Table 2.2 : Business of Scheduled Banks in India According to Bank Group - 2010-11 - RBI - Reserve Bank of India
Table 2.2 : Business of Scheduled Banks in India According to Bank Group - 2010-11
(Amount in ` crore) |
|||||||
Item |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
State Bank of India & its Associates |
|||||||
No. of Reporting Banks |
7 |
7 |
7 |
7 |
7 |
6 |
6 |
I. Liabilities to the banking system |
15126 |
15907 |
14948 |
14271 |
15775 |
13697 |
16258 |
(a) Demand and time deposits from banks |
12121 |
11202 |
10155 |
9705 |
9692 |
8998 |
9285 |
(b) Borrowings from banks |
630 |
10 |
275 |
40 |
1400 |
160 |
650 |
(c) Other demand and time liabilities |
2376 |
4696 |
4518 |
4527 |
4683 |
4538 |
6323 |
II. Liabilities to others in India |
1137247 |
1146500 |
1134721 |
1150065 |
1199625 |
1173354 |
1173087 |
(a) Aggregate deposits |
1034889 |
1035201 |
1028869 |
1043329 |
1091797 |
1065998 |
1066177 |
(i) Demand deposits |
140737 |
124874 |
118101 |
116560 |
126752 |
124387 |
120865 |
(ii) Time Deposits |
894152 |
910327 |
910768 |
926768 |
965045 |
941612 |
945312 |
(b) Borrowings (other than from RBI,NABARD,EXIM Bank) |
1889 |
1729 |
1803 |
1769 |
1978 |
1254 |
1066 |
(c) Other demand and time liabilities |
100469 |
109570 |
104048 |
104967 |
105851 |
106102 |
105844 |
III. Assets with the banking system |
26199 |
26868 |
25622 |
29327 |
26634 |
24352 |
24128 |
Money at call and short notice |
2898 |
1028 |
660 |
3247 |
3558 |
2389 |
2440 |
IV. Cash in hand |
7244 |
7505 |
7673 |
7941 |
8460 |
8497 |
8515 |
V. Investment in India |
316155 |
318921 |
312694 |
298504 |
319939 |
314434 |
312296 |
(a) Government securities |
314836 |
317637 |
311410 |
297220 |
318862 |
313401 |
311357 |
(b) Other approved securities |
1319 |
1284 |
1284 |
1284 |
1077 |
1032 |
939 |
VI Bank Credit |
749977 |
747744 |
751987 |
772098 |
800686 |
780308 |
790819 |
(a) Loans cash credit and overdrafts |
720729 |
716001 |
721667 |
741532 |
770457 |
751415 |
761182 |
(b) Inland bills purchased |
1782 |
1819 |
1816 |
1529 |
1557 |
1660 |
1596 |
(c) Inland bills discounted |
18215 |
19186 |
19376 |
19668 |
21043 |
20402 |
21108 |
(d) Foreign bills purchased |
995 |
947 |
947 |
907 |
970 |
895 |
863 |
(e) Foreign bills discounted |
8257 |
9791 |
8180 |
8462 |
6658 |
5936 |
6070 |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Contd.) |
||||||
(Amount in ` crore) |
||||||
Item |
As on the last reporting Friday of |
|||||
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2010 |
2010 |
2010 |
2011 |
2011 |
2011 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
State Bank of India & its Associates |
||||||
No. of Reporting Banks |
6 |
6 |
6 |
6 |
6 |
6 |
I. Liabilities to the banking system |
16003 |
15199 |
17733 |
15258 |
14719 |
14481 |
(a) Demand and time deposits from banks |
10227 |
9209 |
8885 |
9081 |
9210 |
9721 |
(b) Borrowings from banks |
300 |
1230 |
2121 |
1758 |
970 |
271 |
(c) Other demand and time liabilities |
5476 |
4759 |
6727 |
4419 |
4538 |
4490 |
II. Liabilities to others in India |
1198015 |
1193023 |
1215354 |
1229290 |
1253266 |
1270038 |
(a) Aggregate deposits |
1095606 |
1089493 |
1115721 |
1130812 |
1152525 |
1164666 |
(i) Demand deposits |
140428 |
129332 |
134269 |
128332 |
137475 |
142044 |
(ii) Time Deposits |
955177 |
960160 |
981453 |
1002480 |
1015050 |
1022622 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
1499 |
1553 |
1507 |
1785 |
1362 |
1413 |
(c) Other demand and time liabilities |
100910 |
101977 |
98127 |
96694 |
99379 |
103959 |
III. Assets with the banking system |
23136 |
19397 |
20109 |
19152 |
19298 |
22415 |
Money at call and short notice |
2972 |
175 |
1715 |
2050 |
1237 |
1929 |
IV. Cash in hand |
8388 |
8671 |
9080 |
8993 |
8684 |
8326 |
V. Investment in India |
316832 |
311351 |
292483 |
318350 |
326001 |
321373 |
(a) Government securities |
315938 |
310611 |
291799 |
317766 |
325431 |
320817 |
(b) Other approved securities |
894 |
740 |
684 |
584 |
571 |
557 |
VI Bank Credit |
795076 |
812945 |
855680 |
852616 |
866884 |
881882 |
(a) Loans cash credit and overdrafts |
765290 |
781703 |
820160 |
816127 |
828974 |
843065 |
(b) Inland bills purchased |
1597 |
1807 |
