Table 3 : Month-Wise Scheduled Commercial Banks' Business in India According to Bank Groups - 1997-98 (Part 1 of 3) - ربی - Reserve Bank of India
Table 3 : Month-Wise Scheduled Commercial Banks' Business in India According to Bank Groups - 1997-98 (Part 1 of 3)
| | | | | | (Amount in Rs. crore) | ||||
As on the last Friday of | ||||||||||
Items | March | April | May | June | July | August | ||||
1997 | 1997 | 1997 | 1997 | 1997 | 1997 | |||||
| | | (1) | (2) | (3) | (4) | (5) | (6) | ||
State Bank of India and its Associates | ||||||||||
No. of reporting banks | 8 | 8 | 8 | 8 | 8 | 8 | ||||
I. | Liabilities to the banking system | 6457 | 7183 | 6489 | 6914 | 6862 | 6926 | |||
(a) | Demand and time deposits from banks | 6040 | 6181 | 6100 | 6396 | 6493 | 6387 | |||
(b) | Borrowings from banks | 2 | 211 | 125 | 287 | 141 | 251 | |||
(c) | Other demand and time liabilities | 415 | 791 | 264 | 231 | 228 | 288 | |||
II. | Liabilities to others in India | 149373 | 151506 | 153090 | 155828 | 156715 | 156512 | |||
(a) | Aggregate deposits | 134587 | 136193 | 138447 | 140374 | 141159 | 141691 | |||
(i) Demand deposits | 26890 | 24929 | 24970 | 25914 | 25320 | 24205 | ||||
(ii) Time deposits | 107697 | 111264 | 113477 | 114460 | 115839 | 117486 | ||||
(b) | Borrowings (other than from RBI, IDBI, | -- | -- | -- | -- | -- | -- | |||
NABARD, EXIM Bank) | ||||||||||
(c) | Other demand and time liabilities | 14786 | 15313 | 14643 | 15454 | 15556 | 14821 | |||
III. | Assets with the banking system | 3276 | 8089 | 3332 | 6563 | 4952 | 4382 | |||
of which | ||||||||||
Money at call and short notice | 1515 | 2061 | 2071 | 5117 | 3677 | 2997 | ||||
IV. | Cash in hand | 498 | 461 | 512 | 523 | 474 | 541 | |||
V. | Investments in India | 57406 | 60160 | 61871 | 62980 | 65296 | 67778 | |||
(a) | Government securities | 47906 | 50721 | 52431 | 53586 | 55916 | 57381 | |||
(b) | Other approved securities | 9500 | 9439 | 9440 | 9394 | 9380 | 10397 | |||
VI. | Bank credit | 81605 | 80040 | 80985 | 79994 | 80223 | 77802 | |||
(a) | Loans, cash credit and overdrafts | 75009 | 73472 | 74348 | 73297 | 73230 | 71643 | |||
(b) | Inland bills purchased | 587 | 582 | 914 | 494 | 486 | 521 | |||
(c) | Inland bills discounted | 3308 | 3346 | 3182 | 3766 | 3411 | 3453 | |||
(d) | Foreign bills purchased | 614 | 578 | 556 | 533 | 534 | 532 | |||
| (e) | Foreign bills discounted | 2087 | 2062 | 1985 | 1904 | 2562 | 1653 |
| | | | | | | (Amount in Rs. crore) | ||||
As on the last Friday of | |||||||||||
Items | September | October | November | December | January | February | March | ||||
1997 | 1997 | 1997 | 1997 | 1998 | 1998 | 1998 | |||||
| | | (7) | (8) | (9) | (10) | (11) | (12) | (13) | ||
State Bank of India and its Associates | |||||||||||
No. of reporting banks | 8 | 8 | 8 | 8 | 8 | 8 | 8 | ||||
I. | Liabilities to the banking system | 7383 | 8124 | 8077 | 7834 | 9729 | 8859 | 9578 | |||
(a) | Demand and time deposits from banks | 6978 | 7721 | 7745 | 7657 | 7015 | 7316 | 7801 | |||
(b) | Borrowings from banks | 110 | 150 | -- | 101 | 165 | 35 | 495 | |||
(c) | Other demand and time liabilities | 295 | 253 | 332 | 76 | 2549 | 1508 | 1282 | |||
II. | Liabilities to others in India | 159466 | 161503 | 163604 | 165930 | 168786 | 172648 | 177729 | |||
(a) | Aggregate deposits | 145051 | 145690 | 148013 | 150328 | 153023 | 155210 | 159357 | |||
(i) Demand deposits | 26289 | 25436 | 25650 | 26172 | 26433 | 26273 | 29615 | ||||
(ii) Time deposits | 118762 | 120254 | 122363 | 124156 | 126590 | 128937 | 129742 | ||||
