(Amount in ₹ crore) |
|
|
SCHEDULED COMMERCIAL BANKS (Including RRBs,SFBs and PBs) |
ALL SCHEDULED BANKS |
|
|
02-Jun-23 |
17-MAY-2024 * |
31-MAY-2024 * |
02-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) |
|
i) Demand |
2183563.02 |
2407754.19 |
2506347.35 |
2229000.57 |
2457253.74 |
2556333.97 |
|
ii) Time |
16519871.58 |
18407025.92 |
18581248.13 |
16914124.68 |
18816301 |
18988677.15 |
|
b) Borrowings @ |
482574.37 |
775774.36 |
738924.83 |
487249.56 |
779950.71 |
743310.04 |
|
c) Other demand & time liabilities |
817390.54 |
911191.58 |
966539.11 |
830244.04 |
922276.23 |
979915.48 |
III |
BORROWINGS FROM R.B.I. (B) |
20814.82 |
161708 |
71305 |
20814.82 |
161708 |
71305 |
|
Against usance bills and / or prom. Notes |
|
|
|
|
|
|
IV |
CASH |
119890.03 |
84024.9 |
90920.76 |
122841.25 |
86536.68 |
93300.76 |
V |
BALANCES WITH R.B.I. (B) |
852242.95 |
950566.88 |
951109.29 |
872807.22 |
970617.66 |
971104.62 |
VI |
ASSETS WITH BANKING SYSTEM |
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|
|
|
|
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a) Balances with other banks |
|
|
|
|
|
|
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i) In current accounts |
10036.03 |
9326.29 |
8146.33 |
14671.31 |
11633.98 |
10789.85 |
|
ii) In other accounts |
189717.31 |
179256.38 |
178309.9 |
228038.12 |
225179.01 |
223963.68 |
|
b) Money at call & short notice |
27269.62 |
14392.25 |
12547.72 |
44284.56 |
31978.36 |
27404.93 |
|
c) Advances to banks (i.e. due from bks.) |
23741.49 |
55883.8 |
51408.47 |
26194.55 |
58023.79 |
53561.03 £ |
|
d) Other assets |
75941.74 |
119988.68 |
115891.26 |
79169.06 |
122833.25 |
118605.6 |
VII |
INVESTMENTS ( At book value ) |
5607752.36 |
6199638.2 (6114242.09) |
6183260.59 (6098378.31) |
5753005.55 |
6352519.17 (6267123.06) |
6335709.53 (6250827.25) |
|
a) Central & State Govt. securities+ |
5606937.97 |
6198671.92 |
6182231.31 |
5746986.54 |
6344840.39 |
6327933.09 |
|
b) Other approved securities |
814.39 |
966.27 |
1029.27 |
6019.01 |
7678.77 |
7776.42 |
VIII |
BANK CREDIT (Excluding Inter-Bank Advances) |
14009695 |
16601013.83 (16086355.77) |
16781420.55 (16270341.95) |
14413588.8 |
17036182.09 (16521524.03) |
17217567.75 (16706489.15) |
|
a) Loans, cash credits & Overdrafts $ |
13752604.79 |
16288503.22 |
16467926.91 |
14153511.93 |
16720357.07 |
16900730.31 |
|
b) Inland Bills purchased |
42822.8 |
63646.65 |
64366.88 |
42837.93 |
63651.18 |
64372.03 |
|
c) Inland Bills discounted |
170702.77 |
207787.08 |
208274.27 |
173058.16 |
210442.26 |
210953.05 |
|
d) Foreign Bills purchased |
17633.29 |
16651.15 |
16127.01 |
17812.3 |
16875.72 |
16347.72 |
|
e) Foreign Bills discounted |
25931.35 |
24425.73 |
24725.41 |
26368.48 |
24855.87 |
25164.55 |