Table 3 : Month-Wise Scheduled Commercial Banks' Business in India According to Bank Groups - 1998-99 (Part 2 of 2) - RBI - Reserve Bank of India
Table 3 : Month-Wise Scheduled Commercial Banks' Business in India According to Bank Groups - 1998-99 (Part 2 of 2)
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|
(Amount in Rs. crore) |
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As on the last Friday of |
||||||||
Items |
March |
April |
May |
June |
July |
August |
||
1998 |
1998 |
1998 |
1998 |
1998 |
1998 |
|||
|
|
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
Foreign Banks |
||||||||
No. of reporting banks |
41 |
41 |
42 |
42 |
42 |
42 |
||
I. |
Liabilities to the banking system |
6546 |
5523 |
6863 |
7733 |
6822 |
7473 |
|
(a) |
Demand and time deposits from banks |
1018 |
820 |
1123 |
1038 |
998 |
1263 |
|
(b) |
Borrowings from banks |
5468 |
4659 |
5687 |
6651 |
5758 |
6138 |
|
(c) |
Other demand and time liabilities |
60 |
44 |
53 |
44 |
66 |
72 |
|
II. |
Liabilities to others in India |
47524 |
49644 |
51955 |
53488 |
52882 |
51768 |
|
(a) |
Aggregate deposits |
41905 |
44257 |
45356 |
46185 |
47173 |
45674 |
|
(i) Demand deposits |
7980 |
8475 |
8346 |
8203 |
8757 |
8346 |
||
(ii) Time deposits |
33925 |
35782 |
37010 |
37982 |
38416 |
37328 |
||
(b) |
Borrowings (other than from RBI, |
1264 |
1273 |
2625 |
2742 |
1387 |
1495 |
|
IDBI, NABARD, EXIM Bank) |
||||||||
(c) |
Other demand and time liabilities |
4355 |
4114 |
3974 |
4561 |
4322 |
4600 |
|
III. |
Assets with the banking system |
1206 |
1212 |
943 |
1395 |
1388 |
1590 |
|
of which |
||||||||
Money at call and short notice |
607 |
610 |
401 |
770 |
742 |
932 |
||
IV. |
Cash in hand |
106 |
118 |
129 |
119 |
110 |
115 |
|
V. |
Investments in India |
14375 |
15070 |
15469 |
14850 |
15401 |
15074 |
|
(a) |
Government securities |
14084 |
14773 |
15173 |
14554 |
15106 |
14709 |
|
(b) |
Other approved securities |
291 |
297 |
296 |
296 |
295 |
365 |
|
VI. |
Bank credit |
29428 |
29794 |
29939 |
29119 |
28980 |
29734 |
|
(a) |
Loans, cash credit and overdrafts |
26689 |
26856 |
26957 |
26303 |
26091 |
26794 |
|
(b) |
Inland bills purchased |
292 |
282 |
301 |
296 |
276 |
349 |
|
(c) |
Inland bills discounted |
613 |
800 |
737 |
567 |
686 |
649 |
|
(d) |
Foreign bills purchased |
1008 |
1060 |
1025 |
1024 |
976 |
953 |
|
|
(e) |
Foreign bills discounted |
826 |
796 |
919 |
929 |
951 |
989 |
|
|
|
|
|
|
|
(Amount in Rs. crore) |
||
As on the last Friday of |
|||||||||
Items |
September |
October |
November |
December |
January |
February |
March |
||
1998 |
1998 |
1998 |
1998 |
1999 |
1999 |
1999 |
|||
|
|
|
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
Foreign Banks |
|||||||||
No. of reporting banks |
42 |
42 |
42 |
42 |
43 |
43 |
44 |
||
I. |
Liabilities to the banking system |
9588 |
11875 |
11629 |
11310 |
11753 |
12677 |
12505 |
|
(a) |
Demand and time deposits from banks |
1252 |
1595 |
1879 |
1785 |
2458 |
2497 |
2549 |
|
(b) |
Borrowings from banks |
8291 |
10246 |
9676 |
9480 |
9221 |
10091 |
9890 |
|
(c) |
Other demand and time liabilities |
45 |
34 |
74 |
45 |
74 |
89 |
66 |
|
II. |
Liabilities to others in India |
50696 |
52456 |
51431 |
52479 |
50548 |
50620 |
49507 |
|
(a) |
Aggregate deposits |
44832 |
45090 |
44406 |
44806 |
44232 |
44425 |
43345 |
|
(i) Demand deposits |
8166 |
8931 |
8224 |
8997 |
8469 |
8176 |
8924 |
||
(ii) Time deposits |
36666 |
36159 |
36182 |
35809 |
35763 |
36249 |
34421 |
||
(b) |
Borrowings (other than from |
1316 |
1910 |
2120 |
2581 |
1151 |
1078 |
938 |
|
RBI, IDBI, NABARD, EXIM Bank) |
|||||||||
(c) |
Other demand and time liabilities |
4548 |
5456 |
4905 |
5092 |
5165 |
5117 |
5224 |
|
III. |
Assets with the banking system |
1954 |
1277 |
1390 |
1589 |
1835 |
1410 |
1162 |
|
of which |
|||||||||
Money at call and short notice |
