Appendix Table III.2 Certificates of Deposit Issued by Scheduled Commercial Banks - ଆରବିଆଇ - Reserve Bank of India
Appendix Table III.2 Certificates of Deposit Issued by Scheduled Commercial Banks
Appendix Table III.2: Certificates of Deposit Issued byScheduled Commercial Banks
(Amount in Rs. crore) |
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Fortnight |
Total |
Rate of Interest |
Fortnight |
Total |
Rate of Interest |
|
ended |
Outstanding |
(Per cent) @ |
ended |
Outstanding |
(Per cent) @ |
|
1 |
2 |
3 |
4 |
5 |
6 |
|
2004 |
2005 |
|||||
January |
9 |
4,457 |
3.87 – 5.31 |
January 7 |
7,033 |
3.91 – 6.26 |
23 |
4,419 |
3.57 – 6.11 |
21 |
4,236 |
4.01 – 6.25 |
|
February |
6 |
4,826 |
3.92 – 5.06 |
February 4 |
8,202 |
4.50 – 6.32 |
20 |
4,856 |
3.75 – 6.00 |
18 |
9,214 |
4.25 – 6.12 |
|
March |
5 |
4,831 |
3.59 – 5.75 |
March 4 |
10,310 |
5.25 – 6.31 |
19 |
4,461 |
3.87 – 5.16 |
18 |
12,078 |
4.21 – 6.34 |
|
April |
2 |
4,626 |
3.75 – 5.16 |
April 1 |
14,975 |
4.75 – 6.60 |
16 |
4,813 |
4.64 – 6.00 |
15 |
14,106 |
4.10 – 6.60 |
|
30 |
4,725 |
3.50 – 4.45 |
29 |
16,602 |
4.24 – 6.50 |
|
May |
14 |
4,703 |
4.08 – 4.61 |
May13 |
17,420 |
4.29 – 6.75 |
28 |
4,860 |
1.09 – 4.73 |
27 |
17,689 |
4.29 – 6.75 |
|
June |
11 |
5,065 |
4.70 – 5.00 |
June10 |
18,503 |
5.47 – 7.00 |
25 |
5,438 |
3.96 – 6.75 |
24 |
19,270 |
5.58 – 7.50 |
|
July |
9 |
5,529 |
4.14 – 6.75 |
July 8 |
20,509 |
4.50 – 7.00 |
23 |
5,478 |
4.02 – 6.75 |
22 |
20,768 |
4.25 – 7.00 |
|
August |
6 |
4,605 |
4.30 – 6.75 |
August 5 |
21,062 |
4.75 – 7.00 |
20 |
4,480 |
4.50 – 5.00 |
19 |
23,568 |
4.66 – 7.00 |
|
September |
3 |
4,842 |
4.50 – 5.75 |
September 2 |
23,646 |
4.66 – 7.00 |
17 |
5,112 |
4.09 – 5.09 |
16 |
25,604 |
4.66 – 7.00 |
|
30 |
27,641 |
4.39 – 7.00 |
||||
October |
1 |
5,164 |
3.50 – 5.50 |
|||
15 |
4,837 |
4.00 – 5.75 |
||||
29 |
4,785 |
4.50 – 6.26 |
||||
November |
12 |
5,425 |
3.90 – 7.00 |
|||
26 |
6,118 |
4.45 – 6.00 |
||||
December |
10 |
7,121 |
4.19 – 6.00 |
|||
24 |
6,103 |
3.96 – 6.75 |
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@ : Effective interest rate range per annum. |