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13 ਮਾਰਚ 2015

Reserve Bank of India - Liabilities and Assets
(` Billion) Item 2014 2015 Variation Mar. 7 Feb. 27 Mar. 6 Week Year 1 2 3 4 5 1 Notes Issued 12,824.98 14,064.24 14,232.96 168.71 1,407.98 1.1 Notes in Circulation 12,824.87 14,064.12 14,232.84 168.72 1,407.98 1.2 Notes held in Banking Department 0.11 0.12 0.11 –0.01 – 2 Deposits 2.1 Central Government 1.00 1.01 3.20 2.20 2.20 2.2 Market Stabilisation Scheme – – – – – 2.3 State Governments 0.42 0.42 3.46 3.04 3.04 2.4 Scheduled Commercial Banks 3,216.77 3,596.13 3,66
Foreign Exchange Reserves
Item As on March 6, 2015 Variation over Week End-March 2014 Year ` Bn. US$ Mn. ` Bn. US$ Mn. ` Bn. US$ Mn. ` Bn. US$ Mn. 1 2 3 4 5 6 7 8 1 Total Reserves 21,006.3 337,793.1 103.0 –286.3 2,722.5 33,569.9 2,965.6 42,344.4 1.1 Foreign Currency Assets 19,430.1 312,322.5 125.2 122.4 2,821.0 35,963.2 3,087.8 44,350.3 1.2 Gold 1,225.7 19,837.0 –20.8 –346.2 –70.5 –1,729.8 –76.4 –1,141.0 1.3 SDRs 250.2 4,021.2 –1.0 –44.6 –18.1 –442.4 –23.1 –460.1 1.4 Reserve Position in the IM
Cash Balances of Scheduled Commercial Banks (excluding Regional Rural Banks) with RBI
(Amount in ` Billion) Average daily cash reserve requirement (CRR) for the fortnight ending Mar. 6, 2015 = ` 3,458.1 Billion 2015 Feb. 21 Feb. 22 Feb. 23 Feb. 24 Feb. 25 Feb. 26 Feb. 27 Feb. 28 Mar. 1 Mar. 2 Mar. 3 Mar. 4 Mar. 5 Mar. 6 1 2 3 4 5 6 7 8 9 10 11 12 13 14 Actual Cash Balance with RBI 3,447.1 3,447.1 3,476.6 3,497.4 3,562.6 3,496.6 3,596.3 3,539.0 3,539.0 3,507.2 3,428.7 3,424.8 3,676.9 3,666.1 Cash Balance as percent of average daily CRR 99.7 99.7 100.5 1
Scheduled Commercial Banks - Business in India
(` Billion) Item Outstanding as on Feb. 20, 2015 Variation over Fortnight Financial year so far Year-on-Year 2013-14 2014-15 2014 2015 1 2 3 4 5 6 1 Liabilities to the Banking System 1.1 Demand and Time Deposits from Banks 1,061.2 –8.6 –127.2 284.0 –70.1 341.8 1.2 Borrowings from Banks 365.6 –36.7 –128.6 15.9 –154.8 100.6 1.3 Other Demand and Time Liabilities 59.2 8.1 –18.2 –75.9 –19.2 –13.5 2 Liabilities to Others 2.1 Aggregate Deposits 84,748.2 119.0 8,261.6 7,692.6
Liquidity Operations by RBI
(` Billion) Date Liquidity Adjustment Facility MSF Standing Liquidity Facilities OMO (Outright) Net Injection (+)/ Absorption (-) (1+3+5+6+8-2-4-7) Repo Reverse Repo Term Repo/ Overnight Variable Rate Repo Term Reverse Repo/ Overnight Variable Rate Reverse Repo Sale Purchase 1 2 3 4 5 6 7 8 9 Mar. 2, 2015 76.88 133.45 – 200.01 9.00 –0.43 – – –248.01 Mar. 3, 2015 35.07 63.68 150.04 435.12 7.00 – 1.45 – –308.14 Mar. 4, 2015 22.47 34.85 – 201.08 – –4.67 1.00 – –219.13 Ma

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ਪੇਜ ਅੰਤਿਮ ਅੱਪਡੇਟ ਦੀ ਤਾਰੀਖ: ਜੁਲਾਈ 19, 2024