |
2500.34 |
2569.41 |
2615.05 |
2685.57 |
2727.18 |
2752.21 |
2788.97 |
2794.64 |
2793.84 |
2868.49 |
(i) Demand deposits |
254.66 |
235.11 |
234.04 |
234.10 |
233.54 |
233.24 |
230.64 |
232.42 |
232.78 |
249.42 |
246.24 |
246.29 |
247.27 |
(ii) Time Deposits |
2208.68 |
2216.92 |
2235.54 |
2266.24 |
2335.87 |
2381.81 |
2454.93 |
2494.76 |
2519.43 |
2539.55 |
2548.40 |
2547.55 |
2621.23 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
36.32 |
40.11 |
45.18 |
51.21 |
55.81 |
61.39 |
62.19 |
68.05 |
66.16 |
73.90 |
64.94 |
67.54 |
86.68 |
(c) Other demand and time liabilities |
87.88 |
93.63 |
80.01 |
84.60 |
82.38 |
81.15 |
85.01 |
78.02 |
81.17 |
86.05 |
90.40 |
91.37 |
94.72 |
III. Assets with the banking system |
39.65 |
25.06 |
24.55 |
35.66 |
30.49 |
34.58 |
43.10 |
26.04 |
28.92 |
39.39 |
34.87 |
34.38 |
32.19 |
Money at call and short notice |
5.30 |
1.75 |
0.00 |
4.50 |
7.67 |
2.35 |
12.15 |
1.45 |
4.50 |
6.05 |
5.45 |
4.46 |
9.80 |
IV. Cash in hand |
20.36 |
20.83 |
24.65 |
23.32 |
23.57 |
24.14 |
25.66 |
27.20 |
25.03 |
25.69 |
25.07 |
24.94 |
23.27 |
V. Investment in India |
648.09 |
658.12 |
668.98 |
685.23 |
711.10 |
719.24 |
728.51 |
742.69 |
753.61 |
746.26 |
750.84 |
788.13 |
779.23 |
(a) Government securities |
647.57 |
657.62 |
668.48 |
684.72 |
710.60 |
718.75 |
728.04 |
742.23 |
753.14 |
745.87 |
750.51 |
787.93 |
779.05 |
(b) Other approved securities |
0.52 |
0.50 |
0.50 |
0.50 |
0.50 |
0.49 |
0.47 |
0.47 |
0.47 |
0.39 |
0.34 |
0.20 |
0.18 |
VI Bank Credit |
1833.64 |
1823.90 |
1830.12 |
1863.91 |
1895.44 |
1910.56 |
1962.07 |
1990.05 |
2018.11 |
2092.85 |
2093.06 |
2112.81 |
2228.73 |
(a) Loans cash credit and overdrafts |
1741.67 |
1734.51 |
1741.96 |
1779.46 |
1806.35 |
1819.89 |
1870.17 |
1894.96 |
1919.13 |
1992.45 |
1997.36 |
2016.29 |
2125.59 |
(b) Inland bills purchased |
17.76 |
15.24 |
12.42 |
10.69 |
15.06 |
16.86 |
19.24 |
22.78 |
26.25 |
28.86 |
26.53 |
27.16 |
25.64 |
(c) Inland bills discounted |
50.52 |
51.05 |
53.17 |
51.38 |
51.19 |
48.90 |
46.20 |
45.38 |
45.53 |
44.35 |
42.74 |
43.28 |
51.87 |
(d) Foreign bills purchased |
12.91 |
12.36 |
11.74 |
11.23 |
11.91 |
13.81 |
13.10 |
13.65 |
13.88 |
14.20 |
14.31 |
14.00 |
12.98 |
(e) Foreign bills discounted |
10.79 |
10.74 |
10.84 |
11.15 |
10.93 |
11.10 |
13.35 |
13.28 |
13.32 |
12.99 |
12.12 |
12.09 |
12.66 |
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 2011-12 (Contd.) |
|||||||||||||
(Amount in ` Billion) |
|||||||||||||
Item |
As on the last reporting friday of |
||||||||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2012 |
2012 |
2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
New Private Sector Banks |
|||||||||||||
No. of Reporting Banks |
7 |
7 |
7 |
7 |
7 |
7 |
7 |
7 |
7 |
7 |
7 |
7 |
7 |
