Scheduled Bank's Statement of Position in India - ربی - Reserve Bank of India
Scheduled Bank's Statement of Position in India
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs, SFBs and PBs) ALL SCHEDULED BANKS 12-Jul-2024 27-Jun-2025* 11-Jul-2025* 12-Jul-2024 27-Jun-2025* 11-Jul-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 277173.40 371106.12 341404.91 281152.83 376973.30 347254.50** b) Borrowings from banks 137361.61 100640.87 95555.56 137371.11 100646.66 95560.46 c) Other demand & time liabilities 75090.42 24746.46 22524.43 75387.79 25198.77 23038.31
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs, SFBs and PBs) ALL SCHEDULED BANKS 12-Jul-2024 27-Jun-2025* 11-Jul-2025* 12-Jul-2024 27-Jun-2025* 11-Jul-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 277173.40 371106.12 341404.91 281152.83 376973.30 347254.50** b) Borrowings from banks 137361.61 100640.87 95555.56 137371.11 100646.66 95560.46 c) Other demand & time liabilities 75090.42 24746.46 22524.43 75387.79 25198.77 23038.31
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 28-Jun-2024 13-Jun-2025* 27-Jun-2025* 28-Jun-2024 13-Jun-2025* 27-Jun-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 281969.80 340603.24 371107.14 286042.92 346319.88 376974.33** b) Borrowings from banks 150168.05 109266.80 100640.87 150174.05 109484.53 100646.66 c) Other demand & time liabilities 76593.71 23927.34 24747.31 76874.54 24362.82 25199.62
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 28-Jun-2024 13-Jun-2025* 27-Jun-2025* 28-Jun-2024 13-Jun-2025* 27-Jun-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 281969.80 340603.24 371107.14 286042.92 346319.88 376974.33** b) Borrowings from banks 150168.05 109266.80 100640.87 150174.05 109484.53 100646.66 c) Other demand & time liabilities 76593.71 23927.34 24747.31 76874.54 24362.82 25199.62
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 14-Jun-2024 30-May-2025* 13-Jun-2025* 14-Jun-2024 30-May-2025* 13-Jun-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 273308.16 365140.08 340603.24 277097.38 370999.12 346319.8749** b) Borrowings from banks 152185.60 110552.25 109671.80 152187.60 110574.25 109889.53 c) Other demand & time liabilities 76032.19 25071.47 23927.34 76298.36 25465.93 24362.82
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 14-Jun-2024 30-May-2025* 13-Jun-2025* 14-Jun-2024 30-May-2025* 13-Jun-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 273308.16 365140.08 340603.24 277097.38 370999.12 346319.8749** b) Borrowings from banks 152185.60 110552.25 109671.80 152187.60 110574.25 109889.53 c) Other demand & time liabilities 76032.19 25071.47 23927.34 76298.36 25465.93 24362.82
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 31-May-2024 16-May-2025* 30-May-2025* 31-May-2024 16-May-2025* 30-May-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 283850.22 356142.91 365140.08 287722.27 362130.00 370999.12** b) Borrowings from banks 163095.32 112740.77 110567.25 162607.11 112743.77 110589.25 c) Other demand & time liabilities 76511.12 24239.07 25102.81 76730.29 24626.53 25497.28
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 31-May-2024 16-May-2025* 30-May-2025* 31-May-2024 16-May-2025* 30-May-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 283850.22 356142.91 365140.08 287722.27 362130.00 370999.12** b) Borrowings from banks 163095.32 112740.77 110567.25 162607.11 112743.77 110589.25 c) Other demand & time liabilities 76511.12 24239.07 25102.81 76730.29 24626.53 25497.28
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs, SFBs and PBs) ALL SCHEDULED BANKS 17-May-2024 02-May-2025* 16-May-2025* 17-May-2024 02-May-2025* 16-May-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 289665.55 349543.61 356140.08 293548.27 355582.28 362127.16** b) Borrowings from banks 162652.31 110268.37 112764.97 162655.67 110369.38 112767.97 c) Other demand & time liabilities 74638.62 23238.10 23875.31 74865.42 23598.95 24262.77
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs, SFBs and PBs) ALL SCHEDULED BANKS 17-May-2024 02-May-2025* 16-May-2025* 17-May-2024 02-May-2025* 16-May-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 289665.55 349543.61 356140.08 293548.27 355582.28 362127.16** b) Borrowings from banks 162652.31 110268.37 112764.97 162655.67 110369.38 112767.97 c) Other demand & time liabilities 74638.62 23238.10 23875.31 74865.42 23598.95 24262.77
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 22-Mar-2024 07-Mar-2025* 21-Mar-2025* 22-Mar-2024 07-Mar-2025* 21-Mar-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 294470.87 284322.01 309413.40 298451.61 289252.56 315674.39** b) Borrowings from banks 182428.71 113375.74 112450.27 182565.72 113395.68 112501.44 c) Other demand & time liabilities 72451.70 38843.52 29906.64 73099.81 39214.14 30300.78
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 22-Mar-2024 07-Mar-2025* 21-Mar-2025* 22-Mar-2024 07-Mar-2025* 21-Mar-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 294470.87 284322.01 309413.40 298451.61 289252.56 315674.39** b) Borrowings from banks 182428.71 113375.74 112450.27 182565.72 113395.68 112501.44 c) Other demand & time liabilities 72451.70 38843.52 29906.64 73099.81 39214.14 30300.78
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs, SFBs and PBs) ALL SCHEDULED BANKS 08-Mar-2024 21-Feb-2025* 07-Mar-2025* 08-Mar-2024 21-Feb-2025* 07-Mar-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 293601.63 272677.28 284322.07 297409.87 279042.72 289252.63** b) Borrowings from banks 180434.60 112778.14 113375.74 181080.82 112884.38 113395.68 c) Other demand & time liabilities 71907.57 36706.95 38843.52
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs, SFBs and PBs) ALL SCHEDULED BANKS 08-Mar-2024 21-Feb-2025* 07-Mar-2025* 08-Mar-2024 21-Feb-2025* 07-Mar-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 293601.63 272677.28 284322.07 297409.87 279042.72 289252.63** b) Borrowings from banks 180434.60 112778.14 113375.74 181080.82 112884.38 113395.68 c) Other demand & time liabilities 71907.57 36706.95 38843.52
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 23-Feb-2024 07-Feb-2025* 21-Feb-2025* 23-Feb-2024 07-Feb-2025* 21-Feb-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 266228.41 279857.77 272536.90 269765.72 284464.40 278902.34** b) Borrowings from banks 178118.67 111793.69 112777.48 178124.17 111975.09 112883.73 c) Other demand & time liabilities 71817.97 35856.38 36706.38 72457.74 36234.35 37064.81 II LIABILITIES TO OTHERS (A) a) Deposits (other than from banks) 20204829.50 22325408.16 22284445.56 20650053.90 22793493.60 22750154.47 i) Demand 2368307.46 2492532.46 2524095.52 2416162.58 2541046.75 2571677.58 ii) Time 17836522.04 19832875.70 19760350.03 18233891.32 20252446.84 20178476.88 b) Borrowings @ 779018.52 940558.40 900975.06 783905.26 945358.11 906079.59 c) Other demand & time liabilities 921387.11 1041736.46 1021781.88 933701.29 1055387.21 1035671.29 III BORROWINGS FROM R.B.I. (B) 256374.00 185420.00 301901.00 256409.00 185420.00 301936.00
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 23-Feb-2024 07-Feb-2025* 21-Feb-2025* 23-Feb-2024 07-Feb-2025* 21-Feb-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 266228.41 279857.77 272536.90 269765.72 284464.40 278902.34** b) Borrowings from banks 178118.67 111793.69 112777.48 178124.17 111975.09 112883.73 c) Other demand & time liabilities 71817.97 35856.38 36706.38 72457.74 36234.35 37064.81 II LIABILITIES TO OTHERS (A) a) Deposits (other than from banks) 20204829.50 22325408.16 22284445.56 20650053.90 22793493.60 22750154.47 i) Demand 2368307.46 2492532.46 2524095.52 2416162.58 2541046.75 2571677.58 ii) Time 17836522.04 19832875.70 19760350.03 18233891.32 20252446.84 20178476.88 b) Borrowings @ 779018.52 940558.40 900975.06 783905.26 945358.11 906079.59 c) Other demand & time liabilities 921387.11 1041736.46 1021781.88 933701.29 1055387.21 1035671.29 III BORROWINGS FROM R.B.I. (B) 256374.00 185420.00 301901.00 256409.00 185420.00 301936.00
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 26-Jan-2024 10-Jan-2025* 24-Jan-2025* 26-Jan-2024 10-Jan-2025* 24-Jan-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 265719.05 271703.78 274512.21 269499.27 276454.35 279695.01** b) Borrowings from banks 197782.42 143463.79 143633.86 197881.12 143532.02 143750.15 c) Other demand & time liabilities 71159.98 28059.87 29455.68 71829.09 28374.42 29793.45
(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) ALL SCHEDULED BANKS 26-Jan-2024 10-Jan-2025* 24-Jan-2025* 26-Jan-2024 10-Jan-2025* 24-Jan-2025* I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 265719.05 271703.78 274512.21 269499.27 276454.35 279695.01** b) Borrowings from banks 197782.42 143463.79 143633.86 197881.12 143532.02 143750.15 c) Other demand & time liabilities 71159.98 28059.87 29455.68 71829.09 28374.42 29793.45
Government of India has announced the sale (re-issue) of Government Securities, as detailed below, through auctions to be held on February 07, 2025 (Friday). As per the extant scheme of underwriting commitment notified on November 14, 2007, the amounts of Minimum Underwriting Commitment (MUC) and the minimum bidding commitment under Additional Competitive Underwriting (ACU) auction, applicable to each Primary Dealer (PD), are as under:
Government of India has announced the sale (re-issue) of Government Securities, as detailed below, through auctions to be held on February 07, 2025 (Friday). As per the extant scheme of underwriting commitment notified on November 14, 2007, the amounts of Minimum Underwriting Commitment (MUC) and the minimum bidding commitment under Additional Competitive Underwriting (ACU) auction, applicable to each Primary Dealer (PD), are as under:
صفحے پر آخری اپ ڈیٹ: جولائی 25, 2025