No. 3 : All Scheduled Banks -- Business in India - RBI - Reserve Bank of India
83071756
Published on September 30, 1997
No. 3 : All Scheduled Banks -- Business in India
(Rs. in crores) --------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- 1996 1997 Last Reporting Friday(in case of March)/ ----------------------------------------------------------------------------------------------- Last Friday 1990-91 1995-96 1996-97 July Jan. Feb. Mar. Apr.(P) May(P) Jun.(P) Jul.(P) ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- 1 2 3 4 5 6 7 8 9 10 11 12 ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- Number of reporting banks 299 316 335 326 334 334 335 335 335 335 335 Liabilities to the banking system(1) 6,673 17,763 21,480 23,287 19,648 19,047 21,480 21,979 26,134 26,777 27,142 Demand and time deposits from banks(2) 5,598 12,081 17,651 15,609 16,896 15,969 17,651 17,858 17,243 17,577 18,586 Borrowings from banks(3) 998 3,487 3,290 7,234 2,470 2,769 3,290 3,574 8,251 8,261 7,960 Other demand and time liabilities(4) 77 2,196 539 444 282 309 539 547 640 940 596 Liabilities to others(1) 213,125 480,516 565,594 499,348 542,443 547,259 565,594 571,732 578,444 585,785 590,697 Aggregate deposits 199,643 450,774 529,585 467,380 508,528 513,998 529,585 534,854 540,853 548,217 552,212 Demand 34,823 83,494 93,794 78,480 83,875 85,039 93,794 90,029 89,143 91,451 90,199 Time 164,820 367,280 435,791 388,900 424,654 428,959 435,791 444,825 451,711 456,766 462,013 Borrowings(5) 645 698 1,063 3,264 1,191 902 1,063 985 2,337 2,246 3,085 Other demand and time liabilities(4) 12,838 29,043 34,946 28,703 32,723 32,359 34,946 35,893 35,253 35,322 35,400 Borrowings from Reserve Bank(6) 3,483 4,892 560 77 511 594 560 222 27 39 2 Against Usance bills/promissory notes - - - - - - - - - - - Others (7) 3,483 4,892 560 77 511 594 560 222 27 39 2 Cash in hand and balances with Reserve Bank 25,995 55,035 55,110 60,822 49,235 48,681 55,110 57,101 57,724 55,461 60,831 Cash in hand 1,847 3,219 3,500 3,237 3,412 3,355 3,500 3,541 3,577 4,015 3,683 Balances with Reserve Bank(8) 24,147 51,817 51,610 57,586 45,824 45,326 51,610 53,560 54,147 51,446 57,148 Assets with the Banking System 6,848 19,021 23,884 21,289 22,407 20,686 23,884 23,961 25,181 26,685 28,168 Balances with other banks In current account 1,926 3,385 3,868 2,695 2,991 3,241 3,868 3,652 3,366 3,505 3,577 In other accounts 1,421 5,522 6,131 5,882 6,628 5,497 6,131 7,817 6,155 6,374 7,049 Money at call and short notice 2,201 6,652 10,171 10,530 9,822 8,915 10,171 10,068 12,998 14,305 14,939 Advances to Banks(9) 902 1,642 1,885 1,130 1,609 1,558 1,885 1,098 1,190 1,172 1,140 Other assets 398 1,821 1,829 1,053 1,356 1,476 1,829 1,325 1,472 1,329 1,463 Investment 76,831 169,105 196,321 178,067 197,265 199,753 196,321 206,535 212,189 218,829 222,267 Government securities(10) 51,086 135,287 163,150 144,989 164,466 166,510 163,150 173,011 178,454 185,090 188,866 Other approved securities 25,746 33,818 33,171 33,079 32,799 33,243 33,171 33,523 33,734 33,739 33,401 Bank credit(11) 125,575 272,537 300,354 270,052 288,461 289,657 300,354 299,747 298,664 297,743 299,820 Loans, cash-credits and overdrafts 114,982 242,522 272,954 243,301 261,376 261,855 272,954 271,797 271,607 270,173 272,851 Inland bills-purchased 3,532 4,560 4,382 4,172 4,414 4,381 4,382 4,531 4,356 4,439 4,145 Inland bills-discounted 2,409 9,630 8,824 8,715 8,826 9,642 8,824 9,355 9,089 9,604 9,513 Foreign bills-purchased 2,788 9,211 7,710 7,957 7,535 7,575 7,710 7,599 6,691 7,259 7,176 Foreign bills-discounted 1,864 6,615 6,485 5,906 6,311 6,204 6,485 6,465 6,920 6,268 6,135 Cash-Deposit Ratio 13.0 12.2 10.4 13.0 9.7 9.5 10.4 10.7 10.7 10.1 11.0 Investment-Deposit Ratio 38.5 37.5 37.1 38.1 38.8 38.9 37.1 38.6 39.2 39.9 40.3 Credit-Deposit Ratio 62.9 60.5 56.7 57.8 56.7 56.4 56.7 56.0 55.2 54.3 54.3 ---------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
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