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Table 2.2 : Business of Scheduled Banks in India According to Bank Group - 2009-10

(Amount in ` crore)

Item

As on the last reporting friday of

Mar 2009

Apr 2009

May 2009

Jun 2009

Jul
2009

Aug 2009

Sep 2009

(1)

(2)

(3)

(4)

(5)

(6)

(7)

State Bank of India & its Associates              

No. of Reporting Banks

7

7

7

7

7

7

7

I. Liabilities to the banking system

14902

15363

13215

13079

13216

12815

13893

(a) Demand and time deposits from banks

11925

11288

9907

10016

9610

9819

10325

(b) Borrowings from banks

1168

873

344

315

839

709

1319

(c) Other demand and time  liabilities

1809

3202

2965

2748

2767

2287

2248

II. Liabilities to others in India

1043609

1070200

1075452

1080293

1089629

1088451

1086148

(a) Aggregate deposits

940506

960898

970032

968422

982860

977399

980455

(i) Demand deposits

117296

111051

106078

99954

107621

108692

107904

(ii) Time Deposits

823210

849847

863954

868468

875239

868706

872551

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

794

628

399

321

749

744

688

(c) Other demand and time liabilities

102309

108674

105021

111550

106021

110308

105005

III. Assets with the banking system

20215

25428

23397

22625

21449

21018

22323

Money at call and short notice

1961

2960

390

1279

721

2096

2047

VI. Cash in hand

4642

5797

7617

8918

6009

6271

6804

V. Investment in India

307103

342594

354433

363507

345720

344841

332056

(a) Government securities

304737

340228

352067

361399

343902

343065

330353

(b) Other approved securities

2367

2366

2366

2108

1818

1775

1703

VI Bank Credit

635578

637366

636581

647292

664530

663265

674740

(a) Loans cash credit and overdrafts

611487

613792

614519

625354

641981

639343

649822

(b) Inland bills purchased

2389

2491

2332

2279

2164

1937

1807

(c) Inland bills discounted

14000

13934

13796

13400

13767

13695

14642

(d) Foreign bills purchased

992

776

675

810

686

678

721

(e) Foreign bills discounted

6711

6373

5258

5449

5932

7612

7748

Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information
Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2009-10 (Contd.)

(Amount in ` crore)

Item

As on the last reporting friday of 

Oct
2009

Nov 2009

Dec 2009

Jan 2010

Feb 2010

Mar 2010

(8)

(9)

(10)

(11)

(12)

(13)

State Bank of India & its Associates            

No. of Reporting Banks

7

7

7

7

7

7

I. Liabilities to the banking system

12702

11735

13981

13608

14318

15126

(a) Demand and time deposits from banks

10016

9311

11127

10780

10709

12121

(b) Borrowings from banks

441

100

465

450

1200

630

(c) Other demand and time  liabilities

2245

2324

2388

2378

2409

2376

II. Liabilities to others in India

1094086

1104885

1097717

1111758

1131114

1137247

(a) Aggregate deposits

985027

990107

990126

1005818

1018532

1034889

(i) Demand deposits

107717

106883

106627

114525

117646

140737

(ii) Time Deposits

877309

883224

883499

891293

900886

894152

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

785

975

1283

1498

1751

1889

(c) Other demand and time liabilities

108274

113804

106307

104442

110831

100469

III. Assets with the banking system

19305

20118

22042

22261

23457

26199

Money at call and short notice

133

1159

1380

975

1467

2898

VI. Cash in hand

6620

6336

6729

7017

7692

7244

V. Investment in India

336290

333175

319152

325991

309562

316155

(a) Government securities

334675

331652

317677

324569

308164

314836

(b) Other approved securities

1614

1523

1475

1422

1398

1319

VI Bank Credit

678355

693394

703451

717096

735018

749977

(a) Loans cash credit and overdrafts

654334

669784

679294

690729

708167

720729

(b) Inland bills purchased

1719

1774

1842

1811

1924

1782

(c) Inland bills discounted

15262

15107

15898

17562

17558

18215

(d) Foreign bills purchased

679

640

664

777

804

995

(e) Foreign bills discounted

6360

6089

5752

6217

6564

8257

Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information Management, RBI.


TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2009-10 (Contd.)

(Amount in ` crore)

Item

As on the last reporting friday of 

Mar

Apr

May

Jun

Jul

Aug

Sep

2009

2009

2009

2009

2009

2009

2009

 

(1)

(2)

(3)

(4)

(5)

(6)

(7)

Nationalised Banks $

No. of Reporting Banks

20

20

20

20

20

20

20

I. Liabilities to the banking system

43088

44874

44019

43691

43565

45900

43336

(a) Demand and time deposits from banks

28540

29368

29626

30435

30243

30426

30811

(b) Borrowings from banks

12604

13668

12584

11459

11331

13558

10771

(c) Other demand and time liabilities

1943

1838

1809

1797

1990

1916

1754

II. Liabilities to others in India

2049016

2101497

2122082

2139584

2208969

2240563

2258547

(a) Aggregate deposits

1884496

1941386

1952532

1966520

2027245

2047283

2080057

(i) Demand deposits

193559

193419

191525

189025

199529

200708

212476

(ii) Time Deposits

1690937

1747966

1761006

1777495

1827716

1846574

1867581

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

59457

59210

63420

62860

68956

81225

59552

(c) Other demand and time liabilities

105063

100902

106131

110204

112767

112056

118937

III. Assets with the banking system

21767

17922

14960

14463

13077

15941

17619

Money at call and short notice

6923

4275

2468

2538

1708

2930

3483

VI. Cash in hand

7498

8402

8607

8537

8630

8518

8484

V. Investment in India

538111

568270

580502

601340

639056

662192

673486

(a) Government securities

532376

562548

574779

595922

633900

657084

668539

(b) Other approved securities

5735

5722

5723

5419

5156

5108

4947

VI Bank Credit

1383133

1376343

1378059

1392886

1415530

1413857

1457905

(a) Loans cash credit and overdrafts

1339988

1334075

1338427

1353702

1376509

1374721

1416978

(b) Inland bills purchased

6297

6100

5277

5287

5489

5064

5324

(c) Inland bills discounted

14119

14191

13483

13194

13046

13371

14283

(d) Foreign bills purchased

11892

11111

10575

10471

10357

10320

10937

(e) Foreign bills discounted

10838

10867

10297

10232

10128

10382

10382

Note : $ Includes IDBI Bank Ltd.
Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information Management, RBI.

TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2009-10 (Contd.)

(Amount in ` crore)

Item

As on the last reporting friday of 

Oct

Nov

Dec

Jan

Feb

Mar

2009

2009

2009

2010

2010

2010

(8)

(9)

(10)

(11)

(12)

(13)

Nationalised Banks $            

No. of Reporting Banks

20

20

20

20

20

20

I. Liabilities to the banking system

41931

40394

39948

41729

43339

55866

(a) Demand and time deposits from banks

29495

28010

29202

31017

31350

37392

(b) Borrowings from banks

10546

10697

9120

9133

10144

16538

(c) Other demand and time  liabilities

1889

1687

1626

1579

1845

1936

II. Liabilities to others in India

2288721

2305465

2323961

2376428

2423960

2500848

(a) Aggregate deposits

2111191

2129341

2130683

2187933

2228858

2310046

(i) Demand deposits

201223

194144

197392

210600

217608

244261

(ii) Time Deposits

1909968

1935197

1933292

1977334

2011250

2065784

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

67840

63848

72702

63592

63805

59426

(c) Other demand and time liabilities

109690

112275

120576

124903

131297

131377

III. Assets with the banking system

13571

13934

14696

14958

17690

29881

Money at call and short notice

1080

1440

1985

2720

4899

7170

VI. Cash in hand

9601

8372

9103

9017

8564

8615

V. Investment in India

669299

664651

662899

692403

687865

692634

(a) Government securities

664448

660149

658447

688243

683852

688766

(b) Other approved securities

4851

4502

4452

4160

4013

3867

VI Bank Credit

1448455

1466211

1485841

1538547

1569559

1664160

(a) Loans cash credit and overdrafts

1408311

1426252

1445282

1497029

1526453

1618411

(b) Inland bills purchased

5173

5160

5330

5416

5624

6148

(c) Inland bills discounted

14530

14204

14119

14622

15144

16680

(d) Foreign bills purchased

10335

10297

10540

10549

10978

9146

(e) Foreign bills discounted

10106

10299

10570

10931

11360

13775

Note : $ Includes IDBI Bank Ltd.
Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information Management, RBI.

TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2009-10 (Contd.)

(Amount in ` crore)

Item

As on the last reporting friday of

Mar

Apr

May

Jun

Jul

Aug

Sep

2009

2009

2009

2009

2009

2009

2009

(1)

(2)

(3)

(4)

(5)

(6)

(7)

Old Private Sector Banks              

No. of Reporting Banks

15

15

15

15

15

15

15

I. Liabilities to the banking system

2961

2610

2545

2357

2337

2577

2468

(a) Demand and time deposits from banks

1529

1371

1414

1232

1378

1418

1389

(b) Borrowings from banks

624

437

393

404

334

492

418

(c) Other demand and time  liabilities

808

802

738

721

625

666

661

II. Liabilities to others in India

190820

194743

193624

195170

199707

200601

202062

(a) Aggregate deposits

179888

183327

183141

184313

188685

188959

190973

(i) Demand deposits

20292

19553

19533

19861

20690

21295

21905

(ii) Time Deposits

159596

163774

163608

164452

167995

167664

169069

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

2262

3152

2746

2838

2283

2605

2301

(c) Other demand and time liabilities

8671

8264

7737

8019

8739

9038

8787

III. Assets with the banking system

5747

4008

3586

2874

2667

2379

2957

Money at call and short notice

1156

737

672

440

366

193

86

VI. Cash in hand

1388

1673

1784

1667

1609

1575

1717

V. Investment in India

52354

52755

53373

55019

56805

56785

59128

(a) Government securities

52169

52571

53189

54848

56636

56616

58971

(b) Other approved securities

185

184

184

171

169

169

157

VI Bank Credit

126541

126672

126488

127946

130227

130850

135670

(a) Loans cash credit and overdrafts

119737

119523

119589

121014

123010

123474

128195

(b) Inland bills purchased

1443

1536

1537

1627

1778

1882

1853

(c) Inland bills discounted

2730

3154

3175

3176

3237

3231

3343

(d) Foreign bills purchased

1316

1227

1071

1062

1113

1169

1183

(e) Foreign bills discounted

1315

1232

1116

1067

1089

1094

1096

Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information Management, RBI.

TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2009-10 (Contd.)

(Amount in ` crore)

Item

As on the last reporting friday of

Oct

Nov

Dec

Jan

Feb

Mar

2009

2009

2009

2010

2010

2010

 

(8)

(9)

(10)

(11)

(12)

(13)

Old Private Sector Banks            

No. of Reporting Banks

15

15

15

15

15

15

I. Liabilities to the banking system

2601

2043

1919

1889

1973

1876

(a) Demand and time deposits from banks

1372

1362

981

1258

1149

1355

(b) Borrowings from banks

979

461

711

433

632

328

(c) Other demand and time liabilities

250

220

226

199

192

193

II. Liabilities to others in India

204816

207997

209493

215968

217380

223168

(a) Aggregate deposits

193845

197074

196885

203256

204071

209590

(i) Demand deposits

21923

21876

22099

23572

22783

24677

(ii) Time Deposits

171922

175199

174786

179685

181288

184913

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

2602

2695

3921

3213

3455

3665

(c) Other demand and time liabilities

8368

8228

8687

9499

9854

9913

III. Assets with the banking system

1458

1538

2023

2092

2589

3550

Money at call and short notice

178

331

286

363

441

506

VI. Cash in hand

1817

1582

1690

1827

1585

1687

V. Investment in India

58620

59328

59122

60338

60408

59977

(a) Government securities

58474

59185

58982

60211

60285

59862

(b) Other approved securities

146

143

141

126

123

114

VI Bank Credit

135050

137165

140722

143847

146685

153035

(a) Loans cash credit and overdrafts

127693

129491

132907

135766

138557

144885

(b) Inland bills purchased

1624

1647

1771

1888

1687

1725

(c) Inland bills discounted

3503

3647

3606

3778

4069

3979

(d) Foreign bills purchased

1274

1382

1433

1397

1362

1396

(e) Foreign bills discounted

956

998

1004

1017

1011

1051

Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information Management, RBI.

TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2009-10 (Contd.)

(Amount in ` crore)

Item

As on the last reporting friday of

Mar

Apr

May

Jun

Jul

Aug

Sep

2009

2009

2009

2009

2009

2009

2009

(1)

(2)

(3)

(4)

(5)

(6)

(7)

New Private Sector Banks              

No. of Reporting Banks

7

7

7

7

7

7

7

I. Liabilities to the banking system

10388

11262

8926

12487

9840

10915

13132

(a) Demand and time deposits from banks

5364

6908

6235

6161

7173

7380

9195

(b) Borrowings from banks

4276

3686

1995

5477

2014

2897

3286

(c) Other demand and time  liabilities

748

668

695

849

652

637

650

II. Liabilities to others in India

584062

573053

582607

576607

594127

584876

586533

(a) Aggregate deposits

512625

509432

515684

510245

525357

515867

515061

(i) Demand deposits

103828

87596

93317

91140

105686

106702

108174

(ii) Time Deposits

408797

421837

422367

419105

419671

409165

406887

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

18605

13926

13227

12991

13214

14201

13619

(c) Other demand and time liabilities

52831

49695

53695

53371

55556

54808

57852

III. Assets with the banking system

6553

4101

3647

4643

3736

3378

5150

Money at call and short notice

482

653

604

1414

595

463

148

VI. Cash in hand

4908

5601

5857

5351

5772

5429

6073

V. Investment in India

152230

155933

149937

154821

155942

153762

157092

(a) Government securities

152198

155901

149905

154792

155913

153733

157064

(b) Other approved securities

32

32

31

29

29

29

29

VI Bank Credit

396951

377828

373789

376939

371245

374799

378179

(a) Loans cash credit and overdrafts

385628

366441

361970

364899

358017

361688

364290

(b) Inland bills purchased

581

568

543

538

827

536

571

(c) Inland bills discounted

8792

8929

9433

9615

10833

10986

11239

(d) Foreign bills purchased

1236

1223

1236

1235

878

854

1100

(e) Foreign bills discounted

714

667

607

652

690

735

978

Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information Management, RBI.

TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2009-10 (Contd.)

(Amount in ` crore)

Item

As on the last reporting friday of

Oct

Nov

Dec

Jan

Feb

Mar

2009

2009

2009

2010

2010

2010

(8)

(9)

(10)

(11)

(12)

(13)

New Private Sector Banks            

No. of Reporting Banks

7

7

7

7

7

7

I. Liabilities to the banking system

10852

12551

13315

14652

14461

16029

(a) Demand and time deposits from banks

8523

9866

9293

9819

10233

10402

(b) Borrowings from banks

1685

2091

3420

4204

3640

5034

(c) Other demand and time  liabilities

644

594

602

629

588

593

II. Liabilities to others in India

583411

585513

589787

611030

622449

642534

(a) Aggregate deposits

514741

518379

516225

540780

551882

567848

(i) Demand deposits

105516

100824

102313

115551

113907

128971

(ii) Time Deposits

409225

417556

413912

425229

437976

438877

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

13533

15416

19182

16243

16168

18434

(c) Other demand and time liabilities

55137

51717

54380

54008

54399

56252

III. Assets with the banking system

3024

2779

5909

7443

8354

13182

Money at call and short notice

185

22

62

556

843

1325

VI. Cash in hand

6378

5446

5625

6432

6978

6023

V. Investment in India

150168

157616

160014

166628

166940

168859

(a) Government securities

150141

157589

159988

166604

166916

168837

(b) Other approved securities

26

26

26

24

24

22

VI Bank Credit

377045

372329

380852

397817

401353

431668

(a) Loans cash credit and overdrafts

363507

361355

367423

381516

384093

412424

(b) Inland bills purchased

588

662

847

1169

1199

1123

(c) Inland bills discounted

11299

8247

10717

12849

14064

15655

(d) Foreign bills purchased

800

699

652

663

842

998

(e) Foreign bills discounted

852

1365

1212

1620

1156

1469

Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information Management, RBI.

TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2009-10 (Contd.)

(Amount in ` crore)

Item

As on the last reporting friday of

Mar

Apr

May

Jun

Jul

Aug

Sep

2009

2009

2009

2009

2009

2009

2009

(1)

(2)

(3)

(4)

(5)

(6)

(7)

Foreign Banks              

No. of Reporting Banks

31

31

31

31

32

32

32

I. Liabilities to the banking system

27865

22622

18152

18351

14941

13886

6412

(a) Demand and time deposits from banks

1052

1442

1079

1360

1509

1372

2000

(b) Borrowings from banks

10460

7965

4253

6445

4957

4679

3631

(c) Other demand and time  liabilities

16353

13215

12820

10546

8475

7835

781

II. Liabilities to others in India

271329

264605

282067

267131

276719

278364

273054

(a) Aggregate deposits

202767

208913

227485

218761

226585

230646

229272

(i) Demand deposits

63756

65015

73478

65456

69697

75468

78483

(ii) Time Deposits

139011

143898

154007

153305

156888

155178

150789

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

32797

27195

24635

19137

17595

19288

18279

(c) Other demand and time liabilities

35765

28497

29947

29233

32539

28430

25503

III. Assets with the banking system

36251

31395

27799

26698

21859

21351

11796

Money at call and short notice

793

1947

1261

3187

2028

2551

697

VI. Cash in hand

618

679

697

626

678

550

568

V. Investment in India

87198

87534

88777

86406

106851

116466

117843

(a) Government securities

87189

87525

88768

86398

106843

116458

117833

(b) Other approved securities

9

9

9

8

8

8

10

VI Bank Credit

169334

161801

156701

157184

156302

155310

156974

(a) Loans cash credit and overdrafts

154947

149278

145330

145778

143121

141839

140962

(b) Inland bills purchased

904

903

845

824

791

733

809

(c) Inland bills discounted

3504

3724

3590

3756

4263

4398

5777

(d) Foreign bills purchased

3077

2325

2395

2586

2591

2430

3329

(e) Foreign bills discounted

6902

5571

4541

4240

5536

5910

6097

Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information Management, RBI.

TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2009-10 (Contd.)

(Amount in ` crore)

Item

As on the last reporting friday of

Oct

Nov

Dec

Jan

Feb

Mar

2009

2009

2009

2010

2010

2010

(8)

(9)

(10)

(11)

(12)

(13)

Foreign Banks            

No. of Reporting Banks

32

32

32

32

32

32

I. Liabilities to the banking system

5709

5596

5821

5951

7579

12139

(a) Demand and time deposits from banks

1701

1932

1704

1792

1892

2454

(b) Borrowings from banks

3336

2967

3451

3449

4897

8849

(c) Other demand and time  liabilities

672

697

666

710

790

836

II. Liabilities to others in India

268539

270135

268308

277684

282161

283053

(a) Aggregate deposits

227141

229519

225234

231349

232285

234639

(i) Demand deposits

73462

70307

70930

71741

72191

78254

(ii) Time Deposits

153679

159212

154304

159608

160094

156385

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

15970

15299

16763

18653

20119

20668

(c) Other demand and time liabilities

25428

25317

26311

27682

29757

27746

III. Assets with the banking system

10360

9437

9661

12373

17334

24583

Money at call and short notice

1888

952

1053

2705

3363

1503

VI. Cash in hand

640

625

657

692

602

576

V. Investment in India

107160

112806

112698

119989

117987

107899

(a) Government securities

107151

112797

112694

119982

117980

107892

(b) Other approved securities

9

9

4

7

7

7

VI Bank Credit

156421

156906

156741

156439

161784

166860

(a) Loans cash credit and overdrafts

140796

140285

140444

141277

142677

146692

(b) Inland bills purchased

770

658

1160

1152

1141

1183

(c) Inland bills discounted

5440

6002

6485

6944

7328

7672

(d) Foreign bills purchased

2897

3611

2271

2100

3337

3598

(e) Foreign bills discounted

6518

6350

6381

4966

7301

7715

Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information Management, RBI.

TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP WISE 2009-10 (Contd.)

(Amount in ` crore)

Item

As on the last reporting friday of

Mar

Apr

May

Jun

Jul

Aug

Sep

2009

2009

2009

2009

2009

2009

2009

(1)

(2)

(3)

(4)

(5)

(6)

(7)

Regional Rural Banks              

No. of Reporting Banks

86

86

86

86

84

84

84

I. Liabilities to the banking system

911

992

876

891

944

1098

1170

(a) Demand and time deposits from banks

446

571

442

482

505

546

584

(b) Borrowings from banks

354

319

319

306

321

434

472

(c) Other demand and time  liabilities

111

102

115

103

118

118

114

II. Liabilities to others in India

116731

118504

118739

119887

122712

123548

125858

(a) Aggregate deposits

113828

115715

115926

117205

119726

120558

122785

(i) Demand deposits

24353

24707

24471

24728

24947

24969

25718

(ii) Time Deposits

89475

91008

91455

92477

94779

95589

97067

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

22

1

2

2

2

3

2

(c) Other demand and time liabilities

2881

2788

2811

2680

2984

2987

3071

III. Assets with the banking system

32039

32898

32034

31922

32354

31321

33475

Money at call and short notice

3723

3643

3488

3530

3535

3485

3446

VI. Cash in hand

1226

1186

1265

1267

1172

1141

1154

V. Investment in India

29414

29005

29890

30370

31395

31947

32480

(a) Government securities

27118

26941

27884

28441

29677

30177

31322

(b) Other approved securities

2296

2064

2006

1929

1718

1770

1158

VI Bank Credit

64011

64479

64834

65738

67392

68659

71204

(a) Loans cash credit and overdrafts

63890

64447

64814

65718

67359

68637

71170

(b) Inland bills purchased

99

23

13

13

26

14

22

(c) Inland bills discounted

12

9

7

7

7

8

12

(d) Foreign bills purchased

10

-

-

-

-

-

-

(e) Foreign bills discounted

-

-

-

-

-

-

-

Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information Management, RBI.

TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP WISE 2009-10 (Contd.)

(Amount in ` crore)

Item

As on the last reporting friday of

Oct

Nov

Dec

Jan

Feb

Mar

2009

2009

2009

2010

2010

2010

(8)

(9)

(10)

(11)

(12)

(13)

Regional Rural Banks            

No. of Reporting Banks

84

84

84

83

83

82

I. Liabilities to the banking system

1133

1120

1105

1176

1421

2229

(a) Demand and time deposits from banks

593

587

567

612

832

1207

(b) Borrowings from banks

425

475

483

523

555

978

(c) Other demand and time  liabilities

115

58

55

41

34

44

II. Liabilities to others in India

126761

127382

128555

133804

135573

139674

(a) Aggregate deposits

123460

124051

125206

130271

131721

135814

(i) Demand deposits

25491

25945

26156

27283

27330

28710

(ii) Time Deposits

97969

98106

99050

102988

104391

107104

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

6

4

7

3

188

196

(c) Other demand and time liabilities

3295

3327

3342

3530

3664

3664

III. Assets with the banking system

31819

30698

30223

31079

31978

37049

Money at call and short notice

3982

3850

3834

3665

3078

4266

VI. Cash in hand

1230

1200

1287

1250

1329

1434

V. Investment in India

33864

34858

35653

37078

37912

39230

(a) Government securities

32770

33757

34595

36046

36966

38201

(b) Other approved securities

1094

1101

1058

1032

946

1029

VI Bank Credit

72939

73848

74671

77481

78351

79085

(a) Loans cash credit and overdrafts

72892

73799

74616

77441

78300

79016

(b) Inland bills purchased

39

39

47

33

44

52

(c) Inland bills discounted

8

10

8

7

7

17

(d) Foreign bills purchased

-

-

-

-

-

-

(e) Foreign bills discounted

-

-

-

-

-

-

Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information Management, RBI.

TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP WISE 2009-10 (Contd.)

(Amount in ` crore)

Item 

As on the last reporting friday of 

Mar

Apr

May

Jun

Jul

Aug

Sep

2009

2009

2009

2009

2009

2009

2009

 

(1)

(2)

(3)

(4)

(5)

(6)

(7)

Sch. State Co-op. Banks              

No. of Reporting Banks

16

16

16

16

16

16

16

I. Liabilities to the banking system

2285

2363

2491

2438

2512

2635

2382

(a) Demand and time deposits from banks

2282

2362

2413

2438

2512

2635

2381

(b) Borrowings from banks

3

1

78

-

-

-

1

(c) Other demand and time  liabilities

-

-

-

-

-

-

-

II. Liabilities to others in India

54500

58242

58776

58407

59226

59285

60157

(a) Aggregate deposits

52568

56256

56518

56577

57371

57403

58336

(i) Demand deposits

3602

3386

2927

3124

3056

3073

3215

(ii) Time Deposits

48966

52870

53591

53453

54315

54330

55121

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

-

-

448

-

-

-

-

(c) Other demand and time liabilities

1932

1986

1810

1830

1855

1882

1821

III. Assets with the banking system

18480

22080

22691

22036

22728

22308

23250

Money at call and short notice

10125

11422

12054

11752

11009

10271

10264

VI. Cash in hand

85

85

90

84

84

83

84

V. Investment in India

17179

17833

18811

19754

20392

20918

20946

(a) Government securities

16074

16849

17712

18426

18853

19568

19524

(b) Other approved securities

1105

984

1099

1328

1539

1350

1422

VI Bank Credit

42371

41881

40015

39369

37939

38632

38684

(a) Loans cash credit and overdrafts

42365

41875

40010

39366

37935

38629

38680

(b) Inland bills purchased

2

3

2

1

3

1

2

(c) Inland bills discounted

-

-

-

-

-

-

-

(d) Foreign bills purchased

4

3

3

2

1

2

2

(e) Foreign bills discounted

-

-

-

-

-

-

-

Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information Management, RBI.

TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP WISE 2009-10 (Contd.)

(Amount in ` crore)

Item

As on the last reporting friday of

Oct

Nov

Dec

Jan

Feb

Mar

2009

2009

2009

2010

2010

2010

(8)

(9)

(10)

(11)

(12)

(13)

Sch. State Co-op. Banks            

No. of Reporting Banks

16

16

16

16

16

16

I. Liabilities to the banking system

2454

-

-

1

-

-

(a) Demand and time deposits from banks

2454

-

-

-

-

-

(b) Borrowings from banks

-

-

-

1

-

-

(c) Other demand and time  liabilities

-

-

-

-

-

-

II. Liabilities to others in India

61931

65751

66256

66793

66507

68347

(a) Aggregate deposits

59825

63643

64282

64102

63950

65175

(i) Demand deposits

3552

3544

3728

3568

3584

4201

(ii) Time Deposits

56273

60099

60554

60534

60366

60974

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

-

-

-

600

243

650

(c) Other demand and time liabilities

2106

2108

1974

2091

2314

2522

III. Assets with the banking system

23140

25519

24536

23202

21840

25669

Money at call and short notice

10966

12842

12339

12082

11626

14909

VI. Cash in hand

98

91

81

82

77

85

V. Investment in India

21394

22088

23805

23881

24167

23905

(a) Government securities

19955

20450

21333

21150

21485

21343

(b) Other approved securities

1439

1638

2472

2731

2682

2562

VI Bank Credit

38571

37587

38349

40245

41922

43350

(a) Loans cash credit and overdrafts

38567

37583

38343

40236

41909

43340

(b) Inland bills purchased

1

2

4

5

7

3

(c) Inland bills discounted

-

-

-

-

-

-

(d) Foreign bills purchased

3

2

2

4

6

7

(e) Foreign bills discounted

-

-

-

-

-

-

Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information Management, RBI.

TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP WISE 2009-10 (Contd.)

