Table 2 : Scheduled Commercial Banks' Business in India: 2001-2002 - ஆர்பிஐ - Reserve Bank of India
Table 2 : Scheduled Commercial Banks' Business in India: 2001-2002
(Amount in Rs. crpre) | |||||||||||||
As on the last Friday of | |||||||||||||
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 | |
(1) | (2) | (3) | (4) | (5) | (6) | (7) | (8) | (9) | (10) | (11) | (12) | (13) | |
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) | |||||||||||||
(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: | |||||||||||||
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 |
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)