(Rs. crore) |
Last Reporting Friday (in case of March)/ Last Friday |
1990–91 |
2006–07 |
2007–08 |
2007 |
2008 |
|
|
|
|
Oct. |
Apr. |
May |
Jun. |
Jul. |
Aug. |
Sep. (P) |
Oct. (P) |
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 |
11 |
12 |
Number of Reporting Banks |
299 |
249 |
239 |
244 |
236 |
234 |
235 |
235 |
234 |
234 |
234 |
Liabilities to the Banking |
|
|
|
|
|
|
|
|
|
|
|
System (1) |
6,673 |
91,541 |
1,01,724 |
82,911 |
92,071 |
1,04,008 |
1,16,272 |
1,15,861 |
1,07,475 |
1,08,431 |
1,30,650 |
Demand and Time Deposits |
|
|
|
|
|
|
|
|
|
|
|
from Banks (2) |
5,598 |
43,620 |
50,306 |
38,777 |
47,154 |
46,206 |
50,423 |
43,191 |
43,465 |
44,072 |
46,783 |
Borrowings from Banks (3) |
998 |
35,532 |
33,034 |
24,040 |
28,895 |
34,245 |
37,574 |
41,790 |
33,906 |
29,473 |
43,057 |
Other Demand and |
|
|
|
|
|
|
|
|
|
|
|
Time Liabilities (4) |
77 |
12,389 |
18,385 |
20,095 |
16,023 |
23,557 |
28,274 |
30,880 |
30,104 |
34,887 |
40,810 |
Liabilities to Others (1) |
2,13,125 |
30,26,644 |
37,06,404 |
33,21,303 |
36,99,953 |
37,70,423 |
37,80,757 |
37,98,457 |
38,91,900 |
39,55,690 |
40,77,759 |
Aggregate Deposits (5) |
1,99,643 |
26,94,678 |
32,97,074 |
29,69,646 |
33,04,608 |
33,55,679 |
33,79,920 |
34,08,865 |
34,93,881 |
35,45,941 |
36,16,081 |
Demand |
34,823 |
4,40,543 |
5,35,930 |
4,20,174 |
4,73,356 |
4,70,559 |
4,73,168 |
4,59,241 |
4,81,132 |
5,08,109 |
4,86,018 |
Time (5) |
1,64,820 |
22,54,135 |
27,61,144 |
25,49,472 |
28,31,252 |
28,85,120 |
29,06,752 |
29,49,624 |
30,12,749 |
30,37,832 |
31,30,064 |
Borrowings (6) |
645 |
86,910 |
1,07,712 |
89,652 |
1,02,688 |
1,20,713 |
1,09,199 |
1,04,353 |
1,07,997 |
1,11,856 |
1,17,063 |
Other Demand and |
|
|
|
|
|
|
|
|
|
|
|
Time Liabilities (4) |
12,838 |
2,45,056 |
3,01,618 |
2,62,005 |
2,92,657 |
2,94,031 |
2,91,638 |
2,85,239 |
2,90,021 |
2,97,894 |
3,44,614 |
Borrowings from |
|
|
|
|
|
|
|
|
|
|
|
Reserve Bank (7) |
3,483 |
6,348 |
4,000 |
0 |
474 |
2,684 |
3,115 |
5,587 |
2,089 |
6,116 |
8,540 |
Against Usance Bills / |
|
|
|
|
|
|
|
|
|
|
|
Promissory Notes |
– |
– |
– |
– |
– |
– |
– |
– |
– |
– |
– |
Others (8) |
3,483 |
6,348 |
4,000 |
0 |
474 |
2,684 |
3,115 |
5,587 |
2,089 |
6,116 |
8,540 |
Cash in Hand and |
|
|
|
|
|
|
|
|
|
|
|
Balances with |
|
|
|
|
|
|
|
|
|
|
|
Reserve Bank |
25,995 |
2,02,595 |
2,83,514 |
2,49,606 |
2,81,822 |
3,40,251 |
3,34,747 |
3,56,820 |
3,43,141 |
3,51,690 |
3,00,260 |
Cash in Hand |
1,847 |
16,637 |
18,593 |
18,111 |
18,769 |
20,965 |
19,836 |
20,049 |
21,855 |
23,222 |
26,450 |
Balances with Reserve Bank (9) |
24,147 |
1,85,958 |
2,64,921 |
2,31,495 |
2,63,054 |
3,19,286 |
3,14,911 |
3,36,771 |
3,21,285 |
3,28,468 |
2,73,811 |
See ‘Notes on Tables’. |
