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Asset Publisher

83024630

No. 4 : All Scheduled Commercial Banks - Business in India Business in India

 
 
 
 
 
 

Last Reporting Friday(in case of March) /

1990-91

1998-99

1999-2000

1999


2000


Last Friday


 
 
 

Nov.


May


1


2


3


4


5


6


Number of Reporting banks

271

301

297

298

297

           

Liabilities to the banking system(1)

6,486

45,204

53,838

48,201

55,650

           

Demand and time deposits from banks(2),(12)

5,443

32,410

36,711

34,041

38,185

           

Borrowings from banks(3)

967

12,072

16,266

13,463

15,959

           

Other demand and time liabilities(4)

76

722

861

697

1,506

           

Liabilities to others(1)

2,05,600

7,75,238

8,94,520

8,48,486

9,23,248

           

Aggregate deposits(5)

1,92,541

7,14,025 *

8,13,345

7,75,349

8,41,827

           

Demand

33,192

1,17,423

1,27,366

1,12,846

1,28,641

           

Time(5)

1,59,349

5,96,602 *

6,85,978

6,62,503

7,13,187

           

Borrowings(6)

470

1,140

2,734

4,397

6,060

           

Other demand and time liabilities(4),(13)

12,589

60,073 *

78,442

68,740

75,360

           

Borrowings from Reserve Bank(7)

3,468

2,894

6,491

6,721

10,628

           

Against usance bills/promissory notes

-

-

-

-

-

           

Others

3,468

2,894

6,491

6,721

10,628

           

Cash in hand and balances with Reserve Bank

25,665

67,910

62,750

69,076

69,893

           

Cash in hand

1,804

4,362

5,330

4,760

5,471

           

Balances with Reserve Bank(9)


23,861


63,548


57,419


64,316


64,422


 
 
 
 
 

(Rs. crore)


Last Reporting Friday(in case of March) /

2000


Last Friday


Jun.


Jul.


Aug.


Sep. (P)


Oct. (P)


Nov. (P)


1


7


8


9


10


11


12


Number of Reporting banks

297

297

297

297

297

297

             

Liabilities to the banking system(1)

55,039

52,319

54,426

56,249

56,498

62,563

             

Demand and time deposits from banks(2),(12)

38,654

39,201

39,094

39,320

38,239

40,538

             

Borrowings from banks(3)

15,264

11,782

13,601

15,735

16,965

20,777

             

Other demand and time liabilities(4)

1,121

1,336

1,732

1,194

1,293

1,247

             

Liabilities to others(1)

9,33,312

9,32,805

9,43,928

9,75,546

9,76,103

10,04,841

             

Aggregate deposits(5)

8,53,906

8,55,778

8,63,256

8,88,034

8,90,180

9,17,279

             

Demand

1,30,239

1,24,047

1,22,876

1,32,100

1,30,363

1,28,165

             

Time(5)

7,23,667

7,31,731

7,40,380

7,55,934

7,59,817

7,89,114

             

Borrowings(6)

2,455

2,334

2,694

5,272

6,841

8,559

             

Other demand and time liabilities(4),(13)

76,951

74,692

77,978

82,240

79,082

79,004

             

Borrowings from Reserve Bank(7)

8,713

5,847

6,251

6,719

6,269

5,962

             

Against usance bills/promissory notes

-

-

-

-

-

-

             

Others

8,713

5,847

6,251

6,719

6,269

5,962

             

Cash in hand and balances with Reserve Bank

66,681

65,170

68,026

78,260

72,461

74,469

             

Cash in hand

5,750

5,427

5,458

5,346

5,604

5,806

             

Balances with Reserve Bank(9)


60,932


59,743


62,568


72,915


66,857


68,663


 
 
 
 
 
 

Last Reporting Friday(in case of March) /

1990-91

1998-99

1999-2000

1999


2000


Last Friday


 
 
 

Nov.


May


1


2


3


4


5


6


Assets with the Banking System

5,582

34,787

43,448

42,168

42,996

           

Balances with other banks

2,846

13,088

16,307

13,619

16,496

           

In current account

1,793

4,123

4,301

3,736

4,543

           

In other accounts

1,053

8,966

12,006

9,883

11,953

           

Money at call and short notice

1,445

18,172

21,680

21,223

22,151

           

Advances to banks (10)

902

2,104

3,542

2,317

2,666

           

Other assets

388

1,422

1,919

5,009

1,684

           

Investment

75,065

2,54,595

3,08,944

3,00,631

3,30,251

           

Government securities (11)

49,998

2,23,217

2,78,456

2,69,447

2,99,600

           

Other approved securities

25,067

31,377

30,488

31,184

30,651

           

Bank credit (14)

1,16,301

3,68,837

4,35,958

3,96,304

4,42,493

 

(4,506)

(16,816)

(25,691)

(23,524)

(30,843)

           

Loans, cash-credits and overdrafts

1,05,982

3,37,475

4,00,907

3,65,701

4,04,900

           

Inland bills-purchased

3,375

4,893

4,788

4,191

4,724

           

Inland bills-discounted

2,336

10,742

12,758

10,957

15,159

           

Foreign bills-purchased

2,758

8,251

8,886

7,589

8,894

           

Foreign bills-discounted

1,851

7,476

8,619

7,866

8,815

           

Cash-Deposit Ratio

13.3

9.5

7.7

8.9

8.3

           

Investment- Deposit Ratio

39.0

35.7

38.0

38.8

39.2

           

Credit-Deposit Ratio


60.4


51.7


53.6


51.1


52.6


 
 
 
 
 

(Rs. crore)


Last Reporting Friday(in case of March) /

2000


Last Friday


Jun.


Jul.


Aug.


Sep. (P)


Oct. (P)


Nov. (P)


1


7


8


9


10


11


12


Assets with the Banking System

37,956

37,493

38,664

39,726

43,336

49,364

             

Balances with other banks

15,210

15,349

14,921

15,585

15,928

15,382

             

In current account

4,336

4,000

3,749

3,780

3,996

3,864

             

In other accounts

10,874

11,349

11,171

11,805

11,932

11,518

             

Money at call and short notice

18,466

17,536

18,439

19,546

22,171

29,510

             

Advances to banks (10)

2,085

2,690

3,318

2,841

3,278

2,489

             

Other assets

2,196

1,918

1,986

1,754

1,959

1,983

             

Investment

3,27,874

3,31,528

3,32,482

3,36,295

3,39,579

3,54,889

             

Government securities (11)

2,97,295

3,01,158

3,01,900

3,05,286

3,08,568

3,23,864

             

Other approved securities

30,579

30,370

30,582

31,009

31,011

31,024

             

Bank credit (14)

4,59,934

4,57,557

4,62,266

4,71,248

4,79,471

4,80,619

 

(33,182)

(32,808)

(32,636)

(32,131)

(34,587)

(36,354)

             

Loans,cash-credits and overdrafts

4,22,086

4,20,419

4,24,512

4,32,763

4,39,820

4,40,283

             

Inland bills-purchased

5,001

4,446

4,522

4,622

4,914

4,997

             

Inland bills-discounted

14,910

15,160

15,767

16,573

17,213

17,794

             

Foreign bills-purchased

8,914

8,743

8,647

8,890

8,994

9,021

             

Foreign bills-discounted

9,024

8,789

8,818

8,401

8,530

8,525

             

Cash-Deposit Ratio

7.8

7.6

7.9

8.8

8.1

8.1

             

Investment- Deposit Ratio

38.4

38.7

38.5

37.9

38.1

38.7

             

Credit-Deposit Ratio


53.9


53.5


53.5


53.1


53.9


52.4


* : 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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