(b) | Borrowings (other than from | -- | -- | -- | -- | -- | -- | -- | |||
RBI, IDBI, NABARD, EXIM Bank) | |||||||||||
(c) | Other demand and time liabilities | 14415 | 15813 | 15591 | 15602 | 15763 | 17438 | 18372 | |||
III. | Assets with the banking system | 2961 | 6917 | 3924 | 4801 | 3891 | 3900 | 3639 | |||
of which | |||||||||||
Money at call and short notice | 1319 | 5044 | 2236 | 2792 | 1160 | 1244 | 1278 | ||||
IV. | Cash in hand | 497 | 552 | 522 | 573 | 525 | 525 | 502 | |||
V. | Investments in India | 67059 | 66486 | 66543 | 66288 | 64856 | 63034 | 62969 | |||
(a) | Government securities | 57714 | 57147 | 57205 | 56931 | 55480 | 53682 | 53602 | |||
(b) | Other approved securities | 9345 | 9339 | 9338 | 9357 | 9376 | 9352 | 9367 | |||
VI. | Bank credit | 78247 | 80430 | 81045 | 82659 | 86695 | 89305 | 93088 | |||
(a) | Loans, cash credit and overdrafts | 71838 | 74541 | 74740 | 76192 | 80185 | 82067 | 85823 | |||
(b) | Inland bills purchased | 476 | 547 | 527 | 599 | 714 | 637 | 591 | |||
(c) | Inland bills discounted | 3748 | 3168 | 3523 | 3506 | 3356 | 4068 | 3933 | |||
(d) | Foreign bills purchased | 529 | 553 | 625 | 600 | 572 | 595 | 604 | |||
| (e) | Foreign bills discounted | 1656 | 1621 | 1630 | 1762 | 1868 | 1938 | 2137 |
| | | | | | (Amount in Rs. crore) | ||||
As on the last Friday of | ||||||||||
Items | March | April | May | June | July | August | ||||
1997 | 1997 | 1997 | 1997 | 1997 | 1997 | |||||
| | | (1) | (2) | (3) | (4) | (5) | (6) | ||
Nationalised Banks | ||||||||||
No. of reporting banks | 19 | 19 | 19 | 19 | 19 | 19 | ||||
I. | Liabilities to the banking system | 6778 | 6829 | 8262 | 8442 | 8243 | 8711 | |||
(a) | Demand and time deposits from banks | 6258 | 6564 | 6593 | 6743 | 7257 | 7217 | |||
(b) | Borrowings from banks | 492 | 225 | 1507 | 1530 | 947 | 1462 | |||
(c) | Other demand and time liabilities | 28 | 40 | 162 | 169 | 39 | 32 | |||
II. | Liabilities to others in India | 286473 | 287110 | 289199 | 293098 | 293976 | 297912 | |||
(a) | Aggregate deposits | 273467 | 274567 | 276923 | 280268 | 280914 | 284131 | |||
(i) Demand deposits | 46346 | 43417 | 43633 | 44893 | 42996 | 42453 | ||||
(ii) Time deposits | 227121 | 231150 | 233290 | 235375 | 237918 | 241678 | ||||
(b) | Borrowings (other than from RBI, IDBI, | 70 | -- | 201 | 300 | 311 | 38 | |||
NABARD, EXIM Bank) | ||||||||||
(c) | Other demand and time liabilities | 12936 | 12543 | 12075 | 12529 | 12751 | 13743 | |||
III. | Assets with the banking system | 5610 | 5510 | 7360 | 5501 | 6151 | 5512 | |||
of which | ||||||||||
Money at call and short notice | 2824 | 2623 | 4787 | 2799 | 3477 | 2581 | ||||
IV. | Cash in hand | 2096 | 2021 | 2218 | 2282 | 2245 | 2255 | |||
V. | Investments in India | 105261 | 110625 | 112090 | 116623 | 117061 | 119887 | |||
(a) | Government securities | 86530 | 91896 | 93373 | 98080 | 98589 | 101475 | |||
(b) | Other approved securities | 18731 | 18729 | 18717 | 18543 | 18472 | 18412 | |||
VI. | Bank credit | 134450 | 133070 | 132789 | 132586 | 133587 | 134744 | |||
(a) | Loans, cash credit and overdrafts | 121789 | 120861 | 120877 | 121152 | 122058 | 123079 | |||
(b) | Inland bills purchased | 2689 | 2676 | 2433 | 2390 | 2472 | 2473 | |||
(c) | Inland bills discounted | 2188 | 2060 | 2027 | 1914 | 1895 | 1834 | |||
(d) | Foreign bills purchased | 5039 | 4838 | 4760 | 3713 | 4579 | 4536 | |||
| (e) | Foreign bills discounted | 2745 | 2635 | 2692 | 3417 | 2583 | 2822 |
-- | : | Nill or negligible |
Source | : | Form-A Return under Section 42(2) of RBI Act, 1934. |