2273 |
2248 |
2314 |
2642 |
(c) Inland bills discounted |
20853 |
22171 |
24834 |
25714 |
27008 |
28659 |
(d) Foreign bills purchased |
913 |
919 |
1003 |
1080 |
966 |
869 |
(e) Foreign bills discounted |
6422 |
6346 |
7411 |
7448 |
7622 |
6647 |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Contd.) |
|||||||
(Amount in ` crore) |
|||||||
Item |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Nationalised Banks $ |
|||||||
No. of Reporting Banks |
20 |
20 |
20 |
20 |
20 |
20 |
20 |
I. Liabilities to the banking system |
55866 |
49183 |
45516 |
53465 |
51369 |
50074 |
52342 |
(a) Demand and time deposits from banks |
37392 |
36177 |
35704 |
36809 |
36903 |
37046 |
40990 |
(b) Borrowings from banks |
16538 |
11237 |
7901 |
14985 |
12555 |
11291 |
9612 |
(c) Other demand and time liabilities |
1936 |
1769 |
1911 |
1671 |
1911 |
1737 |
1740 |
II. Liabilities to others in India |
2500848 |
2515421 |
2523845 |
2510699 |
2570617 |
2586662 |
2608941 |
(a) Aggregate deposits |
2310046 |
2336688 |
2343656 |
2321245 |
2363916 |
2389666 |
2413840 |
(i) Demand deposits |
244261 |
224601 |
217909 |
221454 |
228708 |
224606 |
231613 |
(ii) Time Deposits |
2065784 |
2112087 |
2125746 |
2099791 |
2135208 |
2165060 |
2182227 |
(b) Borrowings (other than from RBI,NABARD,EXIM Bank) |
59426 |
60696 |
58462 |
60031 |
72422 |
66133 |
62847 |
(c) Other demand and time liabilities |
131377 |
118036 |
121727 |
129423 |
134279 |
130863 |
132254 |
III. Assets with the banking system |
29881 |
19726 |
18528 |
25181 |
27021 |
27029 |
25006 |
Money at call and short notice |
7170 |
2008 |
3760 |
4912 |
7162 |
6761 |
5297 |
IV. Cash in hand |
8615 |
8986 |
9030 |
9313 |
9627 |
9463 |
9983 |
V. Investment in India |
692634 |
716276 |
717967 |
698082 |
717622 |
731509 |
737815 |
(a) Government securities |
688766 |
712512 |
714203 |
694318 |
714172 |
728148 |
734553 |
(b) Other approved securities |
3867 |
3764 |
3764 |
3763 |
3450 |
3361 |
3262 |
VI. Bank Credit |
1664160 |
1654102 |
1654654 |
1695242 |
1701278 |
1701137 |
1742569 |
(a) Loans cash credit and overdrafts |
1618411 |
1608613 |
1609498 |
1649818 |
1655951 |
1655757 |
1696122 |
(b) Inland bills purchased |
6148 |
5530 |
5174 |
5084 |
5229 |
5270 |
5574 |
(c) Inland bills discounted |
16680 |
17336 |
17303 |
16967 |
16478 |
16615 |
17367 |
(d) Foreign bills purchased |
9146 |
8668 |
8574 |
8795 |
9017 |
8956 |
8864 |
(e) Foreign bills discounted |
13775 |
13954 |
14105 |
14578 |
14603 |
14540 |
14641 |
Note : $ Includes IDBI Bank Ltd. |
|||||||
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management,RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Contd.) |
||||||
(Amount in ` crore) |
||||||
Item |
As on the last reporting Friday of |
|||||
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2010 |
2010 |
2010 |
2011 |
2011 |
2011 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Nationalised Banks $ |
||||||
No. of Reporting Banks |
20 |
20 |
20 |
20 |
20 |
20 |
I. Liabilities to the banking system |
48029 |
49672 |
52561 |
52359 |
54344 |
58933 |
(a) Demand and time deposits from banks |
38143 |
39839 |
43876 |
42254 |
44975 |
47384 |
(b) Borrowings from banks |
8224 |
8155 |
7094 |
8486 |
7771 |
9967 |
(c) Other demand and time liabilities |
1663 |
1678 |
1591 |
1619 |
1598 |
1582 |
II. Liabilities to others in India |
2652852 |
2646656 |
2787939 |
2767205 |
2828464 |
2905861 |
(a) Aggregate deposits |
2464094 |
2458183 |
2596267 |
2572074 |
2634667 |
2707817 |
(i) Demand deposits |
228260 |
233611 |
250554 |
213692 |
218052 |
235796 |
(ii) Time Deposits |
2235834 |
2224571 |
2345713 |
2358382 |
2416615 |
2472021 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
60795 |
60839 |
59601 |
61369 |
58451 |
59343 |
(c) Other demand and time liabilities |
127963 |
127634 |
132072 |
133762 |
135345 |
138701 |
III. Assets with the banking system |
25429 |
23050 |
30348 |
21791 |
30965 |
43526 |
Money at call and short notice |
4823 |
3605 |
7385 |
4125 |
9370 |
6576 |
IV. Cash in hand |
10636 |
11359 |
10828 |
10549 |
10664 |
10375 |
V. Investment in India |
735330 |
728399 |
740077 |
740136 |
740585 |
756730 |
(a) Government securities |
732168 |
725472 |
737262 |
