2.2 : Business Of Scheduled Banks In India According To Bank Groups : 2003-04
| 
       
  | 
|||||||
| 
 (Amount in Rs. crore)  | 
|||||||
|  
 
  | 
     
 As on the last reporting Friday of  | 
||||||
|  
 Items  | 
     
 March  | 
     
 April  | 
     
 May  | 
     
 June  | 
     
 July  | 
     
 August  | 
     
 September  | 
|  
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
|
|  
 
  | 
     
 1  | 
     
 2  | 
     
 3  | 
     
 4  | 
     
 5  | 
     
 6  | 
     
 7  | 
|  
 State Bank of India and its Associates  | 
    |||||||
|  
 No. of reporting banks  | 
     
 8  | 
     
 8  | 
     
 8  | 
     
 8  | 
     
 8  | 
     
 8  | 
     
 8  | 
|  
 I. Liabilities to the banking system  | 
     
 11374  | 
     
 8923  | 
     
 10973  | 
     
 9864  | 
     
 9282  | 
     
 9691  | 
     
 10841  | 
|  
 (a) Demand and time deposits from banks  | 
     
 10738  | 
     
 8098  | 
     
 8244  | 
     
 9103  | 
     
 8319  | 
     
 8273  | 
     
 9300  | 
|  
 (b) Borrowings from banks  | 
     
 404  | 
     
 583  | 
     
 499  | 
     
 502  | 
     
 495  | 
     
 952  | 
     
 1042  | 
|  
 (c) Other demand and time liabilities  | 
     
 232  | 
     
 242  | 
     
 2230  | 
     
 259  | 
     
 468  | 
     
 466  | 
     
 499  | 
|  
 
  | 
    |||||||
|  
 II. Liabilities to others in India  | 
     
 417915  | 
     
 426641  | 
     
 431043  | 
     
 434677  | 
     
 437484  | 
     
 442694  | 
     
 444211  | 
|  
 (a) Aggregate deposits  | 
     
 350424  | 
     
 359544  | 
     
 361190  | 
     
 366531  | 
     
 369549  | 
     
 372297  | 
     
 375276  | 
|  
 (i) Demand deposits  | 
     
 40759  | 
     
 44154  | 
     
 44427  | 
     
 43786  | 
     
 41492  | 
     
 39490  | 
     
 38921  | 
|  
 (ii) Time deposits  | 
     
 309665  | 
     
 315390  | 
     
 316763  | 
     
 322745  | 
     
 328057  | 
     
 332807  | 
     
 336355  | 
|  
 `  | 
    |||||||
|  
 (b) Borrowings (other than from RBI,  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 95  | 
     
 0  | 
|  
 IDBI, NABARD, EXIM Bank)  | 
    |||||||
|  
 (c) Other demand and time liabilities  | 
     
 67491  | 
     
 67097  | 
     
 69853  | 
     
 68146  | 
     
 67935  | 
     
 70302  | 
     
 68935  | 
|  
 III. Assets with the banking system  | 
     
 29641  | 
     
 24579  | 
     
 25301  | 
     
 26275  | 
     
 26694  | 
     
 28243  | 
     
 30080  | 
|  
 of which:  | 
    |||||||
|  
 Money at call and short notice  | 
     
 23088  | 
     
 19140  | 
     
 19269  | 
     
 20403  | 
     
 20325  | 
     
 21606  | 
     
 23375  | 
|  
 
  | 
    |||||||
|  
 IV. Cash in hand  | 
     
 1324  | 
     
 1322  | 
     
 1426  | 
     
 1543  | 
     
 1492  | 
     
 1407  | 
     
 1379  | 
|  
 V. Investments in India  | 
     
 185981  | 
     
 185512  | 
     
 191950  | 
     
 194443  | 
     
 203859  | 
     
 206401  | 
     
 212507  | 
|  
 (a) Government securities  | 
     
 179772  | 
     
 179322  | 
     
 185768  | 
     
 188252  | 
     
 197668  | 
     
 200289  | 
     
 206509  | 
|  
 (b) Other approved securities  | 
     
 6209  | 
     
 6190  | 
     
 6182  | 
     
 6191  | 
     
 6191  | 
     
 6112  | 
     
 5998  | 
|  
 
  | 
    |||||||
|  
 VI. Bank credit  | 
     
 178237  | 
     
 178848  | 
     
 176800  | 
     
 178319  | 
     
 176383  | 
     
 176179  | 
     
 177742  | 
|  
 (a) Loans, cash credit and overdrafts  | 
     
 165703  | 
     
 166067  | 
     
 164643  | 
     
 166260  | 
     
 164544  | 
     
 164460  | 
     
 166069  | 
|  
 (b) Inland bills purchased  | 
     
 584  | 
     
 515  | 
     
 476  | 
     
 428  | 
     
 375  | 
     
 374  | 
     
 1443  | 
|  
 (c) Inland bills discounted  | 
     
 8724  | 
     
 9500  | 
     
 8667  | 
     
 8551  | 
     
 8339  | 
     
 8101  | 
     
 6873  | 
|  
 (d) Foreign bills purchased  | 
     
 687  | 
     
 688  | 
     
 779  | 
     
 804  | 
     
 632  | 
     
 653  | 
     
 528  | 
|  
 (e) Foreign bills discounted  | 
     
 2539  | 
     
 2078  | 
     
 2235  | 
     
 2276  | 
     
 2493  | 
     
 2591  | 
     
 2829  | 
| 
 Source : Form-'A'/'B' Return under Section 42(2) of RBI Act, 1934.  | 
|||||||
| 
 TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUPS : 2003-04  | 
||||||
| 
 (Amount in Rs. crore)  | 
||||||
|  
 
  | 
     
 As on the last reporting Friday of  | 
|||||
|  
 Items  | 
     
 October  | 
     
 November  | 
     
 December  | 
     
 January  | 
     
 February  | 
     
 March  | 
|  
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2004  | 
     
 2004  | 
     
 2004  | 
|
|  
 
  | 
     
 (8)  | 
     
 (9)  | 
     
 (10)  | 
     
 (11)  | 
     
 (12)  | 
     
 (13)  | 
|  
 State Bank of India and its Associates  | 
    ||||||
|  
 No. of reporting banks  | 
     
 8  | 
     
 8  | 
     
 8  | 
     
 8  | 
     
 8  | 
     
 8  | 
|  
 I. Liabilities to the banking system  | 
     
 10156  | 
     
 10232  | 
     
 10464  | 
     
 10566  | 
     
 11229  | 
     
 11652  | 
|  
 (a) Demand and time deposits from banks  | 
     
 9497  | 
     
 9372  | 
     
 9795  | 
     
 9770  | 
     
 10286  | 
     
 10466  | 
|  
 (b) Borrowings from banks  | 
     
 421  | 
     
 510  | 
     
 410  | 
     
 545  | 
     
 513  | 
     
 675  | 
|  
 (c) Other demand and time liabilities  | 
     
 238  | 
     
 350  | 
     
 259  | 
     
 251  | 
     
 430  | 
     
 511  | 
|  
 
  | 
    ||||||
|  
 II. Liabilities to others in India  | 
     
 438922  | 
     
 438647  | 
     
 440792  | 
     
 444871  | 
     
 454507  | 
     
 460442  | 
|  
 (a) Aggregate deposits  | 
     
 368535  | 
     
 371881  | 
     
 375612  | 
     
 378417  | 
     
 387053  | 
     
 391289  | 
|  
 (i) Demand deposits  | 
     
 42796  | 
     
 42381  | 
     
 42841  | 
     
 39601  | 
     
 43786  | 
     
 45718  | 
|  
 (ii) Time deposits  | 
     
 325739  | 
     
 329500  | 
     
 332771  | 
     
 338816  | 
     
 343267  | 
     
 345571  | 
|  
 `  | 
    ||||||
|  
 (b) Borrowings (other than from RBI,  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
|  
 IDBI, NABARD, EXIM Bank)  | 
    ||||||
|  
 (c) Other demand and time liabilities  | 
     
