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RBI Announcements

Asset Publisher

83013939

No. 3 : All Scheduled Banks - Business in India

 
 
 
 
 

(Rs.crore)


Last Reporting Friday (in case of March) /

1990-91

1998-99

1999-2000

1999


2000


Last Friday


 
 
 

Dec.


Jun.


1


2


3


4


5


6


Number of reporting banks

299

346

364

350

364

           

Liabilities to the banking system (1)

6,673

46,943

56,233

51,240

60,209

           

Demand and time deposits from banks (2)

5,598

33,875

38,699

37,939

43,108

           

Borrowings from banks

998

12,345

16,655

11,907

15,973

           

Other demand and time liabilities (4)

77

723

880

1,394

1,128

           

Liabilities to others (1)

2,13,125

8,13,627

9,44,813

9,13,298

9,84,866

           

Aggregate deposits (5)

1,99,643

7,51,412 *

8,62,098

8,35,417

9,03,640

           

Demand

34,823

1,21,565

1,33,000

1,21,772

1,36,167

           

Time (5)

1,64,820

6,29,846 *

7,29,098

7,13,645

7,67,473

           

Borrowings (6)

645

1,192

2,801

2,644

2,558

           

Other demand and time liabilities (4)

12,838

61,023 *

79,914

75,237

78,668

           

Borrowings from Reserve Bank (7)

3,483

2,908

6,523

2,681

8,928

           

Against usance bills / promissory notes

-

-

-

-

-

           

Others (8)

3,483

2,908

6,523

2,681

8,928

           

Cash in hand and balances with Reserve Bank

25,995

69,707

65,178

67,361

69,567

           

Cash in hand

1,847

4,579

5,728

6,327

6,158

           

Balances with Reserve Bank (9)


24,147


65,127


59,450


61,034


63,409


 
 
 
 
 
 

(Rs. crore)


Last Reporting Friday (in case of March) /

2000


Last Friday


Jul.


Aug.


Sep.


Oct. (P)


Nov. (P)


Dec. (P)


1


7


8


9


10


11


12


Number of reporting banks

364

364

364

364

364

364

             

Liabilities to the banking system (1)

57,442

59,268

61,978

62,118

68,296

73,436

             

Demand and time deposits from banks (2)

43,802

43,578

44,513

40,634

44,800

50,245

             

Borrowings from banks

12,291

13,901

15,940

20,135

22,213

21,957

             

Other demand and time liabilities (4)

1,350

1,790

1,525

1,349

1,283

1,234

             

Liabilities to others (1)

9,84,882

9,96,129

10,37,733

10,29,643

10,58,659

10,76,556

             

Aggregate deposits (5)

9,06,173

9,13,772

9,46,020

9,41,691

9,69,168

9,84,250

             

Demand

1,29,907

1,28,606

1,41,697

1,36,036

1,33,872

1,42,528

             

Time (5)

7,76,265

7,85,166

8,04,323

8,05,655

8,35,295

8,41,722

             

Borrowings (6)

2,456

2,781

7,854

6,974

8,628

2,338

             

Other demand and time liabilities (4)

76,253

79,576

83,860

80,978

80,864

89,968

             

Borrowings from Reserve Bank (7)

5,960

6,353

6,832

6,380

6,082

6,795

             

Against usance bills / promissory notes

-

-

-

-

-

-

             

Others (8)

5,960

6,353

6,832

6,380

6,082

6,795

             

Cash in hand and balances with Reserve Bank

67,719

70,807

81,464

75,499

77,555

76,096

             

Cash in hand

5,879

5,897

5,767

6,067

6,279

6,491

             

Balances with Reserve Bank (9)


61,841


64,910


75,696


69,431


71,276


69,605


 
 
 
 
 

(Rs. crore)


Last Reporting Friday (in case of March) /

1990-91

1998-99

1999-2000

1999


2000


Last Friday


 
 
 

Dec.


Jun.