I. Liabilities to the banking system |
200.36 |
200.84 |
160.68 |
167.33 |
177.54 |
186.37 |
204.38 |
202.28 |
243.17 |
228.55 |
234.76 |
199.67 |
227.00 |
(a) Demand and time deposits from banks |
117.34 |
116.40 |
104.00 |
103.26 |
110.39 |
115.44 |
108.32 |
106.20 |
117.45 |
126.60 |
113.39 |
117.71 |
120.08 |
(b) Borrowings from banks |
79.64 |
81.52 |
53.53 |
60.74 |
64.41 |
68.03 |
93.05 |
93.43 |
122.98 |
98.81 |
118.71 |
79.06 |
103.68 |
(c) Other demand and time liabilities |
3.38 |
2.93 |
3.15 |
3.32 |
2.73 |
2.89 |
3.01 |
2.65 |
2.74 |
3.14 |
2.66 |
2.90 |
3.23 |
II. Liabilities to others in India |
7869.40 |
7920.32 |
8051.47 |
8065.60 |
8382.11 |
8477.84 |
8512.44 |
8741.13 |
8733.24 |
9242.87 |
8997.16 |
9069.41 |
9256.18 |
(a) Aggregate deposits |
6898.72 |
6925.36 |
6993.07 |
7030.38 |
7325.60 |
7397.55 |
7431.14 |
7636.68 |
7659.06 |
8080.86 |
7559.80 |
7694.84 |
7674.35 |
(i) Demand deposits |
1236.93 |
1117.69 |
1112.72 |
1094.50 |
1145.72 |
1140.40 |
1160.90 |
1174.52 |
1123.25 |
1551.70 |
1295.68 |
1337.05 |
1441.99 |
(ii) Time Deposits |
5661.80 |
5807.67 |
5880.34 |
5935.88 |
6179.88 |
6257.14 |
6270.25 |
6462.16 |
6535.81 |
6529.16 |
6264.12 |
6357.78 |
6232.36 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
407.85 |
413.17 |
444.21 |
451.32 |
477.15 |
485.04 |
499.53 |
512.65 |
501.00 |
526.02 |
807.86 |
750.32 |
879.60 |
(c) Other demand and time liabilities |
562.83 |
581.79 |
614.19 |
583.90 |
579.37 |
595.26 |
581.78 |
591.80 |
573.17 |
635.99 |
629.50 |
624.25 |
702.24 |
III. Assets with the banking system |
115.74 |
51.04 |
78.22 |
79.86 |
60.12 |
71.29 |
99.08 |
109.17 |
90.35 |
200.10 |
135.07 |
134.81 |
179.15 |
Money at call and short notice |
22.61 |
8.96 |
15.10 |
23.63 |
10.54 |
12.29 |
14.34 |
19.42 |
8.33 |
35.84 |
6.75 |
17.14 |
28.03 |
IV. Cash in hand |
71.50 |
78.07 |
85.06 |
82.35 |
89.82 |
93.20 |
90.05 |
108.68 |
99.19 |
99.59 |
92.05 |
86.54 |
89.63 |
V. Investment in India |
2057.65 |
2091.87 |
2242.77 |
2249.86 |
2326.69 |
2400.30 |
2411.86 |
2429.91 |
2422.52 |
2455.11 |
2417.98 |
2484.80 |
2600.46 |
(a) Government securities |
2057.27 |
2091.50 |
2242.40 |
2249.49 |
2326.32 |
2399.96 |
2411.54 |
2429.61 |
2422.22 |
2454.89 |
2417.86 |
2484.73 |
2600.46 |
(b) Other approved securities |
0.38 |
0.37 |
0.37 |
0.37 |
0.37 |
0.35 |
0.32 |
0.30 |
0.30 |
0.23 |
0.12 |
0.07 |
0.01 |
VI Bank Credit |
5457.89 |
5383.32 |
5385.75 |
5504.03 |
5577.28 |
5673.15 |
5746.97 |
5855.89 |
5904.18 |
6073.80 |
6107.02 |
6207.24 |
6513.62 |
(a) Loans cash credit and overdrafts |
5282.16 |
5214.06 |
5214.65 |
5322.36 |
5396.54 |
5493.78 |
5586.78 |
5679.70 |
5726.99 |
5899.91 |
5920.78 |
6008.64 |
6295.73 |
(b) Inland bills purchased |
6.91 |
7.38 |
7.11 |
8.00 |
8.70 |
7.71 |
7.12 |
6.84 |
7.04 |
4.71 |
4.21 |