 70387  | 
     
 66766  | 
     
 65180  | 
     
 66454  | 
     
 67454  | 
     
 69153  | 
|  
 III. Assets with the banking system  | 
     
 21832  | 
     
 19301  | 
     
 20559  | 
     
 18718  | 
     
 18897  | 
     
 19747  | 
|  
 of which:  | 
    ||||||
|  
 Money at call and short notice  | 
     
 15105  | 
     
 12469  | 
     
 13505  | 
     
 12107  | 
     
 11881  | 
     
 12686  | 
|  
 
  | 
    ||||||
|  
 IV. Cash in hand  | 
     
 1532  | 
     
 1434  | 
     
 1424  | 
     
 1321  | 
     
 1318  | 
     
 1394  | 
|  
 V. Investments in India  | 
     
 204931  | 
     
 210424  | 
     
 209346  | 
     
 210445  | 
     
 219686  | 
     
 219512  | 
|  
 (a) Government securities  | 
     
 198966  | 
     
 204466  | 
     
 203414  | 
     
 204522  | 
     
 213835  | 
     
 213906  | 
|  
 (b) Other approved securities  | 
     
 5965  | 
     
 5958  | 
     
 5932  | 
     
 5923  | 
     
 5851  | 
     
 5606  | 
|  
 
  | 
    ||||||
|  
 VI. Bank credit  | 
     
 187400  | 
     
 189985  | 
     
 191701  | 
     
 194307  | 
     
 196818  | 
     
 202278  | 
|  
 (a) Loans, cash credit and overdrafts  | 
     
 174647  | 
     
 176836  | 
     
 178355  | 
     
 180766  | 
     
 182800  | 
     
 188008  | 
|  
 (b) Inland bills purchased  | 
     
 1715  | 
     
 1558  | 
     
 1584  | 
     
 1631  | 
     
 1773  | 
     
 1838  | 
|  
 (c) Inland bills discounted  | 
     
 7574  | 
     
 7876  | 
     
 8093  | 
     
 8338  | 
     
 7994  | 
     
 8650  | 
|  
 (d) Foreign bills purchased  | 
     
 623  | 
     
 652  | 
     
 643  | 
     
 706  | 
     
 667  | 
     
 861  | 
|  
 (e) Foreign bills discounted  | 
     
 2841  | 
     
 3063  | 
     
 3026  | 
     
 2866  | 
     
 3584  | 
     
 2921  | 
| 
 Source : Form-'A'/'B' Return under Section 42(2) of RBI Act, 1934.  | 
||||||
| 
 TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUPS :2003-04  | 
|||||||
| 
 (Amount in Rs. crore)  | 
|||||||
|  
 
  | 
     
 As on the last reporting Friday of  | 
||||||
|  
 Items  | 
     
 March  | 
     
 April  | 
     
 May  | 
     
 June  | 
     
 July  | 
     
 August  | 
     
 September  | 
|  
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
|
|  
 
  | 
     
 (1)  | 
     
 (2)  | 
     
 (3)  | 
     
 (4)  | 
     
 (5)  | 
     
 (6)  | 
     
 (7)  | 
|  
 Nationalised Banks  | 
    |||||||
|  
 No. of reporting banks  | 
     
 19  | 
     
 19  | 
     
 19  | 
     
 19  | 
     
 19  | 
     
 19  | 
     
 19  | 
|  
 I. Liabilities to the banking system  | 
     
 14689  | 
     
 14850  | 
     
 15050  | 
     
 14498  | 
     
 14248  | 
     
 14473  | 
     
 14793  | 
|  
 (a) Demand and time deposits from banks  | 
     
 10690  | 
     
 10670  | 
     
 10486  | 
     
 10400  | 
     
 10208  | 
     
 10141  | 
     
 10156  | 
|  
 (b) Borrowings from banks  | 
     
 2993  | 
     
 2988  | 
     
 3444  | 
     
 3078  | 
     
 3062  | 
     
 3409  | 
     
 3562  | 
|  
 (c) Other demand and time liabilities  | 
     
 1006  | 
     
 1192  | 
     
 1120  | 
     
 1020  | 
     
 978  | 
     
 923  | 
     
 1075  | 
|  
 
  | 
    |||||||
|  
 II. Liabilities to others in India  | 
     
 658981  | 
     
 677370  | 
     
 682904  | 
     
 684655  | 
     
 686499  | 
     
 690357  | 
     
 701153  | 
|  
 (a) Aggregate deposits  | 
     
 619925  | 
     
 638868  | 
     
 643870  | 
     
 646648  | 
     
 651984  | 
     
 655302  | 
     
 662548  | 
|  
 (i) Demand deposits  | 
     
 77271  | 
     
 79964  | 
     
 78268  | 
     
 79269  | 
     
 77494  | 
     
 77039  | 
     
 79358  | 
|  
 (ii) Time deposits  | 
     
 542654  | 
     
 558904  | 
     
 565602  | 
     
 567379  | 
     
 574490  | 
     
 578263  | 
     
 583190  | 
|  
 (b) Borrowings (other than from RBI,  | 
     
 2012  | 
     
 2050  | 
     
 2199  | 
     
 2262  | 
     
 2329  | 
     
 2732  | 
     
 3330  | 
|  
 IDBI, NABARD, EXIM Bank)  | 
    |||||||
|  
 (c) Other demand and time liabilities  | 
     
 37044  | 
     
 36452  | 
     
 36835  | 
     
 35745  | 
     
 32186  | 
     
 32323  | 
     
 35275  | 
|  
 III. Assets with the banking system  | 
     
 9983  | 
     
 7843  | 
     
 10804  | 
     
 7005  | 
     
 8862  | 
     
 8150  | 
     
 12233  | 
|  
 of which:  | 
    |||||||
|  
 Money at call and short notice  | 
     
 4990  | 
     
 1897  | 
     
 4901  | 
     
 1854  | 
     
 4080  | 
     
 3650  | 
     
 4652  | 
|  
 
  | 
    |||||||
|  
 IV. Cash in hand  | 
     
 3979  | 
     
 4004  | 
     
 4769  | 
     
 5349  | 
     
 4851  | 
     
 4437  | 
     
 4146  | 
|  
 V. Investments in India  | 
     
 247962  | 
     
 256765  | 
     
 260862  | 
     
 264507  | 
     
 275307  | 
     
 282342  | 
     
 283410  | 
|  
 (a) Government securities  | 
     
 235495  | 
     
 244183  | 
     
 248317  | 
     
 251947  | 
     
 262749  | 
     
 269853  | 
     
 271092  | 
|  
 (b) Other approved securities  | 
     
 12467  | 
     
 12582  | 
     
 12545  | 
     
 12560  | 
     
 12558  | 
     
 12489  | 
     
 12318  | 
|  
 
  | 
    |||||||
|  
 VI. Bank credit  | 
     
 339192  | 
     
 336856  | 
     
 339423  | 
     
 340386  | 
     
 334612  | 
     
 336116  | 
     
 339023  | 
|  
 (a) Loans, cash credit and overdrafts  | 
     
 319822  | 
     
 317455  | 
     
 320818  | 
     
 321978  | 
     
 316327  | 
     
 318284  | 
     
 321024  | 
|  
 (b) Inland bills purchased  | 
     
 3303  | 
     
 3686  | 
     
 3305  | 
     
 3088  | 
     
 3405  | 
     
 3208  | 
     
 3223  | 
|  
 (c) Inland bills discounted  | 
     
 3629  | 
     
 3536  | 
     
 3352  | 
     
 3238  | 
     
 3203  | 
     
 3137  | 
     
 3088  | 
|  
 (d) Foreign bills purchased  | 
     
 6542  | 
     
 6391  | 
     
 6256  | 
     
 6095  | 
     
 5916  | 
     
 5834  | 
     
 6023  | 
|  
 (e) Foreign bills discounted  | 
     
 5896  | 
     
 5788  | 
     
 5692  | 
     
 5987  | 
     
 5761  | 
     
 5653  | 
     
 5665  | 
|  
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
| 
 Source : Form-'A'/'B' Return under Section 42(2) of RBI Act, 1934.  | 
|||||||
| 
 TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUPS : 2003-04  | 
||||||
|  
 (Amount in Rs. crore)  | 
||||||
|  
 
  | 
     
 As on the last reporting Friday of  | 
|||||
|  
 Items  | 
     
 October  | 
     
 November  | 
     
 December  | 
     
 January  | 
     
 February  | 
     
 March  | 
|  
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2004  | 
     
 2004  | 
     
 2004  | 
|
|  
 
  | 
     
 (8)  | 
     
 (9)  | 
     
 (10)  | 
     
 (11)  | 
     
 (12)  | 
     
 (13)  | 
|  
 Nationalised Banks  | 
    ||||||
|  
 No. of reporting banks  | 
     
 19  | 
     
 19  | 
     
 19  | 
     
 19  | 
     
 19  | 
     
 19  | 
|  
 I. Liabilities to the banking system  | 
     
 13293  | 
     
 13506  | 
     
 13644  | 
     
 13491  | 
     
 13441  | 
     
 14115  | 
|  
 (a) Demand and time deposits from banks  | 
     
 9536  | 
     
 9641  | 
     
 9746  | 
     
 9613  | 
     
 9534  | 
     
 9480  | 
|  
 (b) Borrowings from banks  | 
     
 2716  | 
     
 2816  | 
     
 2876  | 
     
 2831  | 
     
 2897  | 
     
 3560  | 
|  
 (c) Other demand and time liabilities  | 
     
 1041  | 
     
 1049  | 
     
 1022  | 
     
 1047  | 
     
 1010  | 
     
 1075  | 
|  
 
  | 
    ||||||
|  
 II. Liabilities to others in India  | 
     
 719670  | 
     
 722624  | 
     
 731650  | 
     
 742307  | 
     
 752952  | 
     
 771833  | 
|  
 (a) Aggregate deposits  | 
     
 679490  | 
     
 680510  | 
     
 688375  | 
     
 698758  | 
     
 708941  | 
     
 722650  | 
|  
 (i) Demand deposits  | 
     
 86443  | 
     
 81119  | 
     
 83331  | 
     
 81823  | 
     
 83343  | 
     
 89964  | 
|  
 (ii) Time deposits  | 
     
 593047  | 
     
 599391  | 
     
 605044  | 
     
 616935  | 
     
 625598  | 
     
 632686  | 
|  
 (b) Borrowings (other than from RBI,  | 
     
 4075  | 
     
 4415  | 
     
 4364  | 
     
 4783  | 
     
 4414  | 
     
 5248  | 
|  
 IDBI, NABARD, EXIM Bank)  | 
    ||||||
|  
 (c) Other demand and time liabilities  | 
     