No. 3: All Scheduled Banks – Business in India (Concld.) |
(Rs. crore) |
Last Reporting Friday |
1990-91 |
2006-07 |
2007-08 |
2007 |
2008 |
(in case of March)/ Last Friday |
|
|
|
Oct. |
Apr. |
May |
Jun. |
Jul. |
Aug. |
Sep. (P) |
Oct. (P) |
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 |
11 |
12 |
Assets with the Banking System |
6,848 |
87,303 |
1,03,411 |
88,025 |
93,090 |
1,02,548 |
1,08,326 |
1,12,540 |
1,12,307 |
1,19,092 |
1,43,422 |
Balances with Other Banks |
3,347 |
33,868 |
41,310 |
36,948 |
40,990 |
38,506 |
38,051 |
37,841 |
37,663 |
41,692 |
44,256 |
In Current Account |
1,926 |
14,518 |
16,553 |
14,372 |
14,985 |
14,776 |
14,514 |
13,696 |
12,702 |
14,778 |
15,717 |
In Other Accounts |
1,421 |
19,350 |
24,757 |
22,576 |
26,005 |
23,730 |
23,536 |
24,144 |
24,961 |
26,913 |
28,538 |
Money at Call and Short Notice |
2,201 |
22,761 |
25,766 |
18,568 |
20,829 |
22,042 |
27,131 |
25,570 |
23,303 |
20,674 |
32,602 |
Advances to Banks (10) |
902 |
6,516 |
4,157 |
4,034 |
3,800 |
3,762 |
3,829 |
3,544 |
3,986 |
2,930 |
3,131 |
Other Assets |
398 |
24,159 |
32,177 |
28,476 |
27,471 |
38,238 |
39,315 |
45,585 |
47,355 |
53,796 |
63,434 |
Investment |
76,831 |
8,21,334 |
10,05,952 |
9,79,623 |
10,53,631 |
10,33,900 |
10,24,525 |
10,22,936 |
10,53,525 |
10,22,346 |
10,40,169 |
Government Securities (11) |
51,086 |
8,04,846 |
9,91,899 |
9,64,793 |
10,39,806 |
10,19,963 |
10,11,178 |
10,09,434 |
10,40,616 |
10,02,131 |
10,20,438 |
Other Approved Securities |
25,746 |
16,488 |
14,053 |
14,830 |
13,825 |
13,936 |
13,347 |
13,502 |
12,909 |
20,215 |
19,731 |
Bank Credit |
1,25,575 |
20,08,608 |
24,47,646 |
21,05,824 |
24,10,517 |
24,55,726 |
24,97,141 |
24,83,237 |
25,45,690 |
26,26,116 |
27,30,543 |
Loans, Cash-credits and Overdrafts |
1,14,982 |
19,19,506 |
23,45,470 |
20,20,595 |
23,09,789 |
23,53,671 |
23,93,858 |
23,82,535 |
24,40,965 |
25,18,542 |
26,23,713 |
Inland Bills-Purchased |
3,532 |
16,414 |
12,988 |
11,049 |
12,742 |
12,269 |
12,131 |
11,740 |
12,601 |
13,058 |
14,532 |
Inland Bills-Discounted |
2,409 |
31,948 |
41,400 |
32,979 |
41,848 |
42,857 |
44,527 |
43,950 |
44,525 |
44,664 |
43,017 |
Foreign Bills-Purchased |
2,788 |
16,174 |
16,535 |
13,588 |
15,860 |
17,408 |
15,903 |
18,055 |
17,911 |
19,194 |
19,251 |
Foreign Bills-Discounted |
1,864 |
24,567 |
31,253 |
27,614 |
30,278 |
29,522 |
30,722 |
26,957 |
29,689 |
30,658 |
30,029 |
Cash-Deposit Ratio |
13.0 |
7.5 |
8.6 |
8.4 |
8.5 |
10.1 |
9.9 |
10.5 |
9.8 |
9.9 |
8.3 |
Investment-Deposit Ratio |
38.5 |
30.5 |
30.5 |
33.0 |
31.9 |
30.8 |
30.3 |
30.0 |
30.2 |
28.8 |
28.8 |
Credit-Deposit Ratio |
62.9 |
74.5 |
74.2 |
70.9 |
72.9 |
73.2 |
73.9 |
72.8 |
72.9 |
74.1 |
75.5 |
|