737469 |
737973 |
754140 |
(b) Other approved securities |
3162 |
2927 |
2816 |
2667 |
2611 |
2591 |
VI. Bank Credit |
1778323 |
1820075 |
1938135 |
1914288 |
1953720 |
2038526 |
(a) Loans cash credit and overdrafts |
1730454 |
1770726 |
1883385 |
1860265 |
1897801 |
1978930 |
(b) Inland bills purchased |
5482 |
5887 |
7969 |
7299 |
7478 |
7506 |
(c) Inland bills discounted |
18264 |
19407 |
20529 |
20630 |
21552 |
24463 |
(d) Foreign bills purchased |
9165 |
9241 |
10668 |
10126 |
10699 |
11182 |
(e) Foreign bills discounted |
14958 |
14815 |
15585 |
15969 |
16190 |
16445 |
Note : $ Includes IDBI Bank Ltd. |
||||||
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Contd.) |
|||||||
(Amount in ` crore) |
|||||||
Item |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Old Private Sector Banks |
|||||||
No. of Reporting Banks |
15 |
15 |
15 |
15 |
15 |
14 |
14 |
I. Liabilities to the banking system |
1876 |
1682 |
1596 |
1567 |
1894 |
1106 |
1702 |
(a) Demand and time deposits from banks |
1355 |
1245 |
1226 |
1197 |
1042 |
561 |
957 |
(b) Borrowings from banks |
328 |
283 |
226 |
218 |
701 |
392 |
594 |
(c) Other demand and time liabilities |
193 |
153 |
144 |
152 |
152 |
154 |
151 |
II. Liabilities to others in India |
223168 |
226174 |
228057 |
228091 |
232986 |
222696 |
225030 |
(a) Aggregate deposits |
209590 |
214520 |
215993 |
215343 |
219839 |
210771 |
213098 |
(i) Demand deposits |
24677 |
24369 |
24765 |
24885 |
26310 |
26046 |
25756 |
(ii) Time Deposits |
184913 |
190151 |
191227 |
190458 |
193529 |
184724 |
187342 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
3665 |
2748 |
2668 |
3521 |
3230 |
3794 |
4066 |
(c) Other demand and time liabilities |
9913 |
8905 |
9396 |
9227 |
9917 |
8131 |
7866 |
III. Assets with the banking system |
3550 |
2051 |
2065 |
3342 |
2717 |
2132 |
2578 |
Money at call and short notice |
506 |
512 |
318 |
964 |
819 |
200 |
550 |
IV. Cash in hand |
1687 |
1822 |
1897 |
1941 |
1927 |
2172 |
2104 |
V. Investment in India |
59977 |
61711 |
62806 |
61840 |
63366 |
60365 |
61318 |
(a) Government securities |
59862 |
61600 |
62694 |
61729 |
63263 |
60298 |
61254 |
(b) Other approved securities |
114 |
111 |
111 |
111 |
103 |
67 |
64 |
VI Bank Credit |
153035 |
151675 |
152243 |
153712 |
156874 |
151096 |
154929 |
(a) Loans cash credit and overdrafts |
144885 |
143909 |
144909 |
146123 |
148371 |
142807 |
146910 |
(b) Inland bills purchased |
1725 |
1600 |
1617 |
1531 |
1478 |
1423 |
1407 |
(c) Inland bills discounted |
3979 |
3829 |
3455 |
3803 |
4752 |
4626 |
4242 |
(d) Foreign bills purchased |
1396 |
1285 |
1202 |
1191 |
1240 |
1233 |
1369 |
(e) Foreign bills discounted |
1051 |
1053 |
1060 |
1064 |
1033 |
1007 |
1000 |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Contd.) |
||||||
(Amount in ` crore) |
||||||
Item |
As on the last reporting Friday of |
|||||
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2010 |
2010 |
2010 |
2011 |
2011 |
2011 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Old Private Sector Banks |
||||||
No. of Reporting Banks |
14 |
14 |
14 |
14 |
14 |
14 |
I. Liabilities to the banking system |
1694 |
2572 |
1708 |
1696 |
1928 |
2008 |
(a) Demand and time deposits from banks |
921 |
1000 |
1357 |
1137 |
1272 |
1514 |
(b) Borrowings from banks |
611 |
1418 |
204 |
410 |
508 |
348 |
(c) Other demand and time liabilities |
162 |
153 |
146 |
150 |
148 |
146 |
II. Liabilities to others in India |
228136 |
230103 |
242177 |
240609 |
246436 |
258754 |
(a) Aggregate deposits |
216320 |
218955 |
227917 |
228199 |
234037 |
246334 |
(i) Demand deposits |
23477 |
21820 |
23841 |
22608 |
22575 |
25466 |
(ii) Time Deposits |
192843 |
197135 |
204076 |
205591 |
211462 |
220868 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
3656 |
3038 |
3405 |
3585 |
3621 |
3632 |
(c) Other demand and time liabilities |
8161 |
8111 |
10855 |
8825 |
8778 |
8788 |
III. Assets with the banking system |
2520 |
2415 |
4484 |
2411 |
2992 |
3965 |
Money at call and short notice |
330 |
40 |
815 |
410 |
125 |
530 |
IV. Cash in hand |
2215 |
2234 |
2326 |
2282 |
2059 |
2036 |
V. Investment in India |
61164 |
61040 |
61501 |
61420 |
61957 |
64809 |
(a) Government securities |
