SDDS-NATIONAL SUMMARY DATA PAGE-INDIA Jun 21, 2019 - RBI - Reserve Bank of India
SDDS-NATIONAL SUMMARY DATA PAGE-INDIA Jun 21, 2019
SDDS-NATIONAL SUMMARY DATA PAGE-INDIA | |||||
FINANCIAL SECTOR |
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Date Last Updated : June/14/2019 |
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RBI - Reserve Bank of India |
BSE - Bombay Stock Exchange |
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SDDS Data Category and Component |
Unit of Description |
Period of Latest Data |
Latest Data |
Previous Data |
Percentage change from previous to latest period |
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1 |
2 |
3 |
4 |
5 |
6 |
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Analytical Accounts of the Banking Sector |
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1. Broad Money (M3) |
₹ Billion |
June/07/2019 |
154781.8 |
140562.0 |
10.1 |
2. Domestic Credit to General Government (1) |
₹ Billion |
June/07/2019 |
47068.2 |
43382.9 |
8.5 |
3. Other Domestic Credit |
₹ Billion |
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102614.4 |
91851.6 |
11.7 |
4. Net Foreign Exchange Assets of the Banking Sector |
₹ Billion |
June/07/2019 |
30559.5 |
29506.5 |
3.6 |
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1. Reserve Money |
₹ Billion |
June/14/2019 |
28297.2 |
24924.8 |
13.5 |
2. Net RBI Credit to General Government (1) |
₹ Billion |
June/14/2019 |
10237.7 |
6684.4 |
- |
3. RBI Credit to Commercial Sector |
₹ Billion |
June/14/2019 |
86.2 |
93.3 |
- |
4. RBI's Claims on Banks |
₹ Billion |
June/14/2019 |
-560.8 |
-120.6 |
- |
5. Net Foreign Exchange Assets of RBI |
₹ Billion |
June/14/2019 |
29277.4 |
27861.4 |
5.1 |
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Interest Rates (2) | |||||
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(in basis points) |
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1. Bank Rate |
Per cent per annum |
June/07/2019 |
6.00 |
6.50 |
-50 |
2. Base Rate ^ |
Per cent per annum |
June/07/2019 |
8.95-9.40 |
8.70-9.45 |
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3. Treasury Bill Rates |
Per cent per annum |
June/12/2019 |
5.9428 |
6.5219 |
-58 |
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Stock Market | |||||
1. BSE (Sensex) |
1978-79=100 |
June/27/2019 |
39586 |
35217 |
12.41 |
2. Nifty 50^^ |
Nov/3/1995= 1000 |
June/27/2019 |
11842 |
10671 |
10.97 |
EXTERNAL SECTOR |
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SDDS Data Category and Component |
Unit of Description |
Period of Latest Data |
Latest Data |
Previous Data |
Percentage change from Previous to latest period |
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1 |
2 |
3 |
4 |
5 |
6 |
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Current Account |
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1. Merchandise, net |
US $ million |
Oct/18 -Dec/18 |
-49,491.38 |
-44,022.19 |
12.42 |
2. Services, net |
US $ million |
Oct/18 -Dec/18 |
21,298.64 |
20,712.25 |
2.83 |
3. Transfers, net |
US $ million |
Oct/18 -Dec/18 |
17,243.10 |
16,061.73 |
7.36 |
4. Income, net |
US $ million |
Oct/18 -Dec/18 |
-5,964.30 |
-6,467.97 |
-7.79 |
5. Current Account Balance |
US $ million |
Oct/18 -Dec/18 |
-16,913.94 |
-13,716.18 |
- |
Capital Account |
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1. Foreign Investment |
US $ million |
Oct/18 -Dec/18 |
5,412.05 |
9,644.85 |
-43.89 |
2. Loans |
US $ million |
Oct/18 -Dec/18 |
2,891.53 |
5,911.07 |
-51.08 |
3. Banking Capital |
US $ million |
Oct/18 -Dec/18 |
4,913.34 |
4,580.21 |
7.27 |
4. Rupee Debt Service |
