Table 2 : Scheduled Commercial Banks' Business in India: 2001-2002 - ਆਰਬੀਆਈ - Reserve Bank of India
Table 2 : Scheduled Commercial Banks' Business in India: 2001-2002
(Amount in Rs. crpre) |
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As on the last Friday of |
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Items |
March |
April |
May |
June |
July |
August |
September |
October |
November |
December |
January |
February |
March |
2001 |
2001 |
2001 |
2001 |
2001 |
2001 |
2001 |
2001 |
2001 |
2001 |
2002 |
2002 |
2002 |
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(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
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No. of reporting banks |
296 |
295 |
295 |
295 |
295 |
295 |
295 |
295 |
294 |
294 |
294 |
294 |
294 |
I. Liabilities to the banking system |
80804 |
82175 |
75424 |
75622 |
58570 |
57648 |
57384 |
57025 |
52507 |
52473 |
49783 |
50960 |
60523 |
(a) Demand and time deposits from banks |
53731 |
52085 |
48272 |
48579 |
38481 |
35944 |
35149 |
32103 |
31650 |
31942 |
30845 |
30996 |
32882 |
(b) Borrowings from banks |
25626 |
28057 |
25667 |
25559 |
18621 |
20253 |
20597 |
23075 |
19049 |
18091 |
17098 |
17915 |
25450 |
(c) Other demand and time liabilities |
1447 |
2033 |
1485 |
1484 |
1469 |
1450 |
1638 |
1847 |
1808 |
2440 |
1840 |
2048 |
2191 |
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II. Liabilities to others in India |
1091338 |
1095506 |
1097268 |
1112427 |
1118262 |
1137340 |
1163944 |
1160972 |
1171738 |
1181434 |
1182784 |
1192516 |
1254269 |
(a) Aggregate deposits |
989141 |
992805 |
1000278 |
1016789 |
1022925 |
1037369 |
1061825 |
1051678 |
1062857 |
1070763 |
1076670 |
1084526 |
1131187 |
(i) Demand deposits |
159406 |
144567 |
141070 |
147944 |
141996 |
142090 |
150392 |
139512 |
143607 |
148636 |
141451 |
142669 |
169103 |
(ii) Time deposits |
829734 |
848238 |
859208 |
868846 |
880929 |
895279 |
911433 |
912165 |
919250 |
922127 |
935219 |
941857 |
962085 |
(b) Borrowings (other than from RBI, |
6318 |
5814 |
4185 |
2225 |
2187 |
4195 |
6137 |
5348 |
1881 |
4499 |
3638 |
2795 |
6000 |
IDBI, NABARD, EXIM Bank) |
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(c) Other demand and time liabilities |
95879 |
96887 |
92804 |
93413 |
93150 |
95776 |
95981 |
103947 |
107000 |
106172 |
102476 |
105195 |
117082 |
III. Assets with the banking system |
65635 |
68567 |
63231 |
62722 |
46138 |
54560 |
52073 |
53055 |
45818 |
46137 |
48706 |
49274 |
62276 |
of which: |
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Money at call and short notice |
37185 |
41326 |
37846 |
37018 |
24071 |
33481 |
30867 |
32286 |
25436 |
24646 |
23672 |
24695 |
34352 |
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IV. Cash in hand and balances with RBI |
82799 |
82626 |
74478 |
81226 |
77642 |
69630 |
83219 |
75564 |
79922 |
75946 |
74426 |
71045 |
79973 |
V. Investments in India |
367184 |
379003 |
391383 |
393375 |
406742 |
416976 |
411536 |
417105 |
420875 |
426864 |
429549 |
435339 |
437482 |
(a) Government securities |
336958 |
348657 |
361080 |
364247 |
377481 |
387817 |
382416 |
388413 |
392790 |
399127 |
401964 |
407866 |
410430 |
(b) Other approved securities |
30226 |
30346 |
30303 |
29128 |
29261 |
29159 |
29120 |
28692 |
28085 |
27737 |
27584 |
27473 |
27052 |
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VI. Bank credit |
529272 |
516876 |
514921 |
519416 |
524104 |
528340 |
543541 |
547641 |
549319 |
559673 |
568543 |
572851 |
609053 |
(a) Loans, cash credit and overdrafts |
485044 |
473728 |
473777 |
479561 |
484878 |
489460 |
504362 |
508918 |
510870 |
520110 |
528652 |
533112 |
563887 |
(b) Inland bills purchased |
5765 |
5183 |
4896 |
4857 |
4548 |
4640 |
5251 |
4681 |
4705 |
4984 |
4861 |
4957 |
5739 |
(c) Inland bills discounted |
19498 |
19808 |
18777 |
17909 |
17845 |
17669 |
17175 |
17098 |
17156 |
17592 |
18184 |
17804 |
19616 |
(d) Foreign bills purchased |
10041 |
9759 |
9036 |
9222 |
8754 |
8399 |
8605 |
8305 |
7830 |
8523 |
8482 |
8476 |
9604 |
(e) Foreign bills discounted |
8923 |
8398 |
8436 |
7865 |
8078 |
8173 |
8148 |
8639 |
8757 |
8464 |
8365 |
8502 |
10208 |
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Source: Form-A Return under Section 42(2) of RBI Act, 1934. |
Graph -2
Scheduled Commercial Banks' Business in India : 1991 to 2002
(As on the last Friday of Month)