61103 |
60981 |
61443 |
61365 |
61904 |
64757 |
(b) Other approved securities |
61 |
59 |
58 |
54 |
53 |
52 |
VI Bank Credit |
158647 |
162054 |
169769 |
171326 |
175348 |
183364 |
(a) Loans cash credit and overdrafts |
150692 |
153953 |
161020 |
162948 |
166619 |
174167 |
(b) Inland bills purchased |
1453 |
1434 |
1851 |
1518 |
1711 |
1776 |
(c) Inland bills discounted |
4304 |
4292 |
4362 |
4366 |
4545 |
5052 |
(d) Foreign bills purchased |
1173 |
1334 |
1545 |
1444 |
1414 |
1291 |
(e) Foreign bills discounted |
1024 |
1041 |
992 |
1049 |
1060 |
1079 |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Contd.) |
|||||||
(Amount in ` crore) |
|||||||
Item |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
New Private Sector Banks |
|||||||
No. of Reporting Banks |
7 |
7 |
7 |
7 |
7 |
7 |
7 |
I. Liabilities to the banking system |
16029 |
15290 |
14459 |
15343 |
18657 |
17274 |
15226 |
(a) Demand and time deposits from banks |
10402 |
10696 |
10617 |
10850 |
11734 |
11536 |
11547 |
(b) Borrowings from banks |
5034 |
4460 |
3665 |
4334 |
6768 |
5591 |
3518 |
(c) Other demand and time liabilities |
593 |
133 |
176 |
158 |
155 |
146 |
161 |
II. Liabilities to others in India |
642534 |
631260 |
656377 |
648947 |
692342 |
704903 |
711268 |
(a) Aggregate deposits |
567848 |
557409 |
576545 |
575756 |
612992 |
623161 |
631300 |
(i) Demand deposits |
128971 |
107573 |
111534 |
107920 |
126828 |
120817 |
124874 |
(ii) Time Deposits |
438877 |
449836 |
465011 |
467836 |
486164 |
502345 |
506426 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
18434 |
27447 |
27626 |
27994 |
28503 |
31782 |
27412 |
(c) Other demand and time liabilities |
56252 |
46404 |
52207 |
45197 |
50848 |
49960 |
52556 |
III. Assets with the banking system |
13182 |
6993 |
6069 |
9422 |
10238 |
9230 |
10466 |
Money at call and short notice |
1325 |
228 |
362 |
1200 |
499 |
622 |
289 |
IV. Cash in hand |
6023 |
5766 |
5965 |
6414 |
6775 |
6667 |
7096 |
V. Investment in India |
168859 |
188555 |
196566 |
194357 |
200238 |
206869 |
201522 |
(a) Government securities |
168837 |
188533 |
196545 |
194336 |
200223 |
206819 |
201472 |
(b) Other approved securities |
22 |
21 |
21 |
21 |
15 |
51 |
50 |
VI Bank Credit |
431668 |
421839 |
425273 |
439282 |
462955 |
464516 |
472786 |
(a) Loans cash credit and overdrafts |
412424 |
405168 |
407088 |
422547 |
444438 |
447398 |
457195 |
(b) Inland bills purchased |
1123 |
666 |
763 |
519 |
424 |
391 |
433 |
(c) Inland bills discounted |
15655 |
13377 |
14848 |
13703 |
15869 |
14758 |
13315 |
(d) Foreign bills purchased |
998 |
913 |
925 |
968 |
802 |
692 |
530 |
(e) Foreign bills discounted |
1469 |
1715 |
1649 |
1544 |
1423 |
1277 |
1313 |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Contd.) |
||||||
(Amount in ` crore) |
||||||
Item |
As on the last reporting Friday of |
|||||
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2010 |
2010 |
2010 |
2011 |
2011 |
2011 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
New Private Sector Banks |
||||||
No. of Reporting Banks |
7 |
7 |
7 |
7 |
7 |
7 |
I. Liabilities to the banking system |
16869 |
14225 |
17969 |
16629 |
18830 |
20036 |
(a) Demand and time deposits from banks |
11484 |
10683 |
11881 |
11450 |
12007 |
11734 |
(b) Borrowings from banks |
5222 |
3398 |
5933 |
4849 |
6510 |
7964 |
(c) Other demand and time liabilities |
163 |
144 |
155 |
330 |
313 |
338 |
II. Liabilities to others in India |
751537 |
762409 |
744203 |
750885 |
760363 |
786940 |
(a) Aggregate deposits |
651783 |
681271 |
658108 |
665075 |
671538 |
689872 |
(i) Demand deposits |
93332 |
125970 |
122049 |
113807 |
110454 |
123693 |
(ii) Time Deposits |
558451 |
555301 |
536059 |
551268 |
561084 |
566180 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
27716 |
28296 |
31547 |
33803 |
35680 |
40785 |
(c) Other demand and time liabilities |
72037 |
52843 |
54548 |
52007 |
53144 |
56283 |
III. Assets with the banking system |
11069 |
12280 |
12801 |
10272 |
10234 |
11574 |
Money at call and short notice |
1167 |
1839 |
1514 |
1469 |
507 |
2261 |
IV. Cash in hand |
7320 |
7695 |
8656 |
7820 |
7474 |
7150 |
V. Investment in India |
210397 |
206716 |
197832 |
204022 |
203532 |
