Press Releases - Regulating Commercial Banking - ஆர்பிஐ - Reserve Bank of India
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The Governor, Reserve Bank of India held meetings with the MD & CEOs of Public Sector Banks and select Private Sector Banks on July 3, 2024, in Mumbai. These interactions are part of the Reserve Bank's continuous engagement with the Senior Management of its Regulated Entities. The meetings were also attended by Deputy Governors, Shri M. Rajeshwar Rao and Shri Swaminathan J., along with Executive Directors-in-Charge of Regulation and Supervision functions. The previous such meeting was held on February 14, 2024.
The Governor, Reserve Bank of India held meetings with the MD & CEOs of Public Sector Banks and select Private Sector Banks on July 3, 2024, in Mumbai. These interactions are part of the Reserve Bank's continuous engagement with the Senior Management of its Regulated Entities. The meetings were also attended by Deputy Governors, Shri M. Rajeshwar Rao and Shri Swaminathan J., along with Executive Directors-in-Charge of Regulation and Supervision functions. The previous such meeting was held on February 14, 2024.
Data on lending and deposit rates of scheduled commercial banks (SCBs) (excluding regional rural banks and small finance banks) received during the month of June 2024 are set out in Tables 1 to 7. Highlights: Lending Rates: • The weighted average lending rate (WALR) on fresh rupee loans of SCBs stood at 9.39 per cent in May 2024 (9.55 per cent in April 2024). • The WALR on outstanding rupee loans of SCBs was unchanged at 9.83 per cent in May 2024. • 1-Year median Marginal Cost of fund-based Lending Rate (MCLR) of SCBs moved to 8.85 per cent in June 2024 from 8.79 per cent in May 2024.
Data on lending and deposit rates of scheduled commercial banks (SCBs) (excluding regional rural banks and small finance banks) received during the month of June 2024 are set out in Tables 1 to 7. Highlights: Lending Rates: • The weighted average lending rate (WALR) on fresh rupee loans of SCBs stood at 9.39 per cent in May 2024 (9.55 per cent in April 2024). • The WALR on outstanding rupee loans of SCBs was unchanged at 9.83 per cent in May 2024. • 1-Year median Marginal Cost of fund-based Lending Rate (MCLR) of SCBs moved to 8.85 per cent in June 2024 from 8.79 per cent in May 2024.
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 16-Jun-23 31-May-2024* 14-Jun-2024* 16-Jun-23 31-May-2024* 14-Jun-2024* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 244966.09 283850.22 273343.39 247408.55 287696.36 277132.61 b) Borrowings from banks 39769.92 163095.32 151774.70 39846.04 163135.01 151776.70 c) Other demand & time liabilities 61063.21 76511.12 75822.77 61719.33 76934.48 76088.94
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 16-Jun-23 31-May-2024* 14-Jun-2024* 16-Jun-23 31-May-2024* 14-Jun-2024* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 244966.09 283850.22 273343.39 247408.55 287696.36 277132.61 b) Borrowings from banks 39769.92 163095.32 151774.70 39846.04 163135.01 151776.70 c) Other demand & time liabilities 61063.21 76511.12 75822.77 61719.33 76934.48 76088.94
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 2-Jun-23 17-MAY-2024 * 31-MAY-2024 * 2-Jun-23 17-MAY-2024 * 31-MAY-2024 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 249775.87 289665.6 283876.16 252304.65 293548.32 287722.30 ** b) Borrowings from banks 34758.63 162652.29 162542.44 34820.26 162655.65 162582.13 c) Other demand & time liabilities 60062.35 74638.61 76467.45 60726.23 74865.41 76890.82 II LIABILITIES TO OTHERS (A) a) Deposits (other than from banks) 18703434.6 20814780.09 (20715332.31) 21087595.54 (20992416.71) 19143125.25 21273554.73 (21174106.95) 21545011.17 (21449832.34)
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 2-Jun-23 17-MAY-2024 * 31-MAY-2024 * 2-Jun-23 17-MAY-2024 * 31-MAY-2024 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 249775.87 289665.6 283876.16 252304.65 293548.32 287722.30 ** b) Borrowings from banks 34758.63 162652.29 162542.44 34820.26 162655.65 162582.13 c) Other demand & time liabilities 60062.35 74638.61 76467.45 60726.23 74865.41 76890.82 II LIABILITIES TO OTHERS (A) a) Deposits (other than from banks) 18703434.6 20814780.09 (20715332.31) 21087595.54 (20992416.71) 19143125.25 21273554.73 (21174106.95) 21545011.17 (21449832.34)
Data on lending and deposit rates of scheduled commercial banks (SCBs) (excluding regional rural banks and small finance banks) received during the month of May 2024 are set out in Tables 1 to 7. Highlights: Lending Rates: The weighted average lending rate (WALR) on fresh rupee loans of SCBs stood at 9.55 per cent in April 2024 (9.37 per cent in March 2024). The WALR on outstanding rupee loans of SCBs was at 9.83 per cent in April 2024 (9.85 per cent in March 2024).[1] 1-Year median Marginal Cost of fund-based Lending Rate (MCLR) of SCBs moved to 8.79 per cent in May 2024 from 8.85 per cen