(Amount in ` crore)

Item

As on the last reporting friday of

Mar

Apr

May

Jun

Jul

Aug

Sep

2009

2009

2009

2009

2009

2009

2009

(1)

(2)

(3)

(4)

(5)

(6)

(7)

Sch. Urban Co-op. Banks              

No. of Reporting Banks

53

53

53

53

53

53

53

I. Liabilities to the banking system

2019

2081

2148

2188

2192

2231

2242

(a) Demand and time deposits from banks

1997

2068

2111

2154

2187

2216

2213

(b) Borrowings from banks

15

10

3

11

3

12

25

(c) Other demand and time  liabilities

7

3

34

23

2

3

4

II. Liabilities to others in India

69602

71071

71665

72227

74488

75263

76166

(a) Aggregate deposits

65926

67323

68120

69222

71056

71505

72128

(i) Demand deposits

8104

8022

8223

8416

8692

8904

9215

(ii) Time Deposits

57822

59301

59897

60806

62364

62601

62913

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

1419

1265

1297

914

1255

1347

1381

(c) Other demand and time liabilities

2257

2483

2248

2091

2177

2411

2657

III. Assets with the banking system

6497

7444

7098

7890

8115

8422

8142

Money at call and short notice

1133

1617

937

1678

1380

1336

877

VI. Cash in hand

459

505

546

534

576

599

567

V. Investment in India

21956

22002

22677

23437

24164

24655

25217

(a) Government securities

21596

21650

22296

23035

23766

24249

24825

(b) Other approved securities

360

352

381

402

398

406

392

VI Bank Credit

41632

42341

42566

42665

43147

43036

43679

(a) Loans cash credit and overdrafts

39536

40458

40554

40669

41070

41106

41709

(b) Inland bills purchased

753

703

848

848

862

1018

1029

(c) Inland bills discounted

830

809

803

807

881

573

588

(d) Foreign bills purchased

124

25

27

25

24

42

38

(e) Foreign bills discounted

389

346

334

316

310

297

315

Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act , 1934, Department of Statistics & Information Management, RBI.

TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP WISE 2009-10 (Concld.)

(Amount in ` crore)

Item

As on the last reporting friday of

Oct

Nov

Dec

Jan

Feb

Mar

2009

2009

2009

2010

2010

2010

(8)

(9)

(10)

(11)

(12)

(13)

Sch. Urban Co-op. Banks            

No. of Reporting Banks

53

53

53

53

53

53

I. Liabilities to the banking system

2214

2207

2235

2265

2315

2463

(a) Demand and time deposits from banks

2198

2195

2215

2252

2301

2440

(b) Borrowings from banks

12

7

14

6

12

18

(c) Other demand and time  liabilities

4

5

6

7

2

5

II. Liabilities to others in India

77034

77153

77722

79552

80509

81493

(a) Aggregate deposits

73207

73399

73743

75548

76139

77224

(i) Demand deposits

9921

9757

10032

10487

10472

10636

(ii) Time Deposits

63286

63642

63711

65061

65667

66588

(b) Borrowings (other than from RBI, NABARD,EXIM Bank)

1504

1228

1414

1340

1334

1262

(c) Other demand and time liabilities

2323

2526

2565

2664

3036

3007

III. Assets with the banking system

7727

7452

7252

7535

7129

6832

Money at call and short notice

887

668

538

611

564

558

VI. Cash in hand

749

605

577

611

512

633

V. Investment in India

25727

25894

26399

26405

26807

29113

(a) Government securities

25341

25481

25982

26001

26421

28733

(b) Other approved securities

386

413

417

404

386

380

VI Bank Credit

43861

44591

45371

46884

48108

49522

(a) Loans cash credit and overdrafts

41987

42773

43611

45041

46227

47401

(b) Inland bills purchased

942

518

527

556

608

669

(c) Inland bills discounted

580

959

892

925

917

1104

(d) Foreign bills purchased

42

37

41

66

78

66

(e) Foreign bills discounted

310

304

300

296

278

282

Source : Form ‘A’ / ‘B’ Return under Section 42(2) of RBI Act, 1934, Department of Statistics & Information Management, RBI.

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