Table 3 : Month-Wise Scheduled Commercial Banks' Business in India According to Bank Groups - 1997-98 (Part 1 of 3) - ਆਰਬੀਆਈ - Reserve Bank of India
Table 3 : Month-Wise Scheduled Commercial Banks' Business in India According to Bank Groups - 1997-98 (Part 1 of 3)
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(Amount in Rs. crore) |
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As on the last Friday of |
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Items |
March |
April |
May |
June |
July |
August |
||||
1997 |
1997 |
1997 |
1997 |
1997 |
1997 |
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(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
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State Bank of India and its Associates |
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No. of reporting banks |
8 |
8 |
8 |
8 |
8 |
8 |
||||
I. |
Liabilities to the banking system |
6457 |
7183 |
6489 |
6914 |
6862 |
6926 |
|||
(a) |
Demand and time deposits from banks |
6040 |
6181 |
6100 |
6396 |
6493 |
6387 |
|||
(b) |
Borrowings from banks |
2 |
211 |
125 |
287 |
141 |
251 |
|||
(c) |
Other demand and time liabilities |
415 |
791 |
264 |
231 |
228 |
288 |
|||
II. |
Liabilities to others in India |
149373 |
151506 |
153090 |
155828 |
156715 |
156512 |
|||
(a) |
Aggregate deposits |
134587 |
136193 |
138447 |
140374 |
141159 |
141691 |
|||
(i) Demand deposits |
26890 |
24929 |
24970 |
25914 |
25320 |
24205 |
||||
(ii) Time deposits |
107697 |
111264 |
113477 |
114460 |
115839 |
117486 |
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(b) |
Borrowings (other than from RBI, IDBI, |
-- |
-- |
-- |
-- |
-- |
-- |
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NABARD, EXIM Bank) |
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(c) |
Other demand and time liabilities |
14786 |
15313 |
14643 |
15454 |
15556 |
14821 |
|||
III. |
Assets with the banking system |
3276 |
8089 |
3332 |
6563 |
4952 |
4382 |
|||
of which |
||||||||||
Money at call and short notice |
1515 |
2061 |
2071 |
5117 |
3677 |
2997 |
||||
IV. |
Cash in hand |
498 |
461 |
512 |
523 |
474 |
541 |
|||
V. |
Investments in India |
57406 |
60160 |
61871 |
62980 |
65296 |
67778 |
|||
(a) |
Government securities |
47906 |
50721 |
52431 |
53586 |
55916 |
57381 |
|||
(b) |
Other approved securities |
9500 |
9439 |
9440 |
9394 |
9380 |
10397 |
|||
VI. |
Bank credit |
81605 |
80040 |
80985 |
79994 |
80223 |
77802 |
|||
(a) |
Loans, cash credit and overdrafts |
75009 |
73472 |
74348 |
73297 |
73230 |
71643 |
|||
(b) |
Inland bills purchased |
587 |
582 |
914 |
494 |
486 |
521 |
|||
(c) |
Inland bills discounted |
3308 |
3346 |
3182 |
3766 |
3411 |
3453 |
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(d) |
Foreign bills purchased |
614 |
578 |
556 |
533 |
534 |
532 |
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(e) |
Foreign bills discounted |
2087 |
2062 |
1985 |
1904 |
2562 |
1653 |
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(Amount in Rs. crore) |
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As on the last Friday of |
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Items |
September |
October |
November |
December |
January |
February |
March |
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1997 |
1997 |
1997 |
1997 |
1998 |
1998 |
1998 |
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(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
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State Bank of India and its Associates |
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No. of reporting banks |
8 |
8 |
8 |
8 |
8 |
8 |
8 |
||||
I. |
Liabilities to the banking system |
7383 |
8124 |
8077 |
7834 |
9729 |
8859 |
9578 |
|||
(a) |
Demand and time deposits from banks |
6978 |
7721 |
7745 |
7657 |
7015 |
7316 |
7801 |
|||
(b) |
Borrowings from banks |
110 |
150 |
-- |
101 |
165 |
35 |
495 |
|||
(c) |
Other demand and time liabilities |
295 |
253 |
332 |
76 |
2549 |
1508 |
1282 |
|||
II. |
Liabilities to others in India |
159466 |
161503 |
163604 |
165930 |
168786 |
172648 |
177729 |
|||
(a) |
Aggregate deposits |
145051 |
145690 |
148013 |
150328 |
153023 |
155210 |
159357 |
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(i) Demand deposits |
26289 |
25436 |
25650 |
26172 |
26433 |
26273 |
29615 |
||||
(ii) Time deposits |
118762 |
120254 |
122363 |
124156 |
126590 |
128937 |
129742 |
||||
(b) |
Borrowings (other than from |
-- |
-- |
-- |
-- |
-- |
-- |
-- |
|||
RBI, IDBI, NABARD, EXIM Bank) |
|||||||||||
(c) |
Other demand and time liabilities |
14415 |
15813 |
15591 |
15602 |
15763 |
17438 |
18372 |
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III. |
Assets with the banking system |
2961 |
6917 |
3924 |
4801 |
3891 |
3900 |
3639 |
|||
of which |
|||||||||||
Money at call and short notice |
1319 |
5044 |
2236 |
2792 |
1160 |
1244 |
1278 |
||||
IV. |
Cash in hand |
497 |
552 |
522 |
573 |
525 |
525 |
502 |
|||
V. |
Investments in India |
67059 |
66486 |
66543 |
66288 |
64856 |
63034 |
62969 |
|||
(a) |
Government securities |
57714 |
57147 |
57205 |
56931 |
55480 |
53682 |
53602 |
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(b) |
Other approved securities |
9345 |
9339 |
9338 |
9357 |
9376 |
9352 |
9367 |
|||
VI. |
Bank credit |
78247 |
80430 |
81045 |
82659 |
86695 |
89305 |
93088 |
|||
(a) |
Loans, cash credit and overdrafts |
71838 |
74541 |
74740 |
76192 |
80185 |
82067 |
85823 |
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(b) |
Inland bills purchased |
476 |
547 |
527 |
599 |
714 |
637 |
591 |
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(c) |
Inland bills discounted |
3748 |
3168 |
3523 |
3506 |
3356 |
4068 |
3933 |
|||
(d) |
Foreign bills purchased |
529 |
553 |
625 |
600 |
572 |
595 |
604 |
|||
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(e) |
Foreign bills discounted |
1656 |
1621 |
1630 |
1762 |
1868 |
1938 |
2137 |
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(Amount in Rs. crore) |
||||
As on the last Friday of |
||||||||||
Items |
March |
April |
May |
June |
July |
August |
||||
1997 |
1997 |
1997 |
1997 |
1997 |
1997 |
|||||
|
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|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
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Nationalised Banks |
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No. of reporting banks |
19 |
19 |
19 |
19 |
19 |
19 |
||||
I. |
Liabilities to the banking system |
6778 |
6829 |
8262 |
8442 |
8243 |
8711 |
|||
(a) |
Demand and time deposits from banks |
6258 |
6564 |
6593 |
6743 |
7257 |
7217 |
|||
(b) |
Borrowings from banks |
492 |
225 |
1507 |
1530 |
947 |
1462 |
|||
(c) |
Other demand and time liabilities |
28 |
40 |
162 |
169 |
39 |
32 |
|||
II. |
Liabilities to others in India |
286473 |
287110 |
289199 |
293098 |
293976 |
297912 |
|||
(a) |
Aggregate deposits |
273467 |
274567 |
276923 |
280268 |
280914 |
284131 |
|||
(i) Demand deposits |
46346 |
43417 |
43633 |
44893 |
42996 |
42453 |
||||
(ii) Time deposits |
227121 |
231150 |
233290 |
235375 |
237918 |
241678 |
||||
(b) |
Borrowings (other than from RBI, IDBI, |
70 |
-- |
201 |
300 |
311 |
38 |
|||
NABARD, EXIM Bank) |
||||||||||
(c) |
Other demand and time liabilities |
12936 |
12543 |
12075 |
12529 |
12751 |
13743 |
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III. |
Assets with the banking system |
5610 |
5510 |
7360 |
5501 |
6151 |
5512 |
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of which |
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Money at call and short notice |
2824 |
2623 |
4787 |
2799 |
3477 |
2581 |
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IV. |
Cash in hand |
2096 |
2021 |
2218 |
2282 |
2245 |
2255 |
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V. |
Investments in India |
105261 |
110625 |
112090 |
116623 |
117061 |
119887 |
|||
(a) |
Government securities |
86530 |
91896 |
93373 |
98080 |
98589 |
101475 |
|||
(b) |
Other approved securities |
18731 |
18729 |
18717 |
18543 |
18472 |
18412 |
|||
VI. |
Bank credit |
134450 |
133070 |
132789 |
132586 |
133587 |
134744 |
|||
(a) |
Loans, cash credit and overdrafts |
121789 |
120861 |
120877 |
121152 |
122058 |
123079 |
|||
(b) |
Inland bills purchased |
2689 |
2676 |
2433 |
2390 |
2472 |
2473 |
|||
(c) |
Inland bills discounted |
2188 |
2060 |
2027 |
1914 |
1895 |
1834 |
|||
(d) |
Foreign bills purchased |
5039 |
4838 |
4760 |
3713 |
4579 |
4536 |
|||
|
(e) |
Foreign bills discounted |
2745 |
2635 |
2692 |
3417 |
2583 |
2822 |
-- |
: |
Nill or negligible |
Source |
: |
Form-A Return under Section 42(2) of RBI Act, 1934. |