 36105  | 
     
 37699  | 
     
 38911  | 
     
 38766  | 
     
 39597  | 
     
 43935  | 
|  
 III. Assets with the banking system  | 
     
 9135  | 
     
 7533  | 
     
 9444  | 
     
 9284  | 
     
 7270  | 
     
 9784  | 
|  
 of which:  | 
    ||||||
|  
 Money at call and short notice  | 
     
 2985  | 
     
 1830  | 
     
 3114  | 
     
 2909  | 
     
 229  | 
     
 2115  | 
|  
 
  | 
    ||||||
|  
 IV. Cash in hand  | 
     
 4691  | 
     
 4419  | 
     
 4387  | 
     
 3695  | 
     
 3827  | 
     
 3944  | 
|  
 V. Investments in India  | 
     
 293667  | 
     
 296766  | 
     
 297693  | 
     
 300997  | 
     
 307267  | 
     
 303507  | 
|  
 (a) Government securities  | 
     
 281445  | 
     
 284558  | 
     
 285533  | 
     
 288889  | 
     
 295205  | 
     
 291437  | 
|  
 (b) Other approved securities  | 
     
 12222  | 
     
 12208  | 
     
 12160  | 
     
 12108  | 
     
 12062  | 
     
 12070  | 
|  
 
  | 
    ||||||
|  
 VI. Bank credit  | 
     
 348966  | 
     
 351447  | 
     
 360391  | 
     
 367880  | 
     
 374274  | 
     
 388098  | 
|  
 (a) Loans, cash credit and overdrafts  | 
     
 330105  | 
     
 332306  | 
     
 341033  | 
     
 348339  | 
     
 354092  | 
     
 367391  | 
|  
 (b) Inland bills purchased  | 
     
 3879  | 
     
 3578  | 
     
 3439  | 
     
 3391  | 
     
 3705  | 
     
 3749  | 
|  
 (c) Inland bills discounted  | 
     
 3253  | 
     
 3283  | 
     
 3387  | 
     
 3397  | 
     
 3426  | 
     
 3675  | 
|  
 (d) Foreign bills purchased  | 
     
 5788  | 
     
 6128  | 
     
 6156  | 
     
 6345  | 
     
 6556  | 
     
 6712  | 
|  
 (e) Foreign bills discounted  | 
     
 5941  | 
     
 6152  | 
     
 6376  | 
     
 6408  | 
     
 6495  | 
     
 6571  | 
|  
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
| 
 Source : Form-'A'/'B' Return under Section 42(2) of RBI Act, 1934.  | 
||||||
| 
 TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUPS : 2003-04  | 
|||||||
|  
 (Amount in Rs. crore)  | 
|||||||
|  
 
  | 
     
 As on the last reporting Friday of  | 
||||||
|  
 Items  | 
     
 March  | 
     
 April  | 
     
 May  | 
     
 June  | 
     
 July  | 
     
 August  | 
     
 September  | 
|  
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
|
|  
 
  | 
     
 (13)  | 
     
 (2)  | 
     
 (3)  | 
     
 (4)  | 
     
 (5)  | 
     
 (6)  | 
     
 (7)  | 
|  
 Regional Rural Banks  | 
    |||||||
|  
 No. of reporting banks  | 
     
 196  | 
     
 196  | 
     
 196  | 
     
 196  | 
     
 196  | 
     
 196  | 
     
 196  | 
|  
 I. Liabilities to the banking system  | 
     
 156  | 
     
 185  | 
     
 212  | 
     
 195  | 
     
 190  | 
     
 175  | 
     
 174  | 
|  
 (a) Demand and time deposits from banks  | 
     
 10  | 
     
 11  | 
     
 10  | 
     
 14  | 
     
 12  | 
     
 11  | 
     
 9  | 
|  
 (b) Borrowings from banks  | 
     
 108  | 
     
 120  | 
     
 145  | 
     
 136  | 
     
 135  | 
     
 120  | 
     
 122  | 
|  
 (c) Other demand and time liabilities  | 
     
 38  | 
     
 54  | 
     
 57  | 
     
 45  | 
     
 43  | 
     
 44  | 
     
 43  | 
|  
 
  | 
    |||||||
|  
 II. Liabilities to others in India  | 
     
 49396  | 
     
 50626  | 
     
 50339  | 
     
 50412  | 
     
 51018  | 
     
 51483  | 
     
 52149  | 
|  
 (a) Aggregate deposits  | 
     
 47644  | 
     
 48781  | 
     
 48543  | 
     
 48621  | 
     
 49175  | 
     
 49637  | 
     
 50374  | 
|  
 (i) Demand deposits  | 
     
 8513  | 
     
 8828  | 
     
 8752  | 
     
 8766  | 
     
 8977  | 
     
 9082  | 
     
 9246  | 
|  
 (ii) Time deposits  | 
     
 39131  | 
     
 39953  | 
     
 39791  | 
     
 39855  | 
     
 40198  | 
     
 40555  | 
     
 41128  | 
|  
 (b) Borrowings (other than from RBI,  | 
     
 23  | 
     
 24  | 
     
 17  | 
     
 9  | 
     
 1  | 
     
 1  | 
     
 11  | 
|  
 IDBI, NABARD, EXIM Bank)  | 
     
 
  | 
    ||||||
|  
 (c) Other demand and time liabilities  | 
     
 1729  | 
     
 1821  | 
     
 1779  | 
     
 1782  | 
     
 1842  | 
     
 1845  | 
     
 1764  | 
|  
 III. Assets with the banking system  | 
     
 15041  | 
     
 14569  | 
     
 13572  | 
     
 13381  | 
     
 13355  | 
     
 13032  | 
     
 13036  | 
|  
 of which:  | 
    |||||||
|  
 Money at call and short notice  | 
     
 2792  | 
     
 2460  | 
     
 2164  | 
     
 2065  | 
     
 2101  | 
     
 2091  | 
     
 2075  | 
|  
 
  | 
    |||||||
|  
 IV. Cash in hand  | 
     
 471  | 
     
 441  | 
     
 524  | 
     
 521  | 
     
 516  | 
     
 470  | 
     
 483  | 
|  
 V. Investments in India  | 
     
 12008  | 
     
 13469  | 
     
 14123  | 
     
 14226  | 
     
 14957  | 
     
 15289  | 
     
 15745  | 
|  
 (a) Government securities  | 
     
 7673  | 
     
 8883  | 
     
 9836  | 
     
 9987  | 
     
 10489  | 
     
 10878  | 
     
 11387  | 
|  
 (b) Other approved securities  | 
     
 4335  | 
     
 4586  | 
     
 4287  | 
     
 4239  | 
     
 4468  | 
     
 4411  | 
     
 4358  | 
|  
 
  | 
    |||||||
|  
 VI. Bank credit  | 
     
 21359  | 
     
 21842  | 
     
 21713  | 
     
 21903  | 
     
 22186  | 
     
 22397  | 
     
 22752  | 
|  
 (a) Loans, cash credit and overdrafts  | 
     
 21342  | 
     
 21827  | 
     
 21703  | 
     
 21894  | 
     
 22178  | 
     
 22388  | 
     
 22744  | 
|  
 (b) Inland bills purchased  | 
     
 14  | 
     
 12  | 
     
 8  | 
     
 7  | 
     
 6  | 
     
 7  | 
     
 6  | 
|  
 (c) Inland bills discounted  | 
     
 3  | 
     
 3  | 
     
 2  | 
     
 2  | 
     
 2  | 
     
 2  | 
     
 2  | 
|  
 (d) Foreign bills purchased  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
|  
 (e) Foreign bills discounted  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
|  
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
| 
 Source: Form-'A'/'B' Return under Section 42(2) of RBI Act, 1934.  | 
|||||||
| 
 TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUPS : 2003-04  | 
||||||
| 
 (Amount in Rs. crore)  | 
||||||
|  
 