205765 |
(a) Government securities |
210345 |
206674 |
197792 |
203983 |
203494 |
205727 |
(b) Other approved securities |
53 |
42 |
40 |
39 |
38 |
38 |
VI Bank Credit |
481831 |
494764 |
519389 |
515235 |
528529 |
545789 |
(a) Loans cash credit and overdrafts |
467149 |
479741 |
504580 |
500938 |
513050 |
528216 |
(b) Inland bills purchased |
402 |
419 |
664 |
625 |
668 |
691 |
(c) Inland bills discounted |
12456 |
12728 |
12097 |
11505 |
12368 |
14569 |
(d) Foreign bills purchased |
517 |
559 |
568 |
580 |
575 |
635 |
(e) Foreign bills discounted |
1306 |
1317 |
1480 |
1587 |
1867 |
1676 |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Contd.) |
|||||||
(Amount in ` crore) |
|||||||
Item |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Foreign Banks |
|||||||
No. of Reporting Banks |
32 |
33 |
33 |
34 |
34 |
34 |
34 |
I. Liabilities to the banking system |
12140 |
6312 |
8419 |
11701 |
10572 |
10728 |
10030 |
(a) Demand and time deposits from banks |
2454 |
2190 |
2468 |
2745 |
2542 |
2498 |
2651 |
(b) Borrowings from banks |
8849 |
3410 |
5207 |
8378 |
7520 |
7739 |
6963 |
(c) Other demand and time liabilities |
836 |
712 |
744 |
577 |
510 |
491 |
416 |
II. Liabilities to others in India |
283054 |
277652 |
277976 |
282180 |
300994 |
294724 |
296635 |
(a) Aggregate deposits |
234639 |
228076 |
227468 |
226043 |
245711 |
243293 |
243706 |
(i) Demand deposits |
78254 |
71811 |
71607 |
70018 |
83321 |
78660 |
82473 |
(ii) Time Deposits |
156385 |
156265 |
155862 |
156025 |
162390 |
164632 |
161233 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
20668 |
23024 |
24442 |
27005 |
22511 |
25992 |
24559 |
(c) Other demand and time liabilities |
27746 |
26552 |
26066 |
29132 |
32772 |
25440 |
28370 |
III. Assets with the banking system |
24583 |
19199 |
17456 |
19688 |
24628 |
22719 |
25714 |
Money at call and short notice |
1503 |
1567 |
1117 |
830 |
3721 |
1354 |
2601 |
IV. Cash in hand |
576 |
615 |
698 |
675 |
810 |
932 |
963 |
V. Investment in India |
107898 |
113957 |
115866 |
121260 |
109835 |
120892 |
116746 |
(a) Government securities |
107892 |
113950 |
115860 |
121252 |
109827 |
120883 |
116737 |
(b) Other approved securities |
7 |
7 |
7 |
8 |
8 |
10 |
10 |
VI Bank Credit |
166861 |
160585 |
168152 |
174118 |
176624 |
173274 |
177838 |
(a) Loans cash credit and overdrafts |
146692 |
142213 |
147810 |
156078 |
155400 |
151760 |
154093 |
(b) Inland bills purchased |
1183 |
1190 |
1206 |
1090 |
1077 |
974 |
1187 |
(c) Inland bills discounted |
7672 |
7706 |
7615 |
7271 |
7600 |
6893 |
6405 |
(d) Foreign bills purchased |
3598 |
3354 |
4319 |
3747 |
5115 |
4621 |
5468 |
(e) Foreign bills discounted |
7715 |
6122 |
7202 |
5931 |
7432 |
9025 |
10684 |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Contd.) |
||||||
(Amount in ` crore) |
||||||
Item |
As on the last reporting Friday of |
|||||
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2010 |
2010 |
2010 |
2011 |
2011 |
2011 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Foreign Banks |
||||||
No. of Reporting Banks |
34 |
34 |
34 |
34 |
34 |
34 |
I. Liabilities to the banking system |
11937 |
9278 |
13647 |
10360 |
11847 |
12245 |
(a) Demand and time deposits from banks |
2660 |
2610 |
2626 |
2271 |
2579 |
2526 |
(b) Borrowings from banks |
8886 |
6224 |
10571 |
7653 |
8772 |
9168 |
(c) Other demand and time liabilities |
391 |
445 |
451 |
435 |
495 |
551 |
II. Liabilities to others in India |
387132 |
317934 |
288600 |
294909 |
295963 |
298459 |
(a) Aggregate deposits |
305323 |
259881 |
238211 |
241131 |
242731 |
242578 |
(i) Demand deposits |
141146 |
97060 |
81634 |
80543 |
82917 |
81043 |
(ii) Time Deposits |
164177 |
162821 |
156576 |
160588 |
159814 |
161535 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
20554 |
19596 |
20829 |
22950 |
24443 |
26160 |
(c) Other demand and time liabilities |
61255 |
38457 |
29561 |
30828 |
28789 |
29722 |
III. Assets with the banking system |
27739 |
27944 |
26043 |
27062 |
30043 |
31381 |
Money at call and short notice |
4204 |
3569 |
1868 |
2158 |
2090 |
1328 |
IV. Cash in hand |
1019 |
909 |
951 |
972 |
864 |
788 |
V. Investment in India |
135153 |
123978 |
111785 |
114075 |
109384 |
107448 |