US $ million |
Oct/18 -Dec/18 |
0.00 |
0.00 |
- |
5. Other Capital |
US $ million |
Oct/18 -Dec/18 |
390.60 |
2,394.02 |
-83.68 |
6. Capital Account Balance |
US $ million |
Oct/18 -Dec/18 |
13,607.53 |
22,530.14 |
-39.60 |
7. Errors and Ommissions |
US $ million |
Oct/18 -Dec/18 |
-989.23 |
620.53 |
- |
8. Overall Balance |
US $ million |
Oct/18 -Dec/18 |
-4,295.64 |
9,434.48 |
- |
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US $ million |
June/14/2019 |
422,200.05 |
410,070.12 |
12,129.93 |
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1. Foreign Currency Assets** |
US $ million |
June/14/2019 |
394,447.18 |
385,333.11 |
9,114.07 |
2. Gold $ |
US $ million |
June/14/2019 |
22,958.66 |
21,228.61 |
1,730.05 |
3. SDR ## |
US $ million |
June/14/2019 |
1,449.02 |
1,490.99 |
-41.97 |
4. Reserve Position in IMF |
US $ million |
June/14/2019 |
3,345.19 |
2,017.41 |
1,327.78 |
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US $ million |
Mar-19 |
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I. Total Foreign Assets |
US $ million |
Dec-18 |
603,844.19 |
613,468.02 |
-1.57 |
(i) India's Direct Investment Abroad |
US $ million |
Dec-18 |
166,193.37 |
155,175.73 |
7.10 |
(ii) Portfolio Investment |
US $ million |
Dec-18 |
2,665.85 |
2,938.83 |
-9.29 |
(iii) Other Investments |
US $ million |
Dec-18 |
39,393.95 |
46,281.26 |
-14.88 |
(iv) Reserve Assets |
US $ million |
Dec-18 |
395,591.01 |
409,072.20 |
-3.30 |
II. Total Foreign Liabilities |
US $ million |
Dec-18 |
1,035,537.06 |
1,034,895.99 |
0.06 |
(i) Direct Investment in India |
US $ million |
Dec-18 |
386,353.72 |
377,286.82 |
2.40 |
(ii) Portfolio Investment |
US $ million |
Dec-18 |
245,817.36 |
267,438.92 |
-8.08 |
(iii) Other Investments |
US $ million |
Dec-18 |
403,365.98 |
390,170.25 |
3.38 |
III. Net International Investment Position |
US $ million |
Dec-18 |
-431,692.87 |
-421,427.97 |
2.44 |
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External Debt | |||||
1. Multilateral | US $ million | Dec-18 | 57,061.39 | 56,027.67 | 1.85 |
2. Bilateral | US $ million | Dec-18 | 24,739.95 | 23,360.09 | 5.91 |
3. IMF | US $ million | Dec-18 | 5,533.00 | 5,665.56 | -2.34 |
4. Export Credit | US $ million | Dec-18 | 8,121.41 | 9,415.99 | -13.75 |
5. Commercial Borrowings | US $ million | Dec-18 | 194,970.31 | 196,402.54 | -0.73 |
6. NRI Deposits | US $ million | Dec-18 | 125,773.00 | 123,314.89 | 1.99 |
7. Rupee Debt*** | US $ million | Dec-18 | 1,034.84 | 1,231.55 | -15.97 |
8. Total Long Term Debt (1 to 7) | US $ million | Dec-18 | 417,233.89 | 415,418.29 | 0.44 |
9. Short Term Debt | US $ million | Dec-18 | 103,924.00 | 97,608.59 | 6.47 |
10. Grand Total (8+9) | US $ million | Dec-18 | 521,157.89 | 513,026.88 | 1.58 |
1. Rupees per US Dollar |
June/14/2019 |
69.5646 |
67.6875 |
-2.70 |
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2. Rupees per Euro |
June/14/2019 |
78.4308 |
79.9254 |
1.91 |
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Forward Premia (6) | |||||
1. 1-month |
Per cent per annum |
June/14/2019 |
4.31 |
4.15 |
0.16 |
2. 3-month |
Per cent per annum |
June/14/2019 |
4.43 |
4.24 |
0.19 |
3. 6-month |
Per cent per annum |
June/14/2019 |
4.38 |
4.30 |
0.08 |
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General Government Operations |
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Advance Release Calendar | |||||
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SDDS Data Category and Component |
Unit of Description
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Period of Latest Data
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Latest Data (8) 2018-19 BE |