Data on lending and deposit rates of scheduled commercial banks (SCBs) (excluding regional rural banks and small finance banks) received during the month of May 2024 are set out in Tables 1 to 7. Highlights: Lending Rates: The weighted average lending rate (WALR) on fresh rupee loans of SCBs stood at 9.55 per cent in April 2024 (9.37 per cent in March 2024). The WALR on outstanding rupee loans of SCBs was at 9.83 per cent in April 2024 (9.85 per cent in March 2024).[1] 1-Year median Marginal Cost of fund-based Lending Rate (MCLR) of SCBs moved to 8.79 per cent in May 2024 from 8.85 per cen
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 19-May-23 03-MAY-2024 * 17-MAY-2024 * 19-May-23 03-MAY-2024 * 17-MAY-2024 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 243149.05 291055.4 289684.94 245652.1 292732.12 293567.66 ** b) Borrowings from banks 56459.38 167685.78 162652.29 56588.09 170176.71 162655.65 c) Other demand & time liabilities 59167.93 76526.45 74441.56 59826.67 76795.5 74668.36 II LIABILITIES TO OTHERS (A) a) Deposits (other than from banks) 18376356.29 20938381 (20835743.37) 20814091.81 (20714644.03) 18815257.1 21400918.13 (21298280.50) 21272866.45 (21173418.67)
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 19-May-23 03-MAY-2024 * 17-MAY-2024 * 19-May-23 03-MAY-2024 * 17-MAY-2024 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 243149.05 291055.4 289684.94 245652.1 292732.12 293567.66 ** b) Borrowings from banks 56459.38 167685.78 162652.29 56588.09 170176.71 162655.65 c) Other demand & time liabilities 59167.93 76526.45 74441.56 59826.67 76795.5 74668.36 II LIABILITIES TO OTHERS (A) a) Deposits (other than from banks) 18376356.29 20938381 (20835743.37) 20814091.81 (20714644.03) 18815257.1 21400918.13 (21298280.50) 21272866.45 (21173418.67)
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 5-May-23 19-APR-2024 * 03-MAY-2024 * 5-May-23 19-APR-2024 * 03-MAY-2024 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 243113.97 292789.19 291062.05 245662.62 297191.96 292738.77 ** b) Borrowings from banks 37219.65 172085.68 168949.53 37411.07 172085.68 171440.46 c) Other demand & time liabilities 59771.4 74776.64 76698.85 60435.9 75015.18 76967.9
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 5-May-23 19-APR-2024 * 03-MAY-2024 * 5-May-23 19-APR-2024 * 03-MAY-2024 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 243113.97 292789.19 291062.05 245662.62 297191.96 292738.77 ** b) Borrowings from banks 37219.65 172085.68 168949.53 37411.07 172085.68 171440.46 c) Other demand & time liabilities 59771.4 74776.64 76698.85 60435.9 75015.18 76967.9
As announced in the Statement on Developmental and Regulatory Policies dated October 06, 2023, with a view to strengthen the extant regulatory framework governing project finance and to harmonise the instructions across all regulated entities, the Reserve Bank of India today released the draft Direction on the prudential framework applicable to financing of project loans. Given the complexities involved in project finance, the revised guidelines seek to provide an enabling framework for the regulated entities for financing of project loans, while addressing the underlying risks. The Comments on the draft Direction are invited from public/stakeholders by June 15, 2024.
As announced in the Statement on Developmental and Regulatory Policies dated October 06, 2023, with a view to strengthen the extant regulatory framework governing project finance and to harmonise the instructions across all regulated entities, the Reserve Bank of India today released the draft Direction on the prudential framework applicable to financing of project loans. Given the complexities involved in project finance, the revised guidelines seek to provide an enabling framework for the regulated entities for financing of project loans, while addressing the underlying risks. The Comments on the draft Direction are invited from public/stakeholders by June 15, 2024.
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 21-Apr-23 05-APR-2024 * 19-APR-2024 * 21-Apr-23 05-APR-2024 * 19-APR-2024 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 241922.43 311538.6 293086.88 244380.07 315742.8 297489.65 ** b) Borrowings from banks 37729.21 176273.74 173959.07 38061.24 176613.81 173959.07 c) Other demand & time liabilities 58481.58 73116.45 74785.14 59135.51 73356.22 75023.68
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 21-Apr-23 05-APR-2024 * 19-APR-2024 * 21-Apr-23 05-APR-2024 * 19-APR-2024 * I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 241922.43 311538.6 293086.88 244380.07 315742.8 297489.65 ** b) Borrowings from banks 37729.21 176273.74 173959.07 38061.24 176613.81 173959.07 c) Other demand & time liabilities 58481.58 73116.45 74785.14 59135.51 73356.22 75023.68
Data on lending and deposit rates of scheduled commercial banks (SCBs) (excluding regional rural banks and small finance banks) received during the month of April 2024 are set out in Tables 1 to 7.
Data on lending and deposit rates of scheduled commercial banks (SCBs) (excluding regional rural banks and small finance banks) received during the month of April 2024 are set out in Tables 1 to 7.
கடைசியாக புதுப்பிக்கப்பட்ட பக்கம்: நவம்பர் 21, 2024