| (Amount in ₹ crore) | 
					
					
						|   | 
						SCHEDULED COMMERCIAL BANKS 
						(Including RRBs, SFBs and PBs) | 
						ALL SCHEDULED BANKS | 
					
					
						| 21-Oct-22 | 
						06-OCT-2023* | 
						20-OCT-2023* | 
						21-Oct-22 | 
						06-OCT-2023* | 
						20-OCT-2023* | 
					
					
						| I | 
						LIABILITIES TO THE BKG.SYSTEM (A) | 
						  | 
						  | 
						  | 
						  | 
						  | 
						  | 
					
					
						|   | 
						a) Demand & Time deposits from banks | 
						186189.57 | 
						237269.35 | 
						239035.24 | 
						189070.38 | 
						239604.43 | 
						244239.27 ** | 
					
					
						|   | 
						b) Borrowings from banks | 
						55956.52 | 
						199276.59 | 
						200904.46 | 
						56084.09 | 
						199285.59 | 
						200995.82 | 
					
					
						|   | 
						c) Other demand & time liabilities | 
						53458 | 
						71823.75 | 
						71812.57 | 
						53991.27 | 
						72475.16 | 
						72438.05 | 
					
					
						| II | 
						LIABILITIES TO OTHERS (A) | 
						  | 
						  | 
						  | 
						  | 
						  | 
						  | 
					
					
						|   | 
						a) Deposits (other than from banks) | 
						17204103.51 | 
						19603931.66 
						(19464819.51) | 
						19513327.75 (19379132.72) | 
						17627116.84 | 
						20044487.76 
						(19905375.61) | 
						19945946.21 
						(19811751.18) | 
					
					
						|   | 
						i) Demand | 
						2025648.87 | 
						2296667.81 | 
						2252550.54 | 
						2071841.77 | 
						2344004.38 | 
						2298527.17 | 
					
					
						|   | 
						ii) Time | 
						15178454.64 | 
						17307263.78 | 
						17260777.3 | 
						15555275.07 | 
						17700483.31 | 
						17647419.12 | 
					
					
						|   | 
						b) Borrowings @ | 
						548081.24 | 
						842183.45 | 
						830601.35 | 
						553429.49 | 
						846282.78 | 
						835020.49 | 
					
					
						|   | 
						c) Other demand & time liabilities | 
						711772.17 | 
						925242.71 | 
						899899.37 | 
						724333.25 | 
						937455.5 | 
						912510.62 | 
					
					
						| III | 
						BORROWINGS FROM R.B.I. (B) | 
						145382 | 
						68931.69 | 
						143805.69 | 
						145417.01 | 
						68931.69 | 
						143805.69 | 
					
					
						|   | 
						Against usance bills and / or prom. Notes | 
						  | 
						  | 
						  | 
						  | 
						  | 
						  | 
					
					
						| IV | 
						CASH | 
						117173.01 | 
						94084.13 | 
						90816.53 | 
						120264.91 | 
						96592.82 | 
						93040.98 | 
					
					
						| V | 
						BALANCES WITH R.B.I. (B) | 
						793425.43 | 
						960612.26 | 
						917856.29 | 
						812554.41 | 
						980748.18 | 
						937819.19 | 
					
					
						| VI | 
						ASSETS WITH BANKING SYSTEM | 
						  | 
						  | 
						  | 
						  | 
						  | 
						  | 
					
					
						|   | 
						a) Balances with other banks | 
						  | 
						  | 
						  | 
						  | 
						  | 
						  | 
					
					
						|   | 
						i) In current accounts | 
						18661.64 | 
						8692.99 | 
						8505.73 | 
						21447.97 | 
						11321.63 | 
						11131.24 | 
					
					
						|   | 
						ii) In other accounts | 
						163370.84 | 
						176327.86 | 
						181090.58 | 
						199990.18 | 
						214901.58 | 
						220086.44 | 
					
					
						|   | 
						b) Money at call & short notice | 
						16334.45 | 
						30690.15 | 
						23504.89 | 
						28175.68 | 
						45132.33 | 
						37563.42 | 
					
					
						|   | 
						c) Advances to banks (i.e. due from bks.) | 
						42156.4 | 
						51861.48 | 
						50211.86 | 
						42622.27 | 
						52593.02 | 
						50880.33 £ | 
					
					
						|   | 
						d) Other assets | 
						57327.53 | 
						89790.31 | 
						93326.6 | 
						60533.33 | 
						92508.89 | 
						95825.17 | 
					
					
						| VII | 
						INVESTMENTS (At book value) | 
						5051759.4 | 
						6061808.95 
						(5950646.22) | 
						6062449.55 
						(5951192.72) | 
						5199024.2 | 
						6211373.52 
						(6100210.79) | 
						6211695.96 
						(6100439.13) | 
					
					
						|   | 
						a) Central & State Govt. securities+ | 
						5050880.34 | 
						6061112.93 | 
						6061753.54 | 
						5192330.44 | 
						6204292.6 | 
						6205131.87 | 
					
					
						|   | 
						b) Other approved securities | 
						879.07 | 
						696.02 | 
						696.02 | 
						6693.76 | 
						7080.92 | 
						6564.1 | 
					
					
						| VIII | 
						BANK CREDIT (Excluding Inter-Bank Advances) | 
						12883403.91 | 
						15339949.37 
						(14751030.99) | 
						15425808.7 (14839378.48) | 
						13254429.54 | 
						15735809.07 
						(15146890.69) | 
						15825240.46 
						(15238810.24) | 
					
					
						|   | 
						a) Loans, cash credits & Overdrafts $ | 
						12643225.48 | 
						15068998.58 | 
						15157437.08 | 
						13011383.31 | 
						15462075.62 | 
						15554059.76 | 
					
					
						|   | 
						b) Inland Bills purchased | 
						37435.79 | 
						49444.16 | 
						46627.46 | 
						37455.08 | 
						49455.57 | 
						46638.91 | 
					
					
						|   | 
						c) Inland Bills discounted | 
						156947.7 | 
						181646.64 | 
						182478.43 | 
						159075.97 | 
						183767.17 | 
						184643.67 | 
					
					
						|   | 
						d) Foreign Bills purchased | 
						17687.2 | 
						16293.26 | 
						16193.8 | 
						17832.76 | 
						16516.87 | 
						16398.46 | 
					
					
						|   | 
						e) Foreign Bills discounted | 
						28107.73 | 
						23566.71 | 
						23071.88 | 
						28682.42 | 
						23993.83 | 
						23499.6 |