  | 
     
 As on the last reporting Friday of  | 
|||||
|  
 Items  | 
     
 October  | 
     
 November  | 
     
 December  | 
     
 January  | 
     
 February  | 
     
 March  | 
|  
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2004  | 
     
 2004  | 
     
 2004  | 
|
|  
 
  | 
     
 (8)  | 
     
 (9)  | 
     
 (10)  | 
     
 (11)  | 
     
 (12)  | 
     
 (13)  | 
|  
 Regional Rural Banks  | 
    ||||||
|  
 No. of reporting banks  | 
     
 196  | 
     
 196  | 
     
 196  | 
     
 196  | 
     
 196  | 
     
 196  | 
|  
 I. Liabilities to the banking system  | 
     
 202  | 
     
 197  | 
     
 234  | 
     
 183  | 
     
 177  | 
     
 185  | 
|  
 (a) Demand and time deposits from banks  | 
     
 19  | 
     
 18  | 
     
 32  | 
     
 18  | 
     
 20  | 
     
 23  | 
|  
 (b) Borrowings from banks  | 
     
 122  | 
     
 116  | 
     
 152  | 
     
 119  | 
     
 110  | 
     
 118  | 
|  
 (c) Other demand and time liabilities  | 
     
 61  | 
     
 63  | 
     
 50  | 
     
 46  | 
     
 47  | 
     
 44  | 
|  
 
  | 
    ||||||
|  
 II. Liabilities to others in India  | 
     
 52800  | 
     
 53023  | 
     
 53344  | 
     
 54031  | 
     
 54528  | 
     
 55246  | 
|  
 (a) Aggregate deposits  | 
     
 50908  | 
     
 51165  | 
     
 51474  | 
     
 52192  | 
     
 52656  | 
     
 53390  | 
|  
 (i) Demand deposits  | 
     
 9760  | 
     
 9853  | 
     
 9917  | 
     
 10234  | 
     
 10601  | 
     
 10727  | 
|  
 (ii) Time deposits  | 
     
 41148  | 
     
 41312  | 
     
 41557  | 
     
 41958  | 
     
 42055  | 
     
 42663  | 
|  
 (b) Borrowings (other than from RBI,  | 
     
 1  | 
     
 53  | 
     
 3  | 
     
 2  | 
     
 2  | 
     
 3  | 
|  
 IDBI, NABARD, EXIM Bank)  | 
    ||||||
|  
 (c) Other demand and time liabilities  | 
     
 1891  | 
     
 1805  | 
     
 1867  | 
     
 1837  | 
     
 1870  | 
     
 1853  | 
|  
 III. Assets with the banking system  | 
     
 12735  | 
     
 12710  | 
     
 12516  | 
     
 12738  | 
     
 12472  | 
     
 12531  | 
|  
 of which:  | 
    ||||||
|  
 Money at call and short notice  | 
     
 2134  | 
     
 2195  | 
     
 1987  | 
     
 2136  | 
     
 1933  | 
     
 1998  | 
|  
 
  | 
    ||||||
|  
 IV. Cash in hand  | 
     
 522  | 
     
 485  | 
     
 518  | 
     
 508  | 
     
 494  | 
     
 547  | 
|  
 V. Investments in India  | 
     
 16102  | 
     
 16281  | 
     
 16698  | 
     
 17107  | 
     
 17319  | 
     
 17532  | 
|  
 (a) Government securities  | 
     
 11867  | 
     
 12052  | 
     
 12007  | 
     
 12883  | 
     
 12958  | 
     
 13324  | 
|  
 (b) Other approved securities  | 
     
 4235  | 
     
 4229  | 
     
 4691  | 
     
 4224  | 
     
 4361  | 
     
 4208  | 
|  
 
  | 
    ||||||
|  
 VI. Bank credit  | 
     
 23701  | 
     
 23908  | 
     
 24083  | 
     
 24452  | 
     
 24499  | 
     
 25057  | 
|  
 (a) Loans, cash credit and overdrafts  | 
     
 23687  | 
     
 23740  | 
     
 24068  | 
     
 24438  | 
     
 24482  | 
     
 25040  | 
|  
 (b) Inland bills purchased  | 
     
 11  | 
     
 9  | 
     
 12  | 
     
 11  | 
     
 13  | 
     
 13  | 
|  
 (c) Inland bills discounted  | 
     
 3  | 
     
 159  | 
     
 3  | 
     
 3  | 
     
 4  | 
     
 4  | 
|  
 (d) Foreign bills purchased  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
|  
 (e) Foreign bills discounted  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
|  
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
| 
 Source: Form-'A'/'B' Return under Section 42(2) of RBI Act, 1934.  | 
||||||
| 
 TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUPS : 2003-04  | 
|||||||
| 
 (Amount in Rs. crore)  | 
|||||||
|  
 
  | 
     
 As on the last reporting Friday of  | 
||||||
|  
 Items  | 
     
 March  | 
     
 April  | 
     
 May  | 
     
 June  | 
     
 July  | 
     
 August  | 
     
 September  | 
|  
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
|
|  
 
  | 
     
 (1)  | 
     
 (2)  | 
     
 (3)  | 
     
 (4)  | 
     
 (5)  | 
     
 (6)  | 
     
 (7)  | 
|  
 Other Indian Scheduled Commercial Banks  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
|  
 No. of reporting banks  | 
     
 29  | 
     
 30  | 
     
 30  | 
     
 30  | 
     
 30  | 
     
 30  | 
     
 30  | 
|  
 I. Liabilities to the banking system  | 
     
 16082  | 
     
 17426  | 
     
 17388  | 
     
 16097  | 
     
 17444  | 
     
 15362  | 
     
 16432  | 
|  
 (a) Demand and time deposits from banks  | 
     
 9072  | 
     
 11080  | 
     
 11717  | 
     
 10500  | 
     
 9674  | 
     
 9556  | 
     
 9610  | 
|  
 (b) Borrowings from banks  | 
     
 6240  | 
     
 5407  | 
     
 4825  | 
     
 4761  | 
     
 6988  | 
     
 5017  | 
     
 5940  | 
|  
 (c) Other demand and time liabilities  | 
     
 770  | 
     
 939  | 
     
 846  | 
     
 836  | 
     
 782  | 
     
 789  | 
     
 882  | 
|  
 
  | 
    |||||||
|  
 II. Liabilities to others in India  | 
     
 225498  | 
     
 236256  | 
     
 239616  | 
     
 242858  | 
     
 240010  | 
     
 246598  | 
     
 249385  | 
|  
 (a) Aggregate deposits  | 
     
 204524  | 
     
 213794  | 
     
 216734  | 
     
 220382  | 
     
 218777  | 
     
 224055  | 
     
 225781  | 
|  
 (i) Demand deposits  | 
     
 27014  | 
     
 28451  | 
     
 28081  | 
     
 31324  | 
     
 28320  | 
     
 29764  | 
     
 30472  | 
|  
 (ii) Time deposits  | 
     
 177510  | 
     
 185343  | 
     
 188653  | 
     
 189058  | 
     
 190457  | 
     
 194291  | 
     
 195309  | 
|  
 (b) Borrowings (other than from RBI,  | 
     
 6433  | 
     
 7700  | 
     
 7977  | 
     
 7480  | 
     
 6852  | 
     
 7236  | 
     
 7234  | 
|  
 IDBI, NABARD, EXIM Bank)  | 
    |||||||
|  
 (c) Other demand and time liabilities  | 
     
 14541  | 
     
 14762  | 
     
 14905  | 
     
 14996  | 
     
 14381  | 
     
 15307  | 
     
 16370  | 
|  
 III. Assets with the banking system  | 
     
 2394  | 
     
 2885  | 
     
 3924  | 
     
 2876  | 
     
 2762  | 
     
 3093  | 
     
 2971  | 
|  
 of which:  | 
    |||||||
|  
 Money at call and short notice  | 
     
 515  | 
     
 780  | 
     
 2385  | 
     
 1123  | 
     
 937  | 
     
 1147  | 
     
 856  | 
|  
 
  | 
    |||||||
|  
 IV. Cash in hand  | 
     
 1450  | 
     
 1994  | 
     
 1928  | 
     
 2134  | 
     
 1969  | 
     
 1849  | 
     
 1850  | 
|  
 V. Investments in India  | 
     
 72456  | 
     
 76019  | 
     
 79244  | 
     
 80325  | 
     
 81050  | 
     
 83798  | 
     
 84426  | 
|  
 (a) Government securities  | 
     
 71491  | 
     
 75051  | 
     
 78272  | 
     
 79354  | 
     
 80085  | 
     
 82860  | 
     
 83534  | 
|  
 (b) Other approved securities  | 
     
 965  | 
     
 968  | 
     
 972  | 
     
 971  | 
     
 965  | 
     
 938  | 
     
 892  | 
|  
 
  | 
    |||||||
|  
 VI. Bank credit  | 
     
 137825  | 
     
 140479  | 
     
 140045  | 
     
 138931  | 
     
 140471  | 
     
 139206  | 
     
 141927  | 
|  
 (a) Loans, cash credit and overdrafts  | 
     
 127913  | 
     
 130768  | 
     
 131253  | 
     
 130344  | 
     
 131739  | 
     
 130168  | 
     
 132997  | 
|  
 (b) Inland bills purchased  | 
     
 1157  | 
     
 1244  | 
     
 961  | 
     
 1101  | 
     
 899  | 
     
 918  | 
     
 861  | 
|  
 (c) Inland bills discounted  | 
     
 6052  | 
     
 5930  | 
     
 5333  | 
     
 5092  | 
     
 5418  | 
     
 5744  | 
     
 5689  | 
|  
 (d) Foreign bills purchased  | 
     
 1754  | 
     
 1595  | 
     
 1609  | 
     
 1524  | 
     
 1550  | 
     
 1503  | 
     
 1500  | 
|  
 (e) Foreign bills discounted  | 
     
 949  | 
     
 942  | 
     
 889  | 
     
 870  | 
     
 865  | 
     
 873  | 
     
 880  | 
| 
 Source : Form-'A'/'B' Return under Section 42(2) of RBI Act, 1934.  | 
|||||||
| 
 TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUPS : 2003-04  | 
||||||
| 
 (Amount in Rs. crore)  | 
||||||
|  
 
  | 
     
 As on the last reporting Friday of  | 
|||||
|  
 Items  | 
     
 October  | 
     
 November  | 
     
 December  | 
     
 January  | 
     
 February  | 
     
 March  | 
|  
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2004  | 
     
 2004  | 
     
 2004  | 
|
|  
 
  | 
     
 (8)  | 
     
 (9)  | 
     
 (10)  | 
     
 (11)  | 
     
 (12)  | 
     
 (13)  | 
|  
 Other Indian Scheduled Commercial Banks  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
|  
 No. of reporting banks  | 
     