4.21 |
4.42 |
(c) Inland bills discounted |
145.69 |
133.37 |
137.01 |
146.84 |
142.31 |
140.39 |
119.80 |
135.87 |
138.20 |
128.83 |
142.79 |
156.85 |
177.14 |
(d) Foreign bills purchased |
6.35 |
6.73 |
6.82 |
6.69 |
6.82 |
7.35 |
7.70 |
8.67 |
9.01 |
10.84 |
9.65 |
10.11 |
10.27 |
(e) Foreign bills discounted |
16.76 |
21.78 |
20.15 |
20.15 |
22.91 |
23.91 |
25.57 |
24.81 |
22.93 |
29.51 |
29.58 |
27.43 |
26.05 |
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 2011-12 (Contd.) |
|||||||||||||
(Amount in ` Billion) |
|||||||||||||
Item |
As on the last reporting friday of |
||||||||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2012 |
2012 |
2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Foreign Banks |
|||||||||||||
No. of Reporting Banks |
34 |
34 |
36 |
36 |
36 |
36 |
38 |
38 |
38 |
38 |
38 |
39 |
41 |
I. Liabilities to the banking system |
122.45 |
94.26 |
84.45 |
119.00 |
86.80 |
65.09 |
69.01 |
67.62 |
81.72 |
147.90 |
128.88 |
112.25 |
131.82 |
(a) Demand and time deposits from banks |
25.26 |
27.64 |
27.54 |
25.09 |
14.34 |
14.07 |
18.09 |
16.29 |
19.34 |
16.72 |
22.93 |
22.48 |
35.22 |
(b) Borrowings from banks |
91.68 |
63.00 |
53.64 |
89.62 |
69.45 |
47.83 |
48.61 |
48.01 |
59.97 |
126.17 |
100.84 |
84.98 |
93.13 |
(c) Other demand and time liabilities |
5.51 |
3.62 |
3.27 |
4.29 |
3.01 |
3.19 |
2.31 |
3.32 |
2.40 |
5.01 |
5.11 |
4.79 |
3.48 |
II. Liabilities to others in India |
2984.59 |
3027.41 |
3031.30 |
3003.76 |
3158.09 |
3336.83 |
3399.54 |
3452.11 |
3435.99 |
3297.19 |
3292.76 |
3313.30 |
3390.46 |
(a) Aggregate deposits |
2425.78 |
2506.46 |
2445.12 |
2403.15 |
2508.16 |
2565.47 |
2607.28 |
2613.75 |
2671.02 |
2593.16 |
2629.43 |
2672.06 |
2661.82 |
(i) Demand deposits |
810.43 |
879.99 |
833.79 |
781.49 |
809.31 |
814.87 |
833.40 |
787.75 |
811.72 |
784.79 |
826.65 |
855.97 |
851.71 |
(ii) Time Deposits |
1615.35 |
1626.47 |
1611.33 |
1621.66 |
1698.85 |
1750.60 |
1773.88 |
1826.00 |
1859.30 |
1808.37 |
1802.78 |
1816.10 |
1810.11 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
261.60 |
215.02 |
255.34 |
283.70 |
321.70 |
380.76 |
442.62 |
437.94 |
422.83 |
318.35 |
312.46 |
312.52 |
338.06 |
(c) Other demand and time liabilities |
297.22 |
305.94 |
330.84 |
316.91 |
328.23 |
390.60 |
349.65 |
400.42 |
342.14 |
385.68 |
350.87 |
328.72 |
390.58 |
III. Assets with the banking system |
313.81 |
256.18 |
265.72 |
277.25 |
249.74 |
235.99 |
251.88 |
231.60 |
222.42 |
302.55 |
296.49 |
311.47 |
401.21 |
Money at call and short notice |
13.28 |
19.62 |
16.19 |
12.11 |
15.88 |
13.07 |
12.85 |
20.07 |
16.92 |
17.27 |
19.16 |
13.01 |
12.09 |
IV. Cash in hand |
7.88 |
8.01 |
8.66 |
8.75 |
7.27 |
6.86 |
6.76 |
7.65 |
7.65 |
6.78 |
7.02 |
6.44 |
5.91 |
V. Investment in India |
1074.48 |