(a) Government securities |
135143 |
123973 |
111780 |
114070 |
109379 |
107445 |
(b) Other approved securities |
11 |
5 |
5 |
5 |
5 |
3 |
VI Bank Credit |
176808 |
180464 |
190811 |
192863 |
195819 |
197897 |
(a) Loans cash credit and overdrafts |
155746 |
158422 |
167465 |
170288 |
172650 |
175084 |
(b) Inland bills purchased |
1198 |
1165 |
880 |
837 |
839 |
757 |
(c) Inland bills discounted |
8328 |
8548 |
7922 |
6885 |
7174 |
7114 |
(d) Foreign bills purchased |
5038 |
4266 |
5179 |
5159 |
4956 |
4606 |
(e) Foreign bills discounted |
6498 |
8063 |
9365 |
9694 |
10201 |
10336 |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Contd.) |
|||||||
(Amount in ` crore) |
|||||||
Item |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Regional Rural Banks |
|||||||
No. of Reporting Banks |
82 |
82 |
82 |
82 |
82 |
82 |
82 |
I. Liabilities to the banking system |
2229 |
2023 |
2219 |
2200 |
2161 |
2197 |
2015 |
(a) Demand and time deposits from banks |
1207 |
1250 |
1293 |
1265 |
1136 |
1189 |
1106 |
(b) Borrowings from banks |
978 |
745 |
925 |
928 |
999 |
993 |
900 |
(c) Other demand and time liabilities |
44 |
28 |
1 |
7 |
25 |
15 |
8 |
II. Liabilities to others in India |
139674 |
143075 |
143042 |
143404 |
144385 |
144809 |
146757 |
(a) Aggregate deposits |
135814 |
138954 |
139359 |
139636 |
140488 |
141228 |
143153 |
(i) Demand deposits |
28710 |
29737 |
30089 |
29963 |
29716 |
30155 |
30550 |
(ii) Time Deposits |
107104 |
109217 |
109270 |
109674 |
110772 |
111073 |
112604 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
196 |
187 |
191 |
191 |
188 |
7 |
6 |
(c) Other demand and time liabilities |
3664 |
3934 |
3493 |
3576 |
3708 |
3574 |
3598 |
III. Assets with the banking system |
37048 |
36654 |
35495 |
33916 |
32662 |
31904 |
32568 |
Money at call and short notice |
4266 |
4201 |
3697 |
3619 |
3622 |
3219 |
3028 |
IV. Cash in hand |
1434 |
1402 |
1353 |
1403 |
1371 |
1348 |
1391 |
V. Investment in India |
39229 |
40438 |
41360 |
41808 |
43604 |
43814 |
44510 |
(a) Government securities |
38201 |
39354 |
39634 |
40761 |
42560 |
42791 |
43474 |
(b) Other approved securities |
1029 |
1084 |
1726 |
1047 |
1044 |
1023 |
1036 |
VI. Bank Credit |
79086 |
79334 |
79841 |
80840 |
81582 |
83646 |
86287 |
(a) Loans cash credit and overdrafts |
79016 |
79281 |
79811 |
80820 |
81567 |
83627 |
86269 |
(b) Inland bills purchased |
52 |
45 |
23 |
13 |
9 |
10 |
12 |
(c) Inland bills discounted |
17 |
8 |
8 |
7 |
5 |
9 |
6 |
(d) Foreign bills purchased |
- |
- |
- |
- |
- |
- |
- |
(e) Foreign bills discounted |
- |
- |
- |
- |
- |
- |
- |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Contd.) |
||||||
(Amount in ` crore) |
||||||
Item |
As on the last reporting Friday of |
|||||
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2010 |
2010 |
2010 |
2011 |
2011 |
2011 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Regional Rural Banks |
||||||
No. of Reporting Banks |
82 |
82 |
82 |
82 |
82 |
82 |
I. Liabilities to the banking system |
2131 |
2044 |
2673 |
2621 |
2598 |
2887 |
(a) Demand and time deposits from banks |
852 |
762 |
859 |
856 |
800 |
862 |
(b) Borrowings from banks |
1265 |
1281 |
1813 |
1761 |
1787 |
2007 |
(c) Other demand and time liabilities |
14 |
1 |
- |
4 |
10 |
18 |
II. Liabilities to others in India |
148359 |
148731 |
153603 |
154090 |
156904 |
161061 |
(a) Aggregate deposits |
144466 |
144940 |
149566 |
150125 |
152496 |
156702 |
(i) Demand deposits |
30639 |
30171 |
32088 |
31842 |
32577 |
33663 |
(ii) Time Deposits |
113827 |
114769 |
117478 |
118284 |
119919 |
123039 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
5 |
7 |
5 |
4 |
5 |
8 |
(c) Other demand and time liabilities |
3888 |
3784 |
4032 |
3960 |
4403 |
4352 |
III. Assets with the banking system |
31765 |
31788 |
35995 |
35518 |
37520 |
41524 |
Money at call and short notice |
3370 |
3384 |
3866 |
3833 |
3811 |
3982 |
IV. Cash in hand |
1387 |
1461 |
1688 |
1444 |
1461 |
1671 |
V. Investment in India |
44837 |
44928 |
44801 |
44911 |
45214 |
45493 |
(a) Government securities |
43759 |
43819 |
43741 |
43929 |
44137 |
44262 |
(b) Other approved securities |
1077 |
1109 |
1060 |
982 |
1077 |
1231 |
VI. Bank Credit |