 30  | 
     
 30  | 
     
 30  | 
     
 30  | 
     
 30  | 
     
 30  | 
|  
 I. Liabilities to the banking system  | 
     
 16588  | 
     
 14673  | 
     
 14589  | 
     
 15172  | 
     
 15169  | 
     
 15205  | 
|  
 (a) Demand and time deposits from banks  | 
     
 9186  | 
     
 9235  | 
     
 9352  | 
     
 9945  | 
     
 10295  | 
     
 9976  | 
|  
 (b) Borrowings from banks  | 
     
 6525  | 
     
 4549  | 
     
 4383  | 
     
 4428  | 
     
 4063  | 
     
 4370  | 
|  
 (c) Other demand and time liabilities  | 
     
 877  | 
     
 889  | 
     
 854  | 
     
 799  | 
     
 811  | 
     
 859  | 
|  
 
  | 
    ||||||
|  
 II. Liabilities to others in India  | 
     
 259895  | 
     
 263858  | 
     
 267189  | 
     
 270955  | 
     
 279733  | 
     
 294042  | 
|  
 (a) Aggregate deposits  | 
     
 232560  | 
     
 236687  | 
     
 240126  | 
     
 244238  | 
     
 251926  | 
     
 264059  | 
|  
 (i) Demand deposits  | 
     
 33401  | 
     
 34526  | 
     
 37829  | 
     
 37750  | 
     
 41520  | 
     
 52797  | 
|  
 (ii) Time deposits  | 
     
 199159  | 
     
 202161  | 
     
 202297  | 
     
 206488  | 
     
 210406  | 
     
 211262  | 
|  
 (b) Borrowings (other than from RBI,  | 
     
 8706  | 
     
 8717  | 
     
 9235  | 
     
 8755  | 
     
 8775  | 
     
 8874  | 
|  
 IDBI, NABARD, EXIM Bank)  | 
    ||||||
|  
 (c) Other demand and time liabilities  | 
     
 18629  | 
     
 18454  | 
     
 17828  | 
     
 17962  | 
     
 19032  | 
     
 21109  | 
|  
 III. Assets with the banking system  | 
     
 3329  | 
     
 2504  | 
     
 2643  | 
     
 3044  | 
     
 2718  | 
     
 3045  | 
|  
 of which:  | 
    ||||||
|  
 Money at call and short notice  | 
     
 1316  | 
     
 499  | 
     
 656  | 
     
 495  | 
     
 512  | 
     
 673  | 
|  
 
  | 
    ||||||
|  
 IV. Cash in hand  | 
     
 2326  | 
     
 2047  | 
     
 2064  | 
     
 1790  | 
     
 1866  | 
     
 1735  | 
|  
 V. Investments in India  | 
     
 85767  | 
     
 89320  | 
     
 89357  | 
     
 91053  | 
     
 96933  | 
     
 102099  | 
|  
 (a) Government securities  | 
     
 84918  | 
     
 88465  | 
     
 88520  | 
     
 90219  | 
     
 96113  | 
     
 101289  | 
|  
 (b) Other approved securities  | 
     
 849  | 
     
 855  | 
     
 837  | 
     
 834  | 
     
 820  | 
     
 810  | 
|  
 
  | 
    ||||||
|  
 VI. Bank credit  | 
     
 146607  | 
     
 148561  | 
     
 152037  | 
     
 154661  | 
     
 159452  | 
     
 165702  | 
|  
 (a) Loans, cash credit and overdrafts  | 
     
 137575  | 
     
 139029  | 
     
 142034  | 
     
 144393  | 
     
 148873  | 
     
 154711  | 
|  
 (b) Inland bills purchased  | 
     
 917  | 
     
 888  | 
     
 867  | 
     
 874  | 
     
 978  | 
     
 981  | 
|  
 (c) Inland bills discounted  | 
     
 5714  | 
     
 6068  | 
     
 6490  | 
     
 6756  | 
     
 6869  | 
     
 7091  | 
|  
 (d) Foreign bills purchased  | 
     
 1487  | 
     
 1616  | 
     
 1703  | 
     
 1728  | 
     
 1822  | 
     
 1961  | 
|  
 (e) Foreign bills discounted  | 
     
 914  | 
     
 960  | 
     
 943  | 
     
 910  | 
     
 910  | 
     
 958  | 
| 
 Source : Form-'A'/'B' Return under Section 42(2) of RBI Act, 1934.  | 
||||||
| 
 TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUPS : 2003-04  | 
|||||||
|  
 (Amount in Rs. crore)  | 
|||||||
|  
 
  | 
     
 As on the last reporting Friday of  | 
||||||
|  
 Item  | 
     
 March  | 
     
 April  | 
     
 May  | 
     
 June  | 
     
 July  | 
     
 August  | 
     
 September  | 
|  
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
|
|  
 
  | 
     
 (1)  | 
     
 (2)  | 
     
 (3)  | 
     
 (4)  | 
     
 (5)  | 
     
 (6)  | 
     
 (7)  | 
|  
 Foreign Banks  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
|  
 No. of reporting banks  | 
     
 36  | 
     
 36  | 
     
 36  | 
     
 36  | 
     
 36  | 
     
 36  | 
     
 35  | 
|  
 I. Liabilities to the banking system  | 
     
 20045  | 
     
 18786  | 
     
 18845  | 
     
 19634  | 
     
 18571  | 
     
 18138  | 
     
 18271  | 
|  
 (a) Demand and time deposits from banks  | 
     
 9945  | 
     
 9928  | 
     
 9888  | 
     
 9889  | 
     
 9929  | 
     
 9890  | 
     
 9901  | 
|  
 (b) Borrowings from banks  | 
     
 9892  | 
     
 8645  | 
     
 8648  | 
     
 9477  | 
     
 8440  | 
     
 8012  | 
     
 8216  | 
|  
 (c) Other demand and time liabilities  | 
     
 208  | 
     
 213  | 
     
 309  | 
     
 268  | 
     
 202  | 
     
 236  | 
     
 154  | 
|  
 
  | 
    |||||||
|  
 II. Liabilities to others in India  | 
     
 71508  | 
     
 73551  | 
     
 76094  | 
     
 77654  | 
     
 77280  | 
     
 78326  | 
     
 78611  | 
|  
 (a) Aggregate deposits  | 
     
 58337  | 
     
 59571  | 
     
 60945  | 
     
 62293  | 
     
 61499  | 
     
 61578  | 
     
 61678  | 
|  
 (i) Demand deposits  | 
     
 16734  | 
     
 17237  | 
     
 16930  | 
     
 18510  | 
     
 17148  | 
     
 17916  | 
     
 17708  | 
|  
 (ii) Time deposits  | 
     
 41603  | 
     
 42334  | 
     
 44015  | 
     
 43783  | 
     
 44351  | 
     
 43662  | 
     
 43970  | 
|  
 (b) Borrowings (other than from RBI,  | 
     
 4171  | 
     
 5036  | 
     
 5700  | 
     
 5414  | 
     
 6793  | 
     
 7032  | 
     
 6843  | 
|  
 IDBI, NABARD, EXIM Bank)  | 
    |||||||
|  
 (c) Other demand and time liabilities  | 
     
