(Amount in ₹ crore) |
|
SCHEDULED COMMERCIAL BANKS (Including RRBs, SFBs and PBs) |
ALL SCHEDULED BANKS |
02-Dec-22 |
17-NOV-2023* |
01-DEC-2023* |
02-Dec-22 |
17-NOV-2023* |
01-DEC-2023* |
I |
LIABILITIES TO THE BKG.SYSTEM (A) |
|
|
|
|
|
|
|
a) Demand & Time deposits from banks |
204511.44 |
241123.11 |
254742.65 |
206990.5 |
244489.69 |
258583.28 ** |
|
b) Borrowings from banks |
67225.54 |
187366.5 |
200301.55 |
67225.54 |
187461.73 |
200372.4 |
|
c) Other demand & time liabilities |
52279.56 |
71737.95 |
71646.86 |
52858.59 |
72353.44 |
72354.33 |
II |
LIABILITIES TO OTHERS (A) |
|
|
|
|
|
|
|
a) Deposits (other than from banks) |
17524165.04 |
19651859.85 (19523625.52) |
19880901.32 (19754808.86) |
17945795.67 |
20084452.49 (19956218.16) |
20315179.39 (20189086.93) |
|
i) Demand |
2089349.13 |
2307178.44 |
2334167.1 |
2134763.25 |
2353839.87 |
2380525.53 |
|
ii) Time |
15434815.91 |
17344681.43 |
17546734.2 |
15811032.43 |
17730612.64 |
17934653.85 |
|
b) Borrowings @ |
440992.38 |
842541.65 |
842264.52 |
446335.1 |
847028.49 |
846815.95 |
|
c) Other demand & time liabilities |
722889.99 |
887232.97 |
952749.52 |
734720.31 |
899305.39 |
965408.76 |
III |
BORROWINGS FROM R.B.I. (B) |
95306.53 |
131042.1 |
91279.16 |
95341.88 |
131042.1 |
91279.16 |
|
Against usance bills and / or prom. Notes |
|
|
|
|
|
|
IV |
CASH |
121069.2 |
88878.61 |
87994.94 |
124317.93 |
91648.87 |
90677.34 |
V |
BALANCES WITH R.B.I. (B) |
806897.65 |
910823.43 |
938484.04 |
825643.04 |
930224.97 |
958115.63 |
VI |
ASSETS WITH BANKING SYSTEM |
|
|
|
|
|
|
|
a) Balances with other banks |
|
|
|
|
|
|
|
i) In current accounts |
36287.69 |
8918.54 |
11513.38 |
39273.08 |
11268.6 |
14198.25 |
|
ii) In other accounts |
168963.78 |
177651.03 |
180457.91 |
206606.6 |
214777.68 |
221047.33 |
|
b) Money at call & short notice |
11928.8 |
23041.1 |
20579.89 |
25221.02 |
35205.73 |
38775.82 |
|
c) Advances to banks (i.e. due from bks.) |
46552.89 |
51737.59 |
51427.1 |
47151.33 |
52329.01 |
52049.97 £ |
|
d) Other assets |
59162.41 |
97657.53 |
95404.29 |
62752.72 |
99972.14 |
97664.22 |
VII |
INVESTMENTS (At book value) |
5121212.5 |
6069867.69 (5963363.60) |
6034229.2 (5929866.51) |
5266369.03 |
6218991.99 (6112487.90) |
6183879.7 (6079517.01) |
|
a) Central & State Govt. securities+ |
5120395.19 |
6069047.26 |
6033389.11 |
5259718.25 |
6212356.69 |
6176923.29 |
|
b) Other approved securities |
817.31 |
820.43 |
840.09 |
6650.78 |
6635.3 |
6956.41 |
VIII |
BANK CREDIT (Excluding Inter-Bank Advances) |
13106244 |
15620807.13 (15040208.83) |
15829768.76 (15251576.06) |
13491069.68 |
16028483.68 (15447885.38) |
16244067.87 (15665875.17) |
|
a) Loans, cash credits & Overdrafts $ |
12873652.69 |
15350651.97 |
15555269.27 |
13255618.51 |
15755426.32 |
15966655.96 |
|
b) Inland Bills purchased |
34505.05 |
47391.72 |
48660.28 |
34522.56 |
47402.69 |
48670.09 |
|
c) Inland Bills discounted |
154334.36 |
184705.92 |
186913.52 |
156506.05 |
187000.94 |
189219.58 |
|
d) Foreign Bills purchased |
16417.83 |
15807.18 |
16496.36 |
16606.78 |
16030.49 |
16727.35 |
|
e) Foreign Bills discounted |
27334.07 |
22250.42 |
22429.36 |
27815.78 |
22623.32 |
22794.92 |