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Table 2 : Month-Wise Business of Scheduled Commercial Banks in India - 1998-99

 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


Items

 

March

April

May

June

July

August

     

1998


1998


1998


1998


1998


1998


 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


 

No. of reporting banks

298

298

299

299

299

299

                 

I.

Liabilities to the banking system

32287

31123

32027

33798

33262

34269

                 
 

(a)

Demand and time

23682

23540

23849

24044

25105

26227

   

deposits from banks

           
                 
 

(b)

Borrowings from banks

7160

7030

7648

9082

7774

7577

                 
 

(c)

Other demand and

1445

553

530

672

383

465

   

time liabilities

           
                 

II.

Liabilities to others in India

646443

654751

663077

670066

677805

696548

                 
 

(a)

Aggregate deposits

605410

611276

616547

623944

634038

653264

                 
   

(i) Demand deposits

102513

98631

96075

98582

99357

97093

                 
   

(ii) Time deposits

502897

512645

520472

525362

534681

556172

                 
 

(b)

Borrowings (other than from RBI,

1279

1301

3774

4325

1444

1639

   

IDBI, NABARD, EXIM Bank)

           
                 
 

(c)

Other demand and

39754

42174

42756

41797

42323

41644

   

time liabilities

           
                 

III.

Assets with the banking system

24243

22263

21754

23456

22552

22519

 

of which

           
 

Money at call and short notice

8861

7744

9039

10281

9278

8911

                 

IV.

Cash in hand

61305

56260

64051

65940

66710

64549

                 

V.

Investments in India

218705

231279

234301

233969

238089

245649

                 
 

(a)

Government securities

186957

199466

202374

202184

206375

213871

                 
 

(b)

Other approved securities

31748

31813

31927

31785

31714

317

                 

VI.

Bank credit

324078

321577

320707

319676

323050

323598

                 
 

(a)

Loans, cash credit

294735

291713

291830

291354

295239

296290

   

and overdrafts

           
                 
 

(b)

Inland bills purchased

4660

4665

4346

4305

4059

4101

                 
 

(c)

Inland bills discounted

9768

10347

10131

9348

10085

9614

                 
 

(d)

Foreign bills purchased

7930

7886

7571

8315

7126

7053

                 
 

(e)


Foreign bills discounted


6985


6966


6829


6354


6541


6540


 
 
 
 
 
 
 

(Amount in Rs. crore)


     

As on the last Friday of


Items

 

September

October

November

December

January

February

March

     

1998


1998


1998


1998


1999


1999


1999


 
 
 

(7)


(8)


(9)


(10)


(11)


(12)


(13)


 

No. of reporting banks

299

299

299

299

300

300

301

                   

I .

Liabilities to the banking system

38081

40741

41273

41620

41180

43762

45204

                   
 

(a)

Demand and time

27932

28110

28535

28514

29230)

29911

32410

   

deposits from banks

             
                   
 

(b)

Borrowings from banks

9712

12258

12250

12573

11361

13207

12072

                   
 

(c)

Other demand and

437

373

488

533

589

643

722

   

time liabilities

             
                   

II.

Liabilities to others in India

711842

722401

728599

732960

741421

749861

775238

                   
 

(a)

Aggregate deposits

669066

678425

680894

682963

684788

689415

722204

                   
   

(i) Demand deposits

101953

102173

100590

100776

103110

101938

117423

                   
   

(ii) Time deposits

567113

576252

580304

582187

581678

587477

604780

                   
 

(b)

Borrowings (other than from

1475

2448

2743

3433

2927

1829

1140

   

RBI, IDBI, NABARD, EXIM Bank)

             
                   
 

(c)

Other demand and

41301

41527

44962

46564

53706

58617

51894

   

time liabilities

             
                   

III.

Assets with the banking system

27097

32066

30878

29715

31512

34161

34787

 

of which

             
 

Money at call and short notice

13065

18244

17101

15329

16470

18593

18172

                   

IV.

Cash in hand

66606

75088

75744

77549

72841

73932

67910

                   

V.

Investments in India

251867

248368

251424

249303

251459

252859

254594

                   
 

(a)

Government securities

220725

216843

219883

217919

220251

221702

223217

                   
 

(b)

Other approved securities

31142

31525

31541

31384

31208

31157

31377

                   

VI.

Bank credit

330691

337708

337420

340917

349270

353469

368837

                   
 

(a)

Loans, cash credit

303648

310035

310028

312677

320133

324263

337475

   

and overdrafts

             
                   
 

(b)

Inland bills purchased

4052

4323

4176

4070

4463

4326

4893

                   
 

(c)

Inland bills discounted

9276

9570

9369

9831

9826

9889

10742

                   
 

(d)

Foreign bills purchased

7116

7201

7270

7444

7919

7853

8251

                   
 

(e)


Foreign bills discounted


6599


6578


6577


6895


6929


7138


7476


Note

:

"Cash in hand" includes balances with the Reserve Bank of India.

Source

:

Form-A Return under Section 42(2) of RBI Act, 1934.

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