 9000  | 
     
 8944  | 
     
 9449  | 
     
 9947  | 
     
 8988  | 
     
 9716  | 
     
 10090  | 
|  
 III. Assets with the banking system  | 
     
 1960  | 
     
 2130  | 
     
 2222  | 
     
 2229  | 
     
 2014  | 
     
 2910  | 
     
 2007  | 
|  
 of which:  | 
    |||||||
|  
 Money at call and short notice  | 
     
 750  | 
     
 777  | 
     
 613  | 
     
 1164  | 
     
 669  | 
     
 758  | 
     
 254  | 
|  
 
  | 
    |||||||
|  
 IV. Cash in hand  | 
     
 344  | 
     
 533  | 
     
 545  | 
     
 459  | 
     
 452  | 
     
 484  | 
     
 512  | 
|  
 V. Investments in India  | 
     
 29139  | 
     
 30215  | 
     
 29909  | 
     
 29565  | 
     
 31888  | 
     
 30894  | 
     
 31903  | 
|  
 (a) Government securities  | 
     
 28985  | 
     
 30060  | 
     
 29754  | 
     
 29410  | 
     
 31734  | 
     
 30743  | 
     
 31761  | 
|  
 (b) Other approved securities  | 
     
 154  | 
     
 155  | 
     
 155  | 
     
 155  | 
     
 154  | 
     
 151  | 
     
 142  | 
|  
 
  | 
     
 
  | 
    ||||||
|  
 VI. Bank credit  | 
     
 52602  | 
     
 51959  | 
     
 52390  | 
     
 53355  | 
     
 53002  | 
     
 52761  | 
     
 54035  | 
|  
 (a) Loans, cash credit and overdrafts  | 
     
 47292  | 
     
 46851  | 
     
 47781  | 
     
 48536  | 
     
 47942  | 
     
 48212  | 
     
 49212  | 
|  
 (b) Inland bills purchased  | 
     
 526  | 
     
 402  | 
     
 391  | 
     
 356  | 
     
 358  | 
     
 351  | 
     
 401  | 
|  
 (c) Inland bills discounted  | 
     
 1776  | 
     
 2276  | 
     
 2056  | 
     
 2090  | 
     
 2464  | 
     
 2072  | 
     
 2092  | 
|  
 (d) Foreign bills purchased  | 
     
 767  | 
     
 883  | 
     
 742  | 
     
 744  | 
     
 711  | 
     
 674  | 
     
 674  | 
|  
 (e) Foreign bills discounted  | 
     
 2241  | 
     
 1547  | 
     
 1420  | 
     
 1629  | 
     
 1527  | 
     
 1452  | 
     
 1656  | 
| 
 Source : Form-'A'/'B' Return under Section 42(2) of RBI Act, 1934.  | 
|||||||
| 
 TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUPS : 2003-04  | 
||||||
|  
 (Amount in Rs. crore)  | 
||||||
|  
 
  | 
     
 As on the last reporting Friday of  | 
|||||
|  
 Item  | 
     
 October  | 
     
 November  | 
     
 December  | 
     
 January  | 
     
 February  | 
     
 March  | 
|  
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2004  | 
     
 2004  | 
     
 2004  | 
|
|  
 
  | 
     
 (8)  | 
     
 (9)  | 
     
 (10)  | 
     
 (11)  | 
     
 (12)  | 
     
 (13)  | 
|  
 Foreign Banks  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
     
 
  | 
|  
 No. of reporting banks  | 
     
 35  | 
     
 35  | 
     
 34  | 
     
 34  | 
     
 33  | 
     
 33  | 
|  
 I. Liabilities to the banking system  | 
     
 13863  | 
     
 13402  | 
     
 13150  | 
     
 12521  | 
     
 12557  | 
     
 13329  | 
|  
 (a) Demand and time deposits from banks  | 
     
 6796  | 
     
 6920  | 
     
 6856  | 
     
 6847  | 
     
 6956  | 
     
 6888  | 
|  
 (b) Borrowings from banks  | 
     
 6850  | 
     
 6211  | 
     
 6104  | 
     
 5589  | 
     
 5508  | 
     
 6303  | 
|  
 (c) Other demand and time liabilities  | 
     
 217  | 
     
 271  | 
     
 190  | 
     
 85  | 
     
 93  | 
     
 138  | 
|  
 
  | 
    ||||||
|  
 II. Liabilities to others in India  | 
     
 83925  | 
     
 85596  | 
     
 86013  | 
     
 87807  | 
     
 91557  | 
     
 95605  | 
|  
 (a) Aggregate deposits  | 
     
 64566  | 
     
 65574  | 
     
 66310  | 
     
 67995  | 
     
 70261  | 
     
 73027  | 
|  
 (i) Demand deposits  | 
     
 18675  | 
     
 18479  | 
     
 20283  | 
     
 20650  | 
     
 23037  | 
     
 25816  | 
|  
 (ii) Time deposits  | 
     
 45891  | 
     
 47095  | 
     
 46027  | 
     
 47345  | 
     
 47224  | 
     
 47211  | 
|  
 (b) Borrowings (other than from RBI,  | 
     
 8282  | 
     
 9086  | 
     
 8637  | 
     
 9204  | 
     
 10043  | 
     
 10545  | 
|  
 IDBI, NABARD, EXIM Bank)  | 
    ||||||
|  
 (c) Other demand and time liabilities  | 
     
 11077  | 
     
 10936  | 
     
 11066  | 
     
 10608  | 
     
 11253  | 
     
 12033  | 
|  
 III. Assets with the banking system  | 
     
 2523  | 
     
 2394  | 
     
 2049  | 
     
 2989  | 
     
 3451  | 
     
 3071  | 
|  
 of which:  | 
    ||||||
|  
 Money at call and short notice  | 
     
 686  | 
     
 580  | 
     
 342  | 
     
 968  | 
     
 1185  | 
     
 584  | 
|  
 
  | 
    ||||||
|  
 IV. Cash in hand  | 
     
 640  | 
     
 653  | 
     
 676  | 
     
 502  | 
     
 312  | 
     
 279  | 
|  
 V. Investments in India  | 
     
 31109  | 
     
 32439  | 
     
 33290  | 
     
 32066  | 
     
 33823  | 
     
 34937  | 
|  
 (a) Government securities  | 
     
 30946  | 
     
 32303  | 
     
 33152  | 
     
 31929  | 
     
 33687  | 
     
 34802  | 
|  
 (b) Other approved securities  | 
     
 163  | 
     
 136  | 
     
 138  | 
     
 137  | 
     
 136  | 
     
 135  | 
|  
 
  | 
    ||||||
|  
 VI. Bank credit  | 
     
 55630  | 
     
 55312  | 
     
 55147  | 
     
 55698  | 
     
 57420  | 
     
 59651  | 
|  
 (a) Loans, cash credit and overdrafts  | 
     
 50447  | 
     
 50346  | 
     
 50546  | 
     
 50918  | 
     
 52588  | 
     
 54090  | 
|  
 (b) Inland bills purchased  | 
     
 478  | 
     
 441  | 
     
 429  | 
     
 456  | 
     
 410  | 
     
 387  | 
|  
 (c) Inland bills discounted  | 
     
 2397  | 
     
 2170  | 
     
 1957  | 
     
 1990  | 
     
 2014  | 
     
 2310  | 
|  
 (d) Foreign bills purchased  | 
     
 612  | 
     
 677  | 
     
 594  | 
     
 572  | 
     
 522  | 
     
 580  | 
|  
 (e) Foreign bills discounted  | 
     
 1696  | 
     
 1678  | 
     
 1621  | 
     
 1762  | 
     
 1886  | 
     
 2284  | 
| 
 Source : Form-'A'/'B' Return under Section 42(2) of RBI Act, 1934.  | 
||||||
| 
 TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUPS : 2003-04  | 
|||||||
|  
 (Amount in Rs. crore)  | 
|||||||
|  
 
  | 
     
 As on the last reporting Friday of  | 
||||||
|  
 Item  | 
     
 March  | 
     
 April  | 
     
 May  | 
     
 June  | 
     
 July  | 
     
 August  | 
     
 September  | 
|  
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
|
|  
 
  | 
     
 (1)  | 
     
 (2)  | 
     
 (3)  | 
     
 (4)  | 
     
 (5)  | 
     
 (6)  | 
     
 (7)  | 
|  
 Scheduled Urban Co-operative Banks  | 
    |||||||
|  
 No. of reporting banks  | 
     
 56  | 
     
 57  | 
     
 57  | 
     
 57  | 
     
 57  | 
     
 55  | 
     
 55  | 
|  
 I. Liabilities to the banking system  | 
     
 1573  | 
     
 1414  | 
     
 1382  | 
     
 1361  | 
     
 1362  | 
     
 1369  | 
     
 1398  | 
|  
 (a) Demand and time deposits from banks  | 
     
 1329  | 
     
 1328  | 
     
 1296  | 
     
 1282  | 
     
 1273  | 
     
 1266  | 
     
 1306  | 
|  
 (b) Borrowings from banks  | 
     
 58  | 
     
 71  | 
     
 71  | 
     
 61  | 
     
 73  | 
     
 90  | 
     
 77  | 
|  
 (c) Other demand and time liabilities  | 
     
 186  | 
     
 15  | 
     
 15  | 
     
 18  | 
     
 16  | 
     
 13  | 
     
 15  | 
|  
 
  | 
    |||||||
|  
 II. Liabilities to others in India  | 
     
 34514  | 
     
 35007  | 
     
 35021  | 
     
 35370  | 
     
 35984  | 
     
 35128  | 
     
 35320  | 
|  
 (a) Aggregate deposits  | 
     
 33166  | 
     
 33640  | 
     
 33729  | 
     
 34067  | 
     
 34649  | 
     
 33982  | 
     
 34200  | 
|  
 (i) Demand deposits  | 
     
 4151  | 
     
 4266  | 
     
 4356  | 
     
 4482  | 
     
 4598  | 
     
 4365  | 
     
 4389  | 
|  
 (ii) Time deposits  | 
     
 29015  | 
     
 29374  | 
     
 29373  | 
     
 29585  | 
     
 30051  | 
     
 29617  | 
     
 29811  | 
|  
 (b) Borrowings (other than from RBI,  | 
     
 10  | 
     
 10  | 
     
 20  | 
     
 10  | 
     
 19  | 
     
 35  | 
     
 44  | 
|  
 IDBI, NABARD, EXIM Bank)  | 
    |||||||
|  
 (c) Other demand and time liabilities  | 
     
