Appendix Table II.1: RBI Accommodation to Scheduled Commercial Banks - ਆਰਬੀਆਈ - Reserve Bank of India
Appendix Table II.1: RBI Accommodation to Scheduled Commercial Banks
(Rs. crore) | |||||||||
As on the | Total Export Credit | General | Special Liquidity | Total | |||||
last reporting | Refinance | Refinance* | Support Facility@ | Refinance | |||||
Friday | |||||||||
of | Limit | Outstan- | Limit | Outstan- | Limit | Outstan- | Limit | Outstan- | |
ding | ding | ding | ding | ||||||
1 | 2 | 3 | 4 | 5 | 6 | 7 | 8 | 9 | |
(2+4+6) | (3+5+7) | ||||||||
1998 | |||||||||
March | 2,402.96 | 394.52 | 1,115.02 | 0.11 | | | 3,517.98 | 394.63 | |
April | 3,082.85 | 165.05 | 1,115.02 | | | | 4,197.87 | 165.05 | |
May | 5,713.69 | 518.76 | 1,115.02 | 0.11 | | | 6,828.71 | 518.87 | |
June | 5,379.83 | 755.34 | 1,115.02 | 0.11 | | | 6,494.85 | 755.45 | |
September | 4,924.68 | 3,304.42 | 1,115.02 | 1.48 | 2,096.66 | | 8,136.36 | 3,305.90 | |
December | 5,678.83 | 3,150.05 | 1,115.02 | | 3,205.02 | | 9,998.87 | 3,150.05 | |
1999 | |||||||||
March | 7,269.27 | 2,616.57 | 1,115.02 | 19.23 | 3,235.02 | 258.00 | 11,619.31 | 2,893.80 | |
April | 8,638.29 | 5,164.76 | 1,115.02 | 56.31 | | | 9,753.31 | 5,221.07 | |
As on the | Export Credit | Others @@ | Total | ||||||
last reporting | Refinance | Refinance | |||||||
Friday | Limit | Outstan- | Limit | Outstan- | Limit | Outstan- | |||
of | ding | ding | ding | ||||||
1999 | |||||||||
May | 8,563.56 | 4,521.79 | 3,027.72 | 437.91 | 11,591.28 | 4,959.70 | |||
June | 8,151.40 | 3,863.21 | 3,027.72 | | 11,179.12 | 3,863.21 | |||
September | 7,099.97 | 4,109.11 | 3,027.72 | 95.23 | 10,127.69 | 4,204.34 | |||
December | 8,577.94 | 2,470.84 | 3,027.72 | 82.50 | 11,605.66 | 2,553.34 | |||
2000 | |||||||||
March | 10,579.06 | 6,291.49 | 3,027.72 | 199.47 | 13,606.78 | 6,490.96 | |||
April | 11,277.89 | 4,609.33 | 3,027.72 | 458.95 | 14,305.61 | 5,068.28 | |||
May | 12,162.70 | 9,734.24 | 3,027.72 | 607.22 | 15,190.42 | 10,341.46 | |||
June | 11,273.12 | 8,489.59 | 1,713.69 | 223.02 | 12,986.81 | 8,712.61 | |||
July | 12,468.07 | 5,776.29 | 1,713.69 | 70.54 | 14,181.76 | 5,846.83 | |||
Note: | 1. * | General Refinance facility was replaced by Collateralised Lending Facility (CLF)/Additional Collateralised Lending Facility (ACLF) effective April 21, 1999, ACLF was withdrawn with the introduction of Liquidity Adjustment Facility (LAF), effective June 5, 2000. | |||||||
@ | Special Liquidity Facility which was introduced effective September 17, 1998 was available upto March 31, 1999. | ||||||||
@@ | Others include Collateralised Lending Facility (CLF)/ Additional CLF. |