1089.00 |
1181.94 |
1233.14 |
1257.44 |
1294.59 |
1314.43 |
1289.17 |
1352.72 |
1235.68 |
1251.63 |
1294.34 |
1288.56 |
(a) Government securities |
1074.45 |
1088.96 |
1181.90 |
1233.10 |
1257.39 |
1294.55 |
1314.40 |
1289.14 |
1352.69 |
1235.67 |
1251.61 |
1294.32 |
1288.54 |
(b) Other approved securities |
0.03 |
0.03 |
0.03 |
0.03 |
0.04 |
0.04 |
0.03 |
0.03 |
0.03 |
0.02 |
0.02 |
0.02 |
0.02 |
VI Bank Credit |
1978.97 |
1954.71 |
2016.37 |
2068.24 |
2072.00 |
2107.81 |
2210.52 |
2258.29 |
2247.84 |
2297.32 |
2240.65 |
2220.04 |
2321.16 |
(a) Loans cash credit and overdrafts |
1750.84 |
1727.52 |
1773.81 |
1820.54 |
1832.20 |
1877.59 |
1958.75 |
1983.69 |
2001.89 |
2032.35 |
2043.29 |
2027.97 |
2088.96 |
(b) Inland bills purchased |
7.57 |
6.98 |
6.45 |
6.35 |
4.80 |
7.64 |
10.16 |
11.57 |
12.73 |
12.80 |
11.68 |
9.92 |
9.40 |
(c) Inland bills discounted |
71.14 |
70.10 |
89.21 |
103.07 |
106.57 |
106.88 |
105.45 |
105.32 |
105.50 |
104.83 |
74.47 |
73.30 |
72.46 |
(d) Foreign bills purchased |
46.06 |
42.25 |
51.09 |
43.14 |
46.85 |
41.90 |
46.63 |
51.77 |
39.27 |
56.23 |
35.05 |
30.13 |
62.40 |
(e) Foreign bills discounted |
103.36 |
107.86 |
95.81 |
95.14 |
81.57 |
73.81 |
89.54 |
105.95 |
88.44 |
91.12 |
76.16 |
78.72 |
87.93 |
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 2011-12 (Contd.) |
|||||||||||||
(Amount in ` Billion) |
|||||||||||||
Item |
As on the last reporting friday of |
||||||||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2012 |
2012 |
2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Regional Rural Banks |
|||||||||||||
No. of Reporting Banks |
82 |
82 |
82 |
82 |
82 |
82 |
82 |
82 |
82 |
82 |
82 |
82 |
82 |
I. Liabilities to the banking system |
28.87 |
43.11 |
29.53 |
29.66 |
30.18 |
30.66 |
28.24 |
27.17 |
27.31 |
28.37 |
28.47 |
28.65 |
34.86 |
(a) Demand and time deposits from banks |
8.62 |
19.69 |
7.94 |
8.85 |
6.72 |
7.57 |
6.70 |
5.86 |
6.32 |
6.55 |
6.88 |
6.34 |
7.51 |
(b) Borrowings from banks |
20.07 |
23.17 |
21.58 |
20.78 |
23.39 |
23.00 |
21.27 |
20.90 |
20.98 |
21.81 |
21.47 |
22.05 |
27.33 |
(c) Other demand and time liabilities |
0.18 |
0.25 |
0.01 |
0.04 |
0.06 |
0.10 |
0.27 |
0.41 |
0.01 |
0.01 |
0.12 |
0.25 |
0.02 |
II. Liabilities to others in India |
1610.61 |
1629.07 |
1617.14 |
1622.86 |
1650.42 |
1663.73 |
1682.17 |
1694.71 |
1696.18 |
1741.83 |
1747.68 |
1758.76 |
1787.48 |
(a) Aggregate deposits |
1567.02 |
1586.95 |
1574.92 |
1579.60 |
1608.58 |
1617.56 |
1635.83 |
1646.08 |
1646.34 |
1691.99 |
1697.61 |
1707.72 |
1733.93 |
(i) Demand deposits |
336.63 |
341.02 |
334.61 |
331.83 |
328.10 |
327.17 |
328.14 |
326.09 |
319.24 |
331.43 |
325.34 |
339.08 |
344.79 |
(ii) Time Deposits |
1230.39 |
1245.93 |
1240.31 |
1247.78 |
1280.48 |
1290.38 |
1307.69 |
1319.99 |