1


2


3


4


5


6


Assets with the Banking System

6,848

43,110

52,702

47,091

47,679

           

Balances with other banks

3,347

15,852

19,525

17,945

18,833

           

In current account

1,926

4,779

5,031

4,872

5,239

           

In other accounts

1,421

11,073

14,495

13,073

13,593

           

Money at call and short notice

2,201

22,315

26,670

22,991

23,465

           

Advances to banks (10)

902

3,132

4,204

3,947

2,136

           

Other assets

398

1,812

2,303

2,207

3,245

           

Investment

76,831

2,65,431

3,22,836

3,13,939

3,43,607

           

Government securities (11)

51,086

2,31,906

2,90,002

2,80,801

3,10,576

           

Other approved securities

25,746

33,525

32,834

33,138

33,031

           

Bank credit

1,25,575

3,99,471

4,76,025

4,50,250

5,01,550

           

Loans, cash-credits and overdrafts

1,14,982

3,67,259

4,40,056

4,17,115

4,62,625

           

Inland bills-purchased

3,532

5,198

5,032

5,014

5,276

           

Inland bills-discounted

2,409

11,020

13,186

12,006

15,406

           

Foreign bills-purchased

2,788

8,289

8,939

7,888

8,971

           

Foreign bills-discounted

1,864

7,704

8,812

8,226

9,271

           

Cash-Deposit Ratio

13.0

9.3

7.6

8.1

7.7

           

Investment-Deposit Ratio

38.5

35.3

37.4

37.6

38.0

           

Credit-Deposit Ratio


62.9


53.2


55.2


53.9


55.5


 
 
 
 
 
 

(Rs. crore)


Last Reporting Friday (in case of March) /

2000


Last Friday


Jul.


Aug.


Sep.


Oct. (P)


Nov. (P)


Dec. (P)


1


7


8


9


10


11


12


Assets with the Banking System

47,158

48,411

49,729

52,342

58,307

61,676

             

Balances with other banks

20,056

18,556

19,607

19,428

18,843

20,057

             

In current account

4,780

4,576

4,939

4,790

4,608

5,088

             

In other accounts

15,276

13,981

14,668

14,638

14,236

14,969

             

Money at call and short notice

21,392

23,452

24,121

26,493

33,825

36,075

             

Advances to banks (10)

2,721

3,339

3,220

3,290

2,518

2,318

             

Other assets

2,989

3,063

2,780

3,131

3,121

3,226

             

Investment

3,47,381

3,48,555

3,52,997

3,55,990

3,71,909

3,73,298

             

Government securities (11)

3,14,469

3,15,406

3,19,701

3,22,386

3,38,211

3,39,731

             

Other approved securities

32,912

33,149

33,296

33,604

33,698

33,567

             

Bank credit

4,99,027

5,04,063

5,19,332

5,23,135

5,24,208

5,40,003

             

Loans, cash-credits and overdrafts

4,60,871

4,65,255

4,79,121

4,82,312

4,82,725

4,98,280

             

Inland bills-purchased

4,707

4,787

5,390

5,204

5,298

5,611

             

Inland bills-discounted

15,610

16,240

17,003

17,769

18,339

18,353

             

Foreign bills-purchased

8,800

8,707

9,094

9,056

9,079

9,241

             

Foreign bills-discounted

9,039

9,074

8,724

8,794

8,768

8,518

             

Cash-Deposit Ratio

7.5

7.7

8.6

8.0

8.0

7.7

             

Investment-Deposit Ratio

38.3

38.1

37.3

37.8

38.4

37.9

             

Credit-Deposit Ratio


55.1


55.2


54.9


55.6


54.1


54.9


* : Revised in line with the new accounting standards and consistent with the methodology suggested by the Working Group on Money Supply: Analytics and Methodology of Compilation (June 1998). The revision is in respect of pension and provident funds with commercial banks which are classified as other demand and time liabilities and includes those banks which have reported such changes so far.

Also see 'Notes on Tables'.

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