 1338  | 
     
 1357  | 
     
 1272  | 
     
 1293  | 
     
 1316  | 
     
 1111  | 
     
 1076  | 
|  
 III. Assets with the banking system  | 
     
 3440  | 
     
 3466  | 
     
 3693  | 
     
 3527  | 
     
 3507  | 
     
 3205  | 
     
 3136  | 
|  
 of which:  | 
    |||||||
|  
 Money at call and short notice  | 
     
 512  | 
     
 389  | 
     
 500  | 
     
 498  | 
     
 458  | 
     
 388  | 
     
 311  | 
|  
 
  | 
    |||||||
|  
 IV. Cash in hand  | 
     
 329  | 
     
 377  | 
     
 364  | 
     
 426  | 
     
 413  | 
     
 431  | 
     
 391  | 
|  
 V. Investments in India  | 
     
 10520  | 
     
 10754  | 
     
 11070  | 
     
 11846  | 
     
 12441  | 
     
 13040  | 
     
 13593  | 
|  
 (a) Government securities  | 
     
 9877  | 
     
 10116  | 
     
 10463  | 
     
 11237  | 
     
 11837  | 
     
 12447  | 
     
 13042  | 
|  
 (b) Other approved securities  | 
     
 643  | 
     
 638  | 
     
 607  | 
     
 609  | 
     
 604  | 
     
 593  | 
     
 551  | 
|  
 
  | 
     
 
  | 
    ||||||
|  
 VI. Bank credit  | 
     
 23422  | 
     
 23617  | 
     
 23259  | 
     
 23146  | 
     
 22983  | 
     
 21948  | 
     
 21955  | 
|  
 (a) Loans, cash credit and overdrafts  | 
     
 22105  | 
     
 22205  | 
     
 21958  | 
     
 21857  | 
     
 21689  | 
     
 20685  | 
     
 20713  | 
|  
 (b) Inland bills purchased  | 
     
 473  | 
     
 475  | 
     
 441  | 
     
 442  | 
     
 463  | 
     
 729  | 
     
 713  | 
|  
 (c) Inland bills discounted  | 
     
 529  | 
     
 618  | 
     
 556  | 
     
 522  | 
     
 517  | 
     
 499  | 
     
 503  | 
|  
 (d) Foreign bills purchased  | 
     
 28  | 
     
 34  | 
     
 33  | 
     
 45  | 
     
 32  | 
     
 35  | 
     
 26  | 
|  
 (e) Foreign bills discounted  | 
     
 287  | 
     
 285  | 
     
 271  | 
     
 280  | 
     
 282  | 
     
 0  | 
     
 0  | 
| 
 Source: Form-'A'/'B' Return under Section 42(2) of RBI Act, 1934.  | 
|||||||
| 
 TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUPS : 2003-04  | 
||||||
|  
 (Amount in Rs. crore)  | 
||||||
|  
 
  | 
     
 As on the last reporting Friday of  | 
|||||
|  
 Item  | 
     
 October  | 
     
 November  | 
     
 December  | 
     
 January  | 
     
 February  | 
     
 March  | 
|  
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2004  | 
     
 2004  | 
     
 2004  | 
|
|  
 
  | 
     
 (8)  | 
     
 (9)  | 
     
 (10)  | 
     
 (11)  | 
     
 (12)  | 
     
 (13)  | 
|  
 Scheduled Urban Co-operative Banks  | 
    ||||||
|  
 No. of reporting banks  | 
     
 55  | 
     
 55  | 
     
 55  | 
     
 55  | 
     
 55  | 
     
 55  | 
|  
 I. Liabilities to the banking system  | 
     
 1389  | 
     
 1400  | 
     
 1384  | 
     
 1359  | 
     
 1364  | 
     
 1375  | 
|  
 (a) Demand and time deposits from banks  | 
     
 1295  | 
     
 1288  | 
     
 1279  | 
     
 1288  | 
     
 1299  | 
     
 1302  | 
|  
 (b) Borrowings from banks  | 
     
 78  | 
     
 100  | 
     
 92  | 
     
 58  | 
     
 53  | 
     
 62  | 
|  
 (c) Other demand and time liabilities  | 
     
 16  | 
     
 12  | 
     
 13  | 
     
 13  | 
     
 12  | 
     
 11  | 
|  
 
  | 
    ||||||
|  
 II. Liabilities to others in India  | 
     
 35937  | 
     
 35996  | 
     
 36005  | 
     
 36486  | 
     
 36490  | 
     
 36564  | 
|  
 (a) Aggregate deposits  | 
     
 34743  | 
     
 34814  | 
     
 34833  | 
     
 35209  | 
     
 35291  | 
     
 35321  | 
|  
 (i) Demand deposits  | 
     
 4556  | 
     
 4491  | 
     
 4487  | 
     
 4568  | 
     
 4628  | 
     
 4657  | 
|  
 (ii) Time deposits  | 
     
 30187  | 
     
 30323  | 
     
 30346  | 
     
 30641  | 
     
 30663  | 
     
 30664  | 
|  
 (b) Borrowings (other than from RBI,  | 
     
 34  | 
     
 21  | 
     
 22  | 
     
 136  | 
     
 43  | 
     
 87  | 
|  
 IDBI, NABARD, EXIM Bank)  | 
    ||||||
|  
 (c) Other demand and time liabilities  | 
     
 1160  | 
     
 1161  | 
     
 1150  | 
     
 1141  | 
     
 1156  | 
     
 1156  | 
|  
 III. Assets with the banking system  | 
     
 3222  | 
     
 3160  | 
     
 3635  | 
     
 3237  | 
     
 3362  | 
     
 3379  | 
|  
 of which:  | 
    ||||||
|  
 Money at call and short notice  | 
     
 488  | 
     
 387  | 
     
 901  | 
     
 612  | 
     
 1638  | 
     
 410  | 
|  
 
  | 
    ||||||
|  
 IV. Cash in hand  | 
     
 453  | 
     
 373  | 
     
 549  | 
     
 327  | 
     
 357  | 
     
 314  | 
|  
 V. Investments in India  | 
     
 13697  | 
     
 14028  | 
     
 13757  | 
     
 14197  | 
     
 13902  | 
     
 13777  | 
|  
 (a) Government securities  | 
     
 13160  | 
     
 13517  | 
     
 13275  | 
     
 13721  | 
     
 13445  | 
     
 13344  | 
|  
 (b) Other approved securities  | 
     
 537  | 
     
 511  | 
     
 482  | 
     
 476  | 
     
 457  | 
     
 433  | 
|  
 
  | 
    ||||||
|  
 VI. Bank credit  | 
     
 22304  | 
     
 22348  | 
     
 22665  | 
     
 22697  | 
     
 22906  | 
     
 23357  | 
|  
 (a) Loans, cash credit and overdrafts  | 
     
 21041  | 
     
 21072  | 
     
 21365  | 
     
 21342  | 
     
 21515  | 
     
 21844  | 
|  
 (b) Inland bills purchased  | 
     
 735  | 
     
 767  | 
     
 784  | 
     
 814  | 
     
 832  | 
     
 930  | 
|  
 (c) Inland bills discounted  | 
     
 497  | 
     
 482  | 
     
 484  | 
     
 508  | 
     
 527  | 
     
 548  | 
|  
 (d) Foreign bills purchased  | 
     
 30  | 
     
 26  | 
     
 31  | 
     
 32  | 
     
 32  | 
     
 27  | 
|  
 (e) Foreign bills discounted  | 
     
 1  | 
     
 1  | 
     
 1  | 
     
 1  | 
     
 0  | 
     
 8  | 
| 
 Source: Form-'A'/'B' Return under Section 42(2) of RBI Act, 1934.  | 
||||||
| 
 TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUPS : 2003-04  | 
|||||||
| 
 (Amount in Rs. crore)  | 
|||||||
|  
 
  | 
     
 As on the last reporting Friday of  | 
||||||
|  
 Items  | 
     
 March  | 
     
 April  | 
     
 May  | 
     
 June  | 
     
 July  | 
     
 August  | 
     
 September  | 
|  
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
     
 2003  | 
|
|  
 
  | 
     
 (1)  | 
     
 (2)  | 
     
 (3)  | 
     
 (4)  | 
     
 (5)  | 
     
 (6)  | 
     
 (7)  | 
|  
 Scheduled State Co-operative Banks  | 
    |||||||
|  
 No. of reporting banks  | 
     
 16  | 
     
 16  | 
     
 16  | 
     
 16  | 
     
 16  | 
     
 16  | 
     
 16  | 
|  
 I. Liabilities to the banking system  | 
     
 458  | 
     
 45  | 
     
 3  | 
     
 4  | 
     
 1  | 
     
 92  | 
     
 30  | 
|  
 (a) Demand and time deposits from banks  | 
     
 401  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 30  | 
     
 0  | 
|  
 (b) Borrowings from banks  | 
     
 45  | 
     
 45  | 
     
 3  | 
     
 4  | 
     
 1  | 
     
 62  | 
     
 30  | 
|  
 (c) Other demand and time liabilities  | 
     
 12  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
|  
 
  | 
    |||||||
|  
 II. Liabilities to others in India  | 
     
 31878  | 
     
 33625  | 
     
 33536  | 
     
 33615  | 
     
 33578  | 
     
 33164  | 
     
 32888  | 
|  
 (a) Aggregate deposits  | 
     
 30859  | 
     
 32577  | 
     
 32442  | 
     
 32514  | 
     
 32541  | 
     
 32183  | 
     
 31913  | 
|  
 (i) Demand deposits  | 
     
 2131  | 
     
 2358  | 
     
 2260  | 
     
 2259  | 
     
 2100  | 
     
 2208  | 
     
 1953  | 
|  
 (ii) Time deposits  | 
     
 28728  | 
     
 30219  | 
     
 30182  | 
     
 30255  | 
     
 30441  | 
     
 29975  | 
     
 29960  | 
|  
 (b) Borrowings (other than from RBI,  | 
     
 6  | 
     
 6  | 
     
 6  | 
     
 6  | 
     
 6  | 
     
 6  | 
     
 6  | 
|  
 IDBI, NABARD, EXIM Bank)  | 
    |||||||
|  
 (c) Other demand and time liabilities  | 
     
 1013  | 
     
 1042  | 
     
 1088  | 
     
 1095  | 
     
 1031  | 
     
 975  | 
     
 969  | 
|  
 III. Assets with the banking system  | 
     
 4632  | 
     
 4937  | 
     
 4508  | 
     
 4439  | 
     
 4742  | 
     
 3641  | 
     
 3310  | 
|  
 of which:  | 
    |||||||
|  
 Money at call and short notice  | 
     
 3227  | 
     
 3496  | 
     
 2968  | 
     
 2960  | 
     
 3258  | 
     
 2745  | 
     
 2399  | 
|  
 
  | 
    |||||||
|  
 IV. Cash in hand  | 
     
 57  | 
     
 56  | 
     
 69  | 
     
 67  | 
     
 68  | 
     
 65  | 
     
 69  | 
|  
 V. Investments in India  | 
     
 10865  | 
     
 12155  | 
     
 12327  | 
     
 12392  | 
     
 12078  | 
     
 12297  | 
     
 12622  | 
|  
 (a) Government securities  | 
     
 9319  | 
     
 10614  | 
     
 10789  | 
     
 10884  | 
     
 10565  | 
     
 10794  | 
     
 11162  | 
|  
 (b) Other approved securities  | 
     
 1546  | 
     
 1541  | 
     
 1538  | 
     
 1508  | 
     
 1513  | 
     
 1503  | 
     
 1460  | 
|  
 
  | 
    |||||||
|  
 VI. Bank credit  | 
     
 31820  | 
     
 32706  | 
     
 31813  | 
     
 32150  | 
     
 31688  | 
     
 31962  | 
     
 32499  | 
|  
 (a) Loans, cash credit and overdrafts  | 
     
 31796  | 
     
 32684  | 
     
 31794  | 
     
 32132  | 
     
 31671  | 
     
 31942  | 
     
 32483  | 
|  
 (b) Inland bills purchased  | 
     
 19  | 
     
 18  | 
     
 15  | 
     
 14  | 
     
 13  | 
     
 13  | 
     
 13  | 
|  
 (c) Inland bills discounted  | 
     
 0  | 
     
 0  | 
     
 1  | 
     
 1  | 
     
 0  | 
     
 1  | 
     
 1  | 
|  
 (d) Foreign bills purchased  | 
     
 5  | 
     
 4  | 
     
 3  | 
     
 3  | 
     
 4  | 
     
 3  | 
     
 2  | 
|  
 (e) Foreign bills discounted  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 0  | 
     
 3  | 
     
 0  | 
| 
 Source: Form-'A'/'B' Return under Section 42(2) of RBI Act, 1934.  | 
|||||||
| 
 TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUPS : 2003-04  | 
||||||
| 
 (Amount in Rs. crore)  | 
||||||
| 
 
  | 
 As on the last reporting Friday of  | 
|||||
| 
 Items  | 
 October  | 
 November  | 
 December  | 
 January  | 
 February  | 
 March  | 
| 
 2003  | 
 2003  | 
 2003  | 
 2004  | 
 2004  | 
 2004  | 
|
| 
 
  | 
 (8)  | 
 (9)  | 
 (10)  | 
 (11)  | 
 (12)  | 
 (13)  | 
| 
 Scheduled State Co-operative Banks  | 
||||||
| 
 No. of reporting banks  | 
 16  | 
 16  | 
 16  | 
 16  | 
 16  | 
 16  | 
| 
 I. Liabilities to the banking system  | 
 51  | 
 0  | 
 100  | 
 25  | 
 200  | 
 0  | 
| 
 (a) Demand and time deposits from banks  | 
 0  | 
 0  | 
 0  | 
 0  | 
 0  | 
 0  | 
| 
 (b) Borrowings from banks  | 
 51  | 
 0  | 
 100  | 
 25  | 
 200  | 
 0  | 
| 
 (c) Other demand and time liabilities  | 
 0  | 
 0  | 
 0  | 
 0  | 
 0  | 
 0  | 
| 
 II. Liabilities to others in India  | 
 32919  | 
 33107  | 
 33344  | 
 33686  | 
 33791  | 
 34631  | 
| 
 (a) Aggregate deposits  | 
 31840  | 
 32039  | 
 32307  | 
 32664  | 
 32774  | 
 33604  | 
| 
 (i) Demand deposits  | 
 2126  | 
 2160  | 
 2165  | 
 2093  | 
 2192  | 
 2241  | 
| 
 (ii) Time deposits  | 
 29714  | 
 29879  | 
 30142  | 
 30571  | 
 30582  | 
 31363  | 
| 
 (b) Borrowings (other than from RBI,  | 
 6  | 
 6  | 
 5  | 
 4  | 
 4  | 
 4  | 
| 
 IDBI, NABARD, EXIM Bank)  | 
||||||
| 
 (c) Other demand and time liabilities  | 
 1073  | 
 1062  | 
 1032  | 
 1018  | 
 1013  | 
 1023  | 
| 
 III. Assets with the banking system  | 
 3048  | 
 2924  | 
 11861  | 
 3033  | 
 3115  | 
 3206  | 
| 
 of which:  | 
||||||
| 
 Money at call and short notice  | 
 2265  | 
 2162  | 
 11039  | 
 2259  | 
 2216  | 
 2315  | 
| 
 
  | 
||||||
| 
 IV. Cash in hand  | 
 78  | 
 71  | 
 64  | 
 60  | 
 67  | 
 70  | 
| 
 V. Investments in India  | 
 13037  | 
 13583  | 
 13928  | 
 14087  | 
 14425  | 
 14626  | 
| 
 (a) Government securities  | 
 11617  | 
 12175  | 
 12492  | 
 12740  | 
 13112  | 
 13318  | 
| 
 (b) Other approved securities  | 
 1420  | 
 1408  | 
 1436  | 
 1347  | 
 1313  | 
 1308  | 
| 
 VI. Bank credit  | 
 32689  | 
 32241  | 
 32157  | 
 32054  | 
 31898  | 
 32071  | 
| 
 (a) Loans, cash credit and overdrafts  | 
 32672  | 
 32225  | 
 32141  | 
 32038  | 
 31884  | 
 32056  | 
| 
 (b) Inland bills purchased  | 
 14  | 
 13  | 
 12  | 
 12  | 
 12  | 
 13  | 
| 
 (c) Inland bills discounted  | 
 1  | 
 1  | 
 1  | 
 1  | 
 0  | 
 0  | 
| 
 (d) Foreign bills purchased  | 
 2  | 
 2  | 
 3  | 
 3  | 
 2  | 
 2  | 
| 
 (e) Foreign bills discounted  | 
 0  | 
 0  | 
 0  | 
 0  | 
 0  | 
 0  | 
| 
 Source: Form-'A'/'B' Return under Section 42(2) of RBI Act, 1934.  | 
||||||
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