1327.10 |
1360.56 |
1372.27 |
1368.64 |
1389.14 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
0.08 |
0.04 |
0.05 |
0.06 |
0.18 |
0.28 |
0.61 |
0.92 |
1.66 |
1.02 |
0.66 |
0.13 |
1.60 |
(c) Other demand and time liabilities |
43.52 |
42.07 |
42.17 |
43.19 |
41.66 |
45.89 |
45.72 |
47.71 |
48.18 |
48.82 |
49.41 |
50.92 |
51.95 |
III. Assets with the banking system |
415.24 |
424.26 |
411.93 |
412.99 |
415.31 |
401.11 |
397.06 |
398.24 |
393.31 |
419.54 |
413.82 |
403.56 |
468.84 |
Money at call and short notice |
39.82 |
42.49 |
41.74 |
42.19 |
39.51 |
38.13 |
33.46 |
40.50 |
39.46 |
41.70 |
43.38 |
44.69 |
47.38 |
IV. Cash in hand |
16.71 |
16.14 |
16.69 |
16.87 |
16.23 |
16.00 |
16.14 |
14.98 |
16.11 |
17.24 |
15.25 |
16.19 |
18.20 |
V. Investment in India |
454.93 |
456.93 |
462.34 |
462.08 |
464.45 |
468.28 |
471.50 |
473.07 |
471.81 |
475.62 |
481.69 |
483.40 |
487.59 |
(a) Government securities |
442.62 |
446.01 |
448.15 |
447.79 |
450.78 |
455.15 |
457.88 |
459.31 |
458.75 |
461.82 |
467.77 |
470.32 |
471.79 |
(b) Other approved securities |
12.31 |
10.92 |
14.18 |
14.29 |
13.67 |
13.13 |
13.62 |
13.76 |
13.07 |
13.80 |
13.92 |
13.09 |
15.80 |
VI. Bank Credit |
946.25 |
948.15 |
947.05 |
956.41 |
984.09 |
1000.65 |
1025.66 |
1053.71 |
1051.50 |
1076.18 |
1083.30 |
1095.56 |
1111.29 |
(a) Loans cash credit and overdrafts |
945.45 |
947.61 |
946.48 |
956.13 |
983.72 |
1000.35 |
1025.39 |
1053.37 |
1051.14 |
1075.62 |
1082.48 |
1095.05 |
1110.82 |
(b) Inland bills purchased |
0.71 |
0.45 |
0.48 |
0.20 |
0.32 |
0.20 |
0.18 |
0.20 |
0.21 |
0.38 |
0.33 |
0.34 |
0.31 |
(c) Inland bills discounted |
0.09 |
0.10 |
0.09 |
0.08 |
0.06 |
0.10 |
0.09 |
0.14 |
0.15 |
0.18 |
0.49 |
0.16 |
0.16 |
(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 2011-12 (Contd.) |
|||||||||||||
(Amount in ` Billion) |
|||||||||||||
Item |
As on the last reporting friday of |
||||||||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2012 |
2012 |
2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Scheduled State Co-operative Banks |
|||||||||||||
No. of Reporting Banks |
16 |
16 |
16 |
16 |
16 |
16 |
16 |
16 |
16 |
16 |
16 |
16 |
16 |
I. Liabilities to the banking system |
0.01 |
- |
- |
0.19 |
0.56 |
0.52 |
1.68 |
2.76 |
- |
- |
- |
- |
- |
(a) Demand and time deposits from banks |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
(b) Borrowings from banks |
0.01 |
- |
- |
0.19 |
0.56 |
0.52 |
1.68 |
2.76 |
- |
- |
- |
- |
- |
(c) Other demand and time liabilities |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
II. Liabilities to others in India |
633.79 |
644.83 |
619.14 |
615.10 |
619.22 |
619.35 |
621.71 |
629.74 |
630.57 |
640.91 |
655.73 |
660.80 |
677.60 |
(a) Aggregate deposits |
593.85 |
613.90 |
588.18 |
581.31 |
585.42 |
585.99 |
593.74 |
599.14 |
602.64 |
613.97 |
624.93 |
631.11 |
640.22 |
(i) Demand deposits |
45.08 |
42.53 |
41.82 |
42.01 |
41.58 |
40.92 |
38.94 |
38.60 |
39.97 |
42.60 |
41.94 |
44.45 |
44.68 |
(ii) Time Deposits |
548.77 |
571.37 |
546.36 |
539.30 |
543.84 |
545.07 |
554.80 |
560.55 |
562.66 |
571.38 |
582.99 |
586.66 |
595.54 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
8.52 |
3.66 |
7.21 |
10.16 |
8.68 |
7.31 |
2.75 |
2.87 |
2.82 |
2.06 |
5.22 |
4.24 |
9.76 |
(c) Other demand and time liabilities |
31.42 |
27.27 |
23.75 |
23.63 |
25.12 |
26.05 |
25.21 |
27.72 |
25.11 |
24.88 |
25.58 |
25.45 |
27.63 |
III. Assets with the banking system |
146.11 |
166.05 |
142.75 |
140.27 |
140.65 |
151.78 |
150.49 |
166.61 |
160.69 |
159.14 |
173.91 |
180.33 |
176.70 |
Money at call and short notice |
98.66 |
120.15 |
110.68 |
110.69 |
109.97 |
112.32 |
107.36 |
110.64 |
104.39 |
103.62 |
120.12 |
126.40 |
117.72 |
IV. Cash in hand |
0.93 |
0.83 |
0.98 |
0.99 |
1.17 |
0.96 |
1.14 |
1.09 |
1.10 |
1.04 |
0.99 |
1.04 |
0.96 |
V. Investment in India |
213.29 |
222.21 |
223.34 |
220.23 |
220.49 |
215.51 |
215.66 |
208.43 |
208.57 |
207.98 |
208.33 |
208.75 |
209.41 |
(a) Government securities |
203.65 |
212.73 |
213.86 |
210.75 |
211.00 |
206.15 |
206.38 |
207.64 |
207.78 |
207.24 |
207.82 |
208.45 |
209.17 |
(b) Other approved securities |
9.63 |
9.48 |
9.48 |
9.48 |
9.48 |
9.35 |
9.28 |
0.79 |
0.79 |
0.75 |
0.51 |
0.30 |
0.24 |
VI. Bank Credit |
586.98 |
586.28 |
602.56 |
594.22 |
610.87 |
621.52 |
632.48 |
643.30 |
641.07 |
648.48 |
664.60 |
685.24 |
694.16 |
(a) Loans cash credit and overdrafts |
586.87 |
586.11 |
602.43 |
594.16 |
610.83 |
621.38 |
632.41 |
643.20 |
640.95 |
648.32 |
664.45 |
685.11 |
694.05 |
(b) Inland bills purchased |
0.09 |
0.14 |
0.10 |
0.06 |
0.04 |
0.05 |
0.03 |
0.03 |
0.02 |
0.04 |
0.04 |
0.03 |
0.03 |
(c) Inland bills discounted |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
(d) Foreign bills purchased |
0.01 |
0.02 |
0.02 |
- |
- |
0.09 |
0.04 |
0.07 |
0.10 |
0.12 |
0.11 |
0.10 |
0.08 |
(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 2011-12 (Contd.) |
|||||||||||||
(Amount in ` Billion) |
|||||||||||||
Item |
As on the last reporting friday of |
||||||||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2011 |
2012 |
2012 |
2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Scheduled Urban Co-operative Banks |
|||||||||||||
No. of Reporting Banks |
53 |
53 |
53 |
53 |
53 |
53 |
53 |
53 |
53 |
52 |
52 |
52 |
52 |
I. Liabilities to the banking system |
28.39 |
30.07 |
28.00 |
29.21 |
29.97 |
30.12 |
31.60 |
31.92 |
30.81 |
31.20 |
31.06 |
33.78 |
32.89 |
(a) Demand and time deposits from banks |
27.90 |
28.76 |
27.59 |
27.63 |
28.19 |
28.27 |
28.85 |
28.78 |
28.66 |
29.25 |
29.67 |
30.40 |
31.95 |
(b) Borrowings from banks |
0.45 |
1.26 |
0.36 |
1.53 |
1.72 |
1.78 |
2.70 |
3.09 |
2.12 |
1.91 |
1.34 |
3.34 |
0.87 |
(c) Other demand and time liabilities |
0.04 |
0.06 |
0.04 |
0.06 |
0.05 |
0.07 |
0.05 |
0.06 |
0.03 |
0.04 |
0.06 |
0.04 |
0.07 |
II. Liabilities to others in India |
918.67 |
939.37 |
947.77 |
962.55 |
987.20 |
995.92 |
1006.19 |
1019.10 |
1026.76 |
1044.19 |
1058.30 |
1076.43 |
1088.95 |
(a) Aggregate deposits |
878.06 |
896.62 |
905.74 |
919.72 |
946.51 |
953.85 |
961.75 |
977.42 |
985.31 |
1001.15 |
1015.39 |
1032.84 |
1046.89 |
(i) Demand deposits |
103.38 |
103.08 |
101.83 |
102.66 |
105.37 |
104.23 |
102.47 |
103.86 |
102.91 |
101.31 |
100.73 |
102.74 |
103.68 |
(ii) Time Deposits |
774.68 |
793.54 |
803.91 |
817.06 |
841.14 |
849.62 |
859.28 |
873.56 |
882.40 |
899.84 |
914.66 |
930.10 |
943.21 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
10.95 |
12.21 |
11.99 |
8.18 |
9.02 |
9.67 |
9.43 |
10.65 |
10.32 |
10.85 |
11.25 |
11.27 |
8.99 |
(c) Other demand and time liabilities |
29.67 |
30.54 |
30.04 |
34.64 |
31.67 |
32.41 |
35.01 |
31.03 |
31.13 |
32.19 |
31.66 |
32.32 |
33.07 |
III. Assets with the banking system |
68.88 |
69.23 |
69.34 |
76.00 |
76.20 |
79.15 |
74.84 |
70.07 |
73.52 |
71.69 |
71.62 |
80.60 |
84.30 |
Money at call and short notice |
4.65 |
4.45 |
3.60 |
3.04 |
4.93 |
6.17 |
5.35 |
4.36 |
4.61 |
2.59 |
5.02 |
6.86 |
6.39 |
IV. Cash in hand |
6.71 |
6.77 |
7.78 |
7.52 |
7.95 |
7.87 |
7.99 |
11.05 |
8.64 |
8.01 |
8.20 |
8.52 |
7.44 |
V. Investment in India |
279.62 |
280.65 |
284.44 |
288.50 |
298.65 |
302.63 |
304.79 |
305.95 |
313.43 |
315.65 |
270.89 |
323.02 |
325.59 |
(a) Government securities |
277.03 |
278.06 |
279.70 |
285.91 |
296.06 |
300.01 |
302.24 |
297.05 |
310.76 |
313.32 |
268.74 |
320.78 |
323.35 |
(b) Other approved securities |
2.59 |
2.59 |
4.74 |
2.59 |
2.58 |
2.62 |
2.55 |
8.90 |
2.68 |
2.32 |
2.15 |
2.24 |
2.24 |
VI. Bank Credit |
600.62 |
611.45 |
618.54 |
623.66 |
631.71 |
640.20 |
651.22 |
666.27 |
672.87 |
690.13 |
700.98 |
710.48 |
725.14 |
(a) Loans cash credit and overdrafts |
580.76 |
592.99 |
598.75 |
603.36 |
610..94 |
619.70 |
630.73 |
646.17 |
653.85 |
671.36 |
681.78 |
692.49 |
706.60 |
(b) Inland bills purchased |
5.13 |
4.37 |
4.70 |
4.94 |
5.73 |
4.79 |
4.51 |
4.21 |
4.17 |
4.35 |
4.62 |
4.79 |
4.87 |
(c) Inland bills discounted |
11.49 |
10.97 |
11.80 |
12.21 |
12.17 |
12.88 |
13.06 |
12.88 |
11.98 |
11.42 |
10.90 |
9.34 |
9.86 |
(d) Foreign bills purchased |
0.42 |
0.49 |
0.32 |
0.26 |
0.20 |
0.20 |
0.22 |
0.21 |
0.18 |
0.20 |
0.83 |
1.16 |
0.94 |
(e) Foreign bills discounted |
2.82 |
2.63 |
2.97 |
2.89 |
2.68 |
2.63 |
2.70 |
2.80 |
2.69 |
2.79 |
2.86 |
2.71 |
2.87 |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |