(Rs. crore) |
Last Reporting Friday(in case of March)/ Last Friday/Reporting Friday |
1990-91 |
2005-06 |
2006-07 |
2006 |
2007 |
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|
Sep. |
Mar. |
Apr. |
May |
Jun. |
Jul. |
Aug. |
Sep. 14 |
Sep. 28 |
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 |
11 |
12 |
13 |
Number of reporting banks |
28 |
31 |
31 |
31 |
31 |
31 |
31 |
31 |
31 |
31 |
31 |
31 |
Demand and Time Liabilities |
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|
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|
Aggregate Deposits (1) |
2,152 |
15,665 |
17,105 |
15,850 |
17,105 |
16,831 |
16,804 |
17,219 |
17,393 |
17,635 |
17,677 |
17,825 |
Demand Liabilities |
1,831 |
6,065 |
7,324 |
5,863 |
7,324 |
6,835 |
6,832 |
6,998 |
7,396 |
6,279 |
6,157 |
6,112 |
Deposits |
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|
|
|
|
|
|
|
|
|
|
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Inter-bank |
718 |
1,457 |
1,921 |
887 |
1,921 |
956 |
893 |
1,104 |
1,427 |
1,438 |
1,414 |
1,405 |
Others |
794 |
3,101 |
3,571 |
3,214 |
3,571 |
3,354 |
3,437 |
3,497 |
3,475 |
3,529 |
3,433 |
3,498 |
Borrowings from Banks |
181 |
464 |
914 |
886 |
914 |
1,533 |
1,545 |
1,609 |
1,640 |
494 |
387 |
260 |
Others |
139 |
1,043 |
918 |
877 |
918 |
992 |
957 |
788 |
853 |
818 |
924 |
949 |
Time Liabilities |
3,963 |
38,464 |
39,425 |
36,859 |
39,425 |
39,640 |
38,790 |
38,440 |
38,889 |
38,915 |
39,507 |
39,700 |
Deposits |
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Inter-bank |
2,545 |
25,561 |
25,540 |
23,974 |
25,540 |
25,720 |
24,981 |
24,261 |
24,547 |
24,371 |
24,824 |
24,925 |
Others |
1,359 |
12,564 |
13,534 |
12,637 |
13,534 |
13,477 |
13,366 |
13,721 |
13,918 |
14,106 |
14,245 |
14,327 |
Borrowings from Banks |
_ |
12 |
10 |
11 |
10 |
10 |
10 |
10 |
10 |
9 |
9 |
9 |
Others |
59 |
327 |
341 |
237 |
341 |
432 |
433 |
447 |
415 |
428 |
429 |
438 |
Borrowing from Reserve Bank |
15 |
_ |
_ |
_ |
_ |
6 |
_ |
_ |
10 |
_ |
_ |
_ |
Borrowings from the |
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State Bank and / or a |
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notified bank (2) and |
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State Government |
1,861 |
9,768 |
13,639 |
10,882 |
13,639 |
13,360 |
12,887 |
12,798 |
13,086 |
13,539 |
13,365 |
13,300 |
Demand |
116 |
2,021 |
3,292 |
1,901 |
3,292 |
2,999 |
2,718 |
2,522 |
2,561 |
2,825 |
2,860 |
2,924 |
Time |
1,745 |
7,747 |
10,347 |
8,981 |
10,347 |
10,361 |
10,169 |
10,276 |
10,525 |
10,714 |
10,505 |
10,376 |
Assets |
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Cash in hand and Balances |
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with Reserve Bank |
334 |
2,499 |
3,054 |
1,998 |
3,054 |
2,693 |
2,632 |
2,801 |
2,602 |
2,808 |
2,869 |
2,924 |
Cash in hand |
24 |
146 |
153 |
129 |
153 |
136 |
139 |
147 |
152 |
157 |
137 |
153 |
Balance with Reserve Bank |
310 |
2,353 |
2,900 |
1,869 |
2,900 |
2,557 |
2,492 |
2,654 |
2,450 |
2,652 |
2,732 |
2,772 |
Balances with Other Banks in |
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Current account |
93 |
575 |
486 |
308 |
486 |
612 |
651 |
644 |
695 |
403 |
372 |
357 |
Investments in Government |
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Securities (3) |
1,058 |
16,472 |
14,146 |
15,323 |
14,146 |
14,351 |
14,011 |
12,959 |
13,860 |
14,723 |
14,779 |
15,044 |
Money at Call and Short Notice |
498 |
5,899 |
6,749 |
5,299 |
6,749 |
6,079 |
5,831 |
5,315 |
6,259 |
5,418 |
5,923 |
5,710 |
Bank Credit (4) |
2,553 |
15,589 |
17,017 |
14,359 |
17,017 |
17,367 |
17,428 |
17,101 |
16,380 |
16,292 |
16,441 |
16,241 |
Advances |
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|
Loans, Cash-Cedits and Overdrafts |
2,528 |
15,568 |
17,001 |
14,345 |
17,001 |
17,357 |
17,421 |
17,093 |
16,371 |
16,283 |
16,432 |
16,230 |
Due from banks (5) |
5,560 |
24,167 |
30,098 |
27,419 |
30,098 |
29,257 |
29,332 |
30,207 |
31,136 |
32,018 |
32,114 |
32,581 |
Bills Purchased and Discounted |
25 |
21 |
16 |
13 |
16 |
9 |
7 |
8 |
8 |
8 |
8 |
11 |
Cash - Deposit Ratio |
15.5 |
16.0 |
17.9 |
12.6 |
17.9 |
16.0 |
15.7 |
16.3 |
15.0 |
15.9 |
16.2 |
16.4 |
Investment - Deposit Ratio |
49.2 |
105.2 |
82.7 |
96.7 |
82.7 |
85.3 |
83.4 |
75.3 |
79.7 |
83.5 |
83.6 |
84.4 |
Credit - Deposit Ratio |
118.6 |
99.5 |
99.5 |
90.6 |
99.5 |
103.2 |
103.7 |
99.3 |
94.2 |
92.4 |
93.0 |
91.1 |
See ‘Notes on Tables’. |
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