88815 |
89593 |
91587 |
91348 |
92716 |
94625 |
(a) Loans cash credit and overdrafts |
88792 |
89572 |
91435 |
91308 |
92659 |
94545 |
(b) Inland bills purchased |
16 |
14 |
48 |
33 |
51 |
71 |
(c) Inland bills discounted |
7 |
7 |
104 |
7 |
6 |
9 |
(d) Foreign bills purchased |
- |
- |
- |
- |
- |
- |
(e) Foreign bills discounted |
- |
- |
- |
- |
- |
- |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Contd.) |
|||||||
(Amount in ` crore) |
|||||||
Item |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Scheduled State Co-operative Banks |
|||||||
No. of Reporting Banks |
16 |
16 |
16 |
16 |
16 |
16 |
16 |
I. Liabilities to the banking system |
- |
- |
71 |
- |
61 |
110 |
118 |
(a) Demand and time deposits from banks |
- |
- |
- |
- |
- |
- |
- |
(b) Borrowings from banks |
- |
- |
71 |
- |
61 |
110 |
118 |
(c) Other demand and time liabilities |
- |
- |
- |
- |
- |
- |
- |
II. Liabilities to others in India |
68347 |
70098 |
68702 |
67972 |
66899 |
65189 |
63865 |
(a) Aggregate deposits |
65175 |
67256 |
65810 |
64755 |
63875 |
62675 |
61701 |
(i) Demand deposits |
4201 |
4105 |
3975 |
4375 |
4107 |
4064 |
6675 |
(ii) Time Deposits |
60974 |
63150 |
61834 |
60380 |
59768 |
58611 |
55026 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
650 |
200 |
456 |
840 |
260 |
235 |
25 |
(c) Other demand and time liabilities |
2522 |
2642 |
2437 |
2377 |
2764 |
2280 |
2138 |
III. Assets with the banking system |
25669 |
21899 |
20472 |
20286 |
19137 |
17597 |
16506 |
Money at call and short notice |
14909 |
12389 |
12311 |
12171 |
11430 |
10671 |
10092 |
IV. Cash in hand |
85 |
86 |
83 |
92 |
98 |
90 |
100 |
V. Investment in India |
23905 |
24713 |
24430 |
24657 |
23285 |
22770 |
22996 |
(a) Government securities |
21343 |
21602 |
21669 |
22086 |
21970 |
21515 |
21798 |
(b) Other approved securities |
2562 |
3111 |
2761 |
2571 |
1315 |
1255 |
1199 |
VI. Bank Credit |
43350 |
45234 |
44173 |
45242 |
48082 |
49023 |
49901 |
(a) Loans cash credit and overdrafts |
43340 |
45223 |
44162 |
45230 |
48071 |
49012 |
49892 |
(b) Inland bills purchased |
3 |
5 |
6 |
6 |
5 |
5 |
4 |
(c) Inland bills discounted |
- |
- |
- |
- |
- |
- |
- |
(d) Foreign bills purchased |
7 |
6 |
5 |
6 |
6 |
6 |
5 |
(e) Foreign bills discounted |
- |
- |
- |
- |
- |
- |
- |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Contd.) |
||||||
(Amount in ` crore) |
||||||
Item |
As on the last reporting Friday of |
|||||
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2010 |
2010 |
2010 |
2011 |
2011 |
2011 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Scheduled State Co-operative Banks |
||||||
No. of Reporting Banks |
16 |
16 |
16 |
16 |
16 |
16 |
I. Liabilities to the banking system |
120 |
86 |
85 |
1 |
55 |
1 |
(a) Demand and time deposits from banks |
- |
- |
- |
- |
- |
- |
(b) Borrowings from banks |
120 |
86 |
85 |
1 |
55 |
1 |
(c) Other demand and time liabilities |
- |
- |
- |
- |
- |
- |
II. Liabilities to others in India |
63362 |
62232 |
62561 |
62717 |
62354 |
63379 |
(a) Aggregate deposits |
60805 |
59795 |
59349 |
59125 |
58532 |
59385 |
(i) Demand deposits |
4023 |
4176 |
4371 |
4289 |
4061 |
4508 |
(ii) Time Deposits |
56783 |
55619 |
54978 |
54836 |
54470 |
54877 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
250 |
98 |
747 |
771 |
712 |
852 |
(c) Other demand and time liabilities |
2306 |
2338 |
2466 |
2821 |
3111 |
3142 |
III. Assets with the banking system |
16046 |
14976 |
15888 |
16241 |
15113 |
14611 |
Money at call and short notice |
9883 |
9420 |
9432 |
10165 |
9648 |
9866 |
IV. Cash in hand |
97 |
93 |
87 |
91 |
92 |
93 |
V. Investment in India |
22381 |
22834 |
21691 |
21715 |
21603 |
21329 |
(a) Government securities |
21184 |
21732 |
20719 |
20747 |
20640 |
20365 |
(b) Other approved securities |
1198 |
1102 |
971 |
968 |
963 |
963 |
VI. Bank Credit |
50808 |
51334 |
53619 |
54971 |
56544 |
58698 |
(a) Loans cash credit and overdrafts |
50795 |
51321 |
53606 |
54957 |
56529 |
58687 |
(b) Inland bills purchased |
5 |
7 |
6 |
8 |
11 |
9 |
(c) Inland bills discounted |
2 |
- |
- |
- |
- |
- |
(d) Foreign bills purchased |
6 |
6 |
8 |
5 |
3 |
1 |
(e) Foreign bills discounted |
- |
- |
- |
- |
- |
- |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Contd.) |
|||||||
(Amount in ` crore) |
|||||||
Item |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
2010 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Scheduled Urban Co-operative Banks |
|||||||
No. of Reporting Banks |
53 |
53 |
53 |
53 |
53 |
53 |
53 |
I. Liabilities to the banking system |
2463 |
2651 |
2773 |
2745 |
2810 |
2814 |
2859 |
(a) Demand and time deposits from banks |
2440 |
2646 |
2770 |
2704 |
2780 |
2796 |
2802 |
(b) Borrowings from banks |
18 |
1 |
1 |
38 |
25 |
14 |
51 |
(c) Other demand and time liabilities |
5 |
4 |
2 |
3 |
5 |
5 |
6 |
II. Liabilities to others in India |
81494 |
82620 |
82302 |
82925 |
84805 |
85579 |
86731 |
(a) Aggregate deposits |
77224 |
78600 |
78311 |
78797 |
80894 |
81799 |
82683 |
(i) Demand deposits |
10636 |
10527 |
10624 |
10652 |
11119 |
11237 |
11346 |
(ii) Time Deposits |
66588 |
68073 |
67687 |
68145 |
69775 |
70562 |
71336 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
1262 |
1234 |
1175 |
1254 |
1167 |
991 |
974 |
(c) Other demand and time liabilities |
3007 |
2786 |
2816 |
2874 |
2745 |
2789 |
3075 |
III. Assets with the banking system |
6832 |
6529 |
6878 |
7261 |
7407 |
7050 |
6680 |
Money at call and short notice |
558 |
712 |
819 |
590 |
781 |
545 |
459 |
IV. Cash in hand |
633 |
616 |
627 |
661 |
722 |
699 |
738 |
V. Investment in India |
29113 |
26844 |
26709 |
27984 |
29051 |
29630 |
29729 |
(a) Government securities |
28733 |
26476 |
26326 |
27653 |
28746 |
29319 |
29450 |
(b) Other approved securities |
380 |
368 |
382 |
331 |
305 |
311 |
279 |
VI. Bank Credit |
49522 |
49928 |
49831 |
49935 |
50652 |
51736 |
52895 |
(a) Loans cash credit and overdrafts |
47401 |
47850 |
47764 |
48061 |
48382 |
49257 |
50421 |
(b) Inland bills purchased |
669 |
718 |
786 |
774 |
934 |
1096 |
1143 |
(c) Inland bills discounted |
1104 |
1022 |
959 |
779 |
1015 |
1092 |
1034 |
(d) Foreign bills purchased |
66 |
80 |
63 |
60 |
66 |
48 |
67 |
(e) Foreign bills discounted |
282 |
259 |
259 |
261 |
255 |
242 |
229 |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BANK GROUP-WISE BUSINESS OF SCHEDULED BANKS IN INDIA 2010-11 (Concld.) |
||||||
(Amount in ` crore) |
||||||
Item |
As on the last reporting Friday of |
|||||
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2010 |
2010 |
2010 |
2011 |
2011 |
2011 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Scheduled Urban Co-operative Banks |
||||||
No. of Reporting Banks |
53 |
53 |
53 |
53 |
53 |
53 |
I. Liabilities to the banking system |
2784 |
2802 |
2855 |
2853 |
2864 |
2839 |
(a) Demand and time deposits from banks |
2755 |
2762 |
2709 |
2709 |
2728 |
2790 |
(b) Borrowings from banks |
24 |
32 |
140 |
139 |
132 |
45 |
(c) Other demand and time liabilities |
6 |
8 |
6 |
5 |
4 |
4 |
II. Liabilities to others in India |
88171 |
88487 |
90986 |
90578 |
90680 |
91867 |
(a) Aggregate deposits |
84288 |
84559 |
85977 |
86061 |
86554 |
87806 |
(i) Demand deposits |
11162 |
10557 |
11681 |
10380 |
10326 |
10338 |
(ii) Time Deposits |
73126 |
74002 |
74297 |
75681 |
76228 |
77468 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
1019 |
1083 |
1871 |
1507 |
1374 |
1095 |
(c) Other demand and time liabilities |
2864 |
2845 |
3138 |
3010 |
2752 |
2967 |
III. Assets with the banking system |
6675 |
6629 |
7634 |
6761 |
6857 |
6888 |
Money at call and short notice |
533 |
453 |
452 |
435 |
455 |
465 |
IV. Cash in hand |
789 |
865 |
681 |
754 |
686 |
671 |
V. Investment in India |
29760 |
29068 |
28226 |
28202 |
28080 |
27962 |
(a) Government securities |
29486 |
28117 |
27962 |
27943 |
27812 |
27703 |
(b) Other approved securities |
273 |
951 |
264 |
258 |
268 |
259 |
VI. Bank Credit |
53714 |
54710 |
56679 |
57555 |
58595 |
60062 |
(a) Loans cash credit and overdrafts |
51343 |
52536 |
54571 |
55572 |
56610 |
58076 |
(b) Inland bills purchased |
1024 |
786 |
636 |
921 |
524 |
513 |
(c) Inland bills discounted |
1041 |
1062 |
1159 |
776 |
1105 |
1149 |
(d) Foreign bills purchased |
51 |
75 |
64 |
32 |
76 |
42 |
(e) Foreign bills discounted |
255 |
250 |
249 |
254 |
280 |
282 |
Source : Form 'A' / ' B ' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |