Reserve Bank of India – Bulletin Weekly Statistical Supplement – Extract
1. Reserve Bank of India - Liabilities and Assets*
(₹ Crore)
Item
2023
2024
Variation
Jul. 28
Jul. 19
Jul. 26
Week
Year
1
2
3
4
5
4 Loans and Advances
4.1 Central Government
0
0
0
0
0
4.2 State Governments
13909
19805
21239
1434
7331
* Data are provisional; difference, if any, is due to rounding off.
2. Foreign Exchange Reserves*
Item
As on July 26, 2024
Variation over
Week
End-March 2024
Year
₹ Cr.
US$ Mn.
₹ Cr.
US$ Mn.
₹ Cr.
US$ Mn.
₹ Cr.
US$ Mn.
1
2
3
4
5
6
7
8
1 Total Reserves
5587802
667386
-24719
-3471
196546
20967
620664
63516
1.1 Foreign Currency Assets #
4913727
586877
-6005
-1171
151883
15927
510306
51540
1.2 Gold
483062
57695
-18847
-2297
43743
5020
113703
12791
1.3 SDRs
152398
18202
75
-5
1175
70
683
-243
1.4 Reserve Position in the IMF
38614
4612
58
2
-254
-50
-4028
-573
* Difference, if any, is due to rounding off. # Excludes (a) SDR holdings of the Reserve Bank, as they are included under the SDR holdings; (b) investment in bonds issued by IIFC (UK); and (c) amounts lent under the SAARC and ACU currency swap arrangements.
4. Scheduled Commercial Banks - Business in India
(₹ Crore)
Item
Outstanding as on Jul. 12, 2024
Variation over
Fortnight
Financial year so far
Year-on-Year
2023-24
2024-25
2023
2024
1
2
3
4
5
6
2 Liabilities to Others
2.1 Aggregate Deposits
21177216
-108604
986863
701990
2220776
2146440
(21090509)
(832868)
(2066781)
(2213727)
2.1a Growth (Per cent)
-0.5
5.5
3.4
13.2
11.3
(4.6)
(12.3)
(11.7)
2.1.1 Demand
2390991
-210686
996
-52862
225578
209565
2.1.2 Time
18786225
102082
985867
754852
1995198
1936875
2.2 Borrowings
883946
119485
342443
106004
456437
96174
2.3 Other Demand and Time Liabilities
889740
-39830
13229
-47688
167808
86860
7 Bank Credit
16812421
-69755
1071094
380257
2465344
2066092
(16317876)
(457583)
(1851834)
(2185057)
7.1a Growth (Per cent)
-0.4
7.8
2.3
20.1
14.0
(3.3)
(15.1)
(15.5)
7a.1 Food Credit
30263
-3641
4398
7182
-11625
5959
7a.2 Non-food Credit
16782159
-66114
1066696
373075
2476969
2060133
1. Data since July 14, 2023 include the impact of the merger of a non-bank with a bank. 2. Figures in parentheses exclude the impact of the merger.
6. Money Stock: Components and Sources
(₹ Crore)
Item
Outstanding as on
Variation over
2024
Fortnight
Financial Year so far
Year-on-Year
2023-24
2024-25
2023
2024
Mar. 31
Jul. 12
Amount
%
Amount
%
Amount
%
Amount
%
Amount
%
1
2
3
4
5
6
7
8
9
10
11
12
M3
24831384
25613962
-87877
-0.3
799926
3.6
782578
3.2
2232790
10.7
2470276
10.7
(24939627)
(25700669)
(-90567)
(-0.4)
(761043)
(3.1)
(2402988)
(10.3)
1 Components (1.1.+1.2+1.3+1.4)
1.1 Currency with the Public
3410042
3468429
22568
0.7
-39764
-1.2
58387
1.7
131537
4.2
231758
7.2
1.2 Demand Deposits with Banks
2586888
2534238
-211999
-7.7
910
0.0
-52650
-2.0
226427
10.8
212730
9.2
1.3 Time Deposits with Banks
18739918
19519324
105349
0.5
841923
5.1
779406
4.2
1857400
11.9
2008435
11.5
(18848160)
(19606031)
(102659)
(0.5)
(757871)
(4.0)
(1941148)
(11.0)
1.4 ‘Other’ Deposits with Reserve Bank
94536
91971
-3795
-4.0
-3143
-4.0
-2565
-2.7
17426
30.5
17352
23.3
2 Sources (2.1+2.2+2.3+2.4-2.5)
2.1 Net Bank Credit to Government
7512016
7637898
213757
2.9
84705
1.2
125882
1.7
829915
12.9
387660
5.3
(7603571)
(7703246)
(213761)
(2.9)
(99675)
(1.3)
(340540)
(4.6)
2.1.1 Reserve Bank
1193213
1081536
55395
-206212
-111676
113978
-163378
2.1.2 Other Banks
6318803
6556362
158362
2.5
290917
5.1
237559
3.8
715938
13.5
551038
9.2
(6410358)
(6621710)
(158366)
(2.5)
(211352)
(3.3)
(503918)
(8.2)
2.2 Bank Credit to Commercial Sector
16672145
17081935
-62975
-0.4
441121
3.1
409790
2.5
1842958
14.1
2211179
14.9
(17202832)
(17576480)
(-68660)
(-0.4)
(373649)
(2.2)
(2092213)
(13.5)
2.2.1 Reserve Bank
14406
11107
185
-22505
-3299
-29035
7063
2.2.2 Other Banks
16657739
17070828
-63160
-0.4
463625
3.2
413089
2.5
1871993
14.4
2204116
14.8
(17188425)
(17565373)
(-68845)
(-0.4)
(376948)
(2.2)
(2085151)
(13.5)
Note: Figures in parentheses include the impact of merger of a non-bank with a bank.
8. Liquidity Operations by RBI
(₹ Crore)
Date
Liquidity Adjustment Facility
Standing Liquidity Facilities
OMO (Outright)
Net Injection (+)/ Absorption (-) (1+3+5+7+9-2-4-6-8)