Previous Data (9) 2017-18 RE |
Percentage change from Previous to latest period
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1 |
2 |
3 |
4 |
5 |
6
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I. Total Disbursements ◙ |
₹ Billion |
April/18-Mar/19 |
53,611.8 |
48,579.9 |
10.4 |
II. Total Receipts |
₹ Billion |
April/18-Mar/19 |
52,780.4 |
47,718.6 |
10.6 |
III. Gross Fiscal Deficit |
₹ Billion |
April/18-Mar/19 |
10,998.0 |
11,004.3 |
-0.1 |
Financed by : |
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A. Institution-wise (i+ii) |
₹ Billion |
April/18-Mar/19 |
10,998.0 |
11,004.3 |
-0.1 |
(i) Domestic Financing |
₹ Billion |
April/18-Mar/19 |
11,023.9 |
10,980.1 |
0.4 |
(ii) External Financing |
₹ Billion |
April/18-Mar/19 |
-25.9 |
24.2 |
-207.1 |
B. Instrument-wise (i+ii) |
₹ Billion |
April/18-Mar/19 |
10,998.0 |
11,004.3 |
-0.1 |
(i) Domestic Financing |
₹ Billion |
April/18-Mar/19 |
11,023.9 |
10,980.1 |
0.4 |
of which |
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a) Market Borrowings@ |
₹ Billion |
April/18-Mar/19 |
8,398.4 |
7,952.0 |
5.6 |
b) Small Savings & |
₹ Billion |
April/18-Mar/19 |
-1,434.6 |
-1,653.3 |
-13.2 |
(ii) External Financing |
₹ Billion |
April/18-Mar/19 |
-25.9 |
24.2 |
-207.1 |
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Footnotes |
* Monetary growth rate is on year on year basis. |
^ Base Rate relates to five major Public Sector banks since July 1, 2010. Earlier figures relate to Benchmark Pime Lending Rate. |
^^ CNX Nifty has been rebranded as Nifty 50 w.e.f. November 09, 2015 |
# Variation in absolute form is shown. |
** Excludes US$ 250 million invested in foreign currency denominated bonds issued by IIFC (UK) since March 20, 2009. |
$ : Includes Rs.31,463 crore (USD 6,699 million) reflecting the purchase of 200 metric tonnes of gold from IMF on November 3, 2009. |
## Includes SDRs 3,082.5 million allocated under general allocation and SDRs 214.57 million allocated under Special allocation by the IMF with effect from August 28, 2009 and September 9, 2009 respectively. |
*** Debt denominated in Rupees and payable in exports. |
◙ Total disbursements/receipts are net of repayments of the Central Government [inclusive of repayments to National Small Savings Fund (NSSF)] and State governments. |
@: Borrowing through dated securieties and 364-day Treasury Bills |
&: Represents investments in in Central and State Governments' Special Securities by National Small Saving Funds (NSSF). |
(1) Following a change in accounting practice w.e.f July 11, 2014, net liquidity injection/ absorption has been reclassified from net RBI credit to the government to RBI credit to banks and commercial sector. This has made a difference of ₹ 901 billion by way of decrease in net RBI credit to government offset by an increase in RBI credit to banks and commercial sector as of July 11, 2014. |
(2) General Government includes Central and State Governments as local Governments are not permitted to borrow. |
(3) Data on the interest rate structure may be accessed at http://www.wss.rbi.org.in. |
(4) Detail balance of payments (BoP) data as per IMF BPM5 are available at http://www.statistics.rbi.org.in. |
(5) Detail International Investment Position data are available at http://www.statistics.rbi.org.in. |
(6) Daily exchange rates for the US dollar, the Euro, the Pound Sterling and the Japanese Yen are available at http://www.wss.rbi.org.in. |
(7) Daily 1-month, 3-month and 6-month forward premia are available at http://www.wss.rbi.org.in. |
(8) Budget estimate. |
(9) Revised estimate. |