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சொத்து வெளியீட்டாளர்

83028242

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

           

(Rs. crore)


Last Reporting Friday(in case of March) /

1990-91

1998-99

1999-2000

2000


Last Friday

     

Jan.

Jul.

Aug.


1

2

3

4

5

6

7


Number of Reporting banks

271

301

297

298

297

297

             

Liabilities to the banking system(1)

6,486

45,204

53,838

47,847

52,319

54,426

             

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

5,443

32,410

36,711

34,470

39,201

39,094

             

Borrowings from banks(3)

967

12,072

16,266

12,376

11,782

13,601

             

Other demand and time liabilities(4)

76

722

861

1,001

1,336

1,732

             

Liabilities to others(1)

2,05,600

7,75,238

8,94,520

8,68,192

9,32,805

9,43,928

             

Aggregate deposits(5)

1,92,541

7,14,025 *

8,13,345

7,92,747

8,55,778

8,63,256

             

Demand

33,192

1,17,423

1,27,366

1,19,391

1,24,047

1,22,876

             

Time(5)

1,59,349

5,96,602 *

6,85,978

6,73,355

7,31,731

7,40,380

             

Borrowings(6)

470

1,140

2,734

2,435

2,334

2,694

             

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

12,589

60,073 *

78,442

73,011

74,692

77,978

             

Borrowings from Reserve Bank(7)

3,468

2,894

6,491

4,448

5,847

6,251

             

Against usance bills/promissory notes

-

-

-

-

-

-

             

Others

3,468

2,894

6,491

4,448

5,847

6,251

             

Cash in hand and balances with Reserve Bank

25,665

67,910

62,750

64,255

65,170

68,026

             

Cash in hand

1,804

4,362

5,330

5,029

5,427

5,458

             

Balances with Reserve Bank(9)

23,861

63,548

57,419

59,226

59,743

62,568


         

(Rs. crore)


Last Reporting Friday(in case of March) /

2000

2001


Last Friday

Sep.

Oct.

Nov. (P)

Dec. (P)

Jan. (P)


1

8

9

10

11

12


Number of Reporting banks

297

297

297

297

297

           

Liabilities to the banking system(1)

56,649

56,691

62,563

67,884

69,100

           

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

40,040

38,345

40,538

45,975

46,515

           

Borrowings from banks(3)

15,142

17,183

20,777

20,720

21,323

           

Other demand and time liabilities(4)

1,467

1,163

1,247

1,189

1,262

           

Liabilities to others(1)

9,84,108

9,77,106

10,04,841

10,20,388

10,24,280

           

Aggregate deposits(5)

8,95,031

8,90,298

9,17,279

9,31,657

9,35,510

           

Demand

1,35,827

1,31,271

1,28,165

1,36,565

1,31,980

           

Time(5)

7,59,204

7,59,026

7,89,114

7,95,092

8,03,530

           

Borrowings(6)

7,183

6,760

8,559

2,277

2,551

           

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

81,894

80,048

79,004

86,454

86,219

           

Borrowings from Reserve Bank(7)

6,719

6,269

5,962

6,692

6,099

           

Against usance bills/promissory notes

-

-

-

-

-

           

Others

6,719

6,269

5,962

6,692

6,099

           

Cash in hand and balances with Reserve Bank

78,289

72,757

74,469

73,301

76,680

           

Cash in hand

5,374

5,900

5,806

5,979

5,545

           

Balances with Reserve Bank(9)

72,915

66,857

68,663

67,322

71,135


             

Last Reporting Friday(in case of March) /

1990-91

1998-99

1999-2000

2000

   

Last Friday      

Jan.

Jul.

Aug.


1

2

3

4

5

6

7


Assets with the Banking System

5,582

34,787

43,448

37,637

37,493

38,664

             

Balances with other banks

2,846

13,088

16,307

14,605

15,349

14,921

             

In current account

1,793

4,123

4,301

4,174

4,000

3,749

             

In other accounts

1,053

8,966

12,006

10,432

11,349

11,171

             

Money at call and short notice

1,445

18,172

21,680

18,302

17,536

18,439

             

Advances to banks (10)

902

2,104

3,542

2,948

2,690

3,318

             

Other assets

388

1,422

1,919

1,781

1,918

1,986

             

Investment

75,065

2,54,595

3,08,944

3,02,297

3,31,528

3,32,482

             

Government securities (11)

49,998

2,23,217

2,78,456

2,71,582

3,01,158

3,01,900

             

Other approved securities

25,067

31,377

30,488

30,716

30,370

30,582

             

Bank credit (14)

1,16,301

3,68,837

4,35,958

4,15,288

4,57,557

4,62,266

 

(4,506)

(16,816)

(25,691)

(26,056)

(32,808)

(32,636)

             

Loans,cash-credits and overdrafts

1,05,982

3,37,475

4,00,907

3,82,585

4,20,419

4,24,512

             

Inland bills-purchased

3,375

4,893

4,788

4,747

4,446

4,522

             

Inland bills-discounted

2,336

10,742

12,758

11,958

15,160

15,767

             

Foreign bills-purchased

2,758

8,251

8,886

7,941

8,743

8,647

             

Foreign bills-discounted

1,851

7,476

8,619

8,057

8,789

8,818

             

Cash-Deposit Ratio

13.3

9.5

7.7

8.1

7.6

7.9

             

Investment- Deposit Ratio

39.0

35.7

38.0

38.1

38.7

38.5

             

Credit-Deposit Ratio

60.4

51.7

53.6

52.4

53.5

53.5


         

(Rs. crore)


Last Reporting Friday(in case of March) /

2000

2001


Last Friday

Sep.

Oct.

Nov. (P)

Dec. (P)

Jan. (P)


1

8

9

10

11

12


Assets with the Banking System

40,662

43,351

49,364

52,688

53,646

           

Balances with other banks

15,967

15,371

15,382

16,740

16,855

           

In current account

4,157

4,019

3,864

4,257

3,854

           

In other accounts

11,811

11,353

11,518

12,482

13,001

           

Money at call and short notice

19,865

22,507

29,510

31,540

31,736

           

Advances to banks (10)

3,209

3,625

2,489

2,292

2,829

           

Other assets

1,620

1,848

1,983

2,117

2,226

           

Investment

3,36,445

3,39,462

3,54,889

3,56,099

3,55,244

           

Government securities (11)

3,05,742

3,09,234

3,23,864

3,25,182

3,24,473

           

Other approved securities

30,703

30,228

31,024

30,917

30,770

           

Bank credit (14)

4,76,504

4,80,375

4,80,619

4,95,247

4,99,586

 

(32,131)

(34,587)

(36,354)

(37,450)

(39,078)

           

Loans,cash-credits and overdrafts

4,37,389

4,40,967

4,40,283

4,54,656

4,58,946

           

Inland bills-purchased

5,130

4,929

4,997

5,300

5,188

           

Inland bills-discounted

16,485

17,332

17,794

17,821

18,064

           

Foreign bills-purchased

9,038

8,722

9,021

9,177

9,332

           

Foreign bills-discounted

8,462

8,425

8,525

8,293

8,057

           

Cash-Deposit Ratio

8.7

8.2

8.1

7.9

8.2

           

Investment- Deposit Ratio

37.6

38.1

38.7

38.2

38.0

           

Credit-Deposit Ratio

53.2

54.0

52.4

53.2

53.4


* : 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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