1206 |
426 |
577 |
653 |
695 |
320 |
354 |
||
IV. |
Cash in hand |
125 |
114 |
120 |
120 |
125 |
130 |
131 |
|
V. |
Investments in India |
15788 |
16724 |
17056 |
16955 |
16527 |
16091 |
16899 |
|
(a) |
Government securities |
15443 |
16346 |
16734 |
16681 |
16253 |
15801 |
16615 |
|
(b) |
Other approved securities |
345 |
378 |
322 |
274 |
274 |
290 |
284 |
|
VI. |
Bank credit |
29528 |
30232 |
29692 |
29670 |
29933 |
31058 |
30513 |
|
(a) |
Loans, cash credit and overdrafts |
26542 |
27237 |
26711 |
26732 |
27101 |
28121 |
27379 |
|
(b) |
Inland bills purchased |
327 |
364 |
378 |
320 |
339 |
462 |
452 |
|
(c) |
Inland bills discounted |
625 |
674 |
634 |
676 |
622 |
530 |
618 |
|
(d) |
Foreign bills purchased |
982 |
989 |
949 |
939 |
888 |
943 |
976 |
|
|
(e) |
Foreign bills discounted |
1052 |
968 |
1020 |
1003 |
983 |
1003 |
1088 |
- |
: |
Nil or negligible. |
Source |
: |
Form-A Return under Section 42(2) of RBI Act, 1934. |
|
|
|
|
|
|
(Amount in Rs. crore) |
||
As on the last Friday of |
||||||||
Items |
March |
April |
May |
June |
July |
August |
||
1998 |
1998 |
1998 |
1998 |
1998 |
1998 |
|||
|
|
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
Other Scheduled Commercial Banks |
||||||||
No. of reporting banks |
34 |
34 |
34 |
34 |
34 |
34 |
||
I. |
Liabilities to the banking system |
7381 |
7076 |
6311 |
6890 |
7154 |
7507 |
|
(a) |
Demand and time deposits from banks |
6602 |
6457 |
5615 |
5815 |
6387 |
6721 |
|
(b) |
Borrowings from banks |
741 |
557 |
643 |
1028 |
759 |
765 |
|
(c) |
Other demand and time liabilities |
38 |
62 |
53 |
46 |
8 |
21 |
|
II. |
Liabilities to others in India |
61818 |
64280 |
65788 |
65875 |
66748 |
66292 |
|
(a) |
Aggregate deposits |
58566 |
61050 |
62072 |
61988 |
63555 |
62989 |
|
(i) Demand deposits |
7824 |
7779 |
7841 |
8175 |
8977 |
8320 |
||
(ii) Time deposits |
50742 |
53271 |
54231 |
53813 |
54578 |
54669 |
||
(b) |
Borrowings (other than from RBI, |
8 |
17 |
630 |
912 |
47 |
112 |
|
IDBI, NABARD, EXIM Bank) |
||||||||
(c) |
Other demand and time liabilities |
3244 |
3213 |
3086 |
2975 |
3146 |
3191 |
|
III. |
Assets with the banking system |
3868 |
3252 |
2676 |
2533 |
2756 |
2629 |
|
of which |
||||||||
Money at call and short notice |
874 |
678 |
956 |
764 |
866 |
804 |
||
IV. |
Cash in hand |
487 |
555 |
642 |
667 |
685 |
680 |
|
V. |
Investments in India |
18802 |
20966 |
21016 |
20777 |
21788 |
22071 |
|
(a) |
Government securities |
17427 |
19603 |
19654 |
19406 |
20435 |
20714 |
|
(b) |
Other approved securities |
1375 |
1363 |
1362 |
1371 |
1353 |
1357 |
|
VI. |
Bank credit |
33791 |
34160 |
33837 |
33425 |
33717 |
33427 |
|
(a) |
Loans, cash credit and overdrafts |
27600 |
27753 |
27471 |
27324 |
27446 |
27393 |
|
(b) |
Inland bills purchased |
942 |
920 |
912 |
978 |
698 |
710 |
|
(c) |
Inland bills discounted |
3119 |
3585 |
3521 |
3285 |
3784 |
3559 |
|
(d) |
Foreign bills purchased |
1390 |
1083 |
1187 |
1170 |
1039 |
972 |
|
|
(e) |
Foreign bills discounted |
740 |
819 |
746 |
667 |
750 |
793 |
|
|
|
|
|
|
(Amount in Rs. crore) |
|||
As on the last Friday of |
|||||||||
Items |
September |
October |
November |
December |
January |
February |
March |
||
1998 |
1998 |
1998 |
1998 |
1999 |
1999 |
1999 |
|||
|
|
|
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
Other Scheduled Commercial Banks |
|||||||||
No. of reporting banks |
34 |
34 |
34 |
34 |
34 |
34 |
34 |
||
I. |
Liabilities to the banking system |
7894 |
8062 |
8795 |
8873 |
8317 |
9445 |
10807 |
|
(a) |
Demand and time deposits from banks |
7470 |
7137 |
7105 |
7162 |
7014 |
7645 |
9100 |
|
(b) |
Borrowings from banks |
412 |
910 |
1669 |
1681 |
1275 |
1761 |
1676 |
|
(c) |
Other demand and time liabilities |
12 |
15 |
21 |
30 |
28 |
39 |
32 |
|
II. |
Liabilities to others in India |
67252 |
69748 |
70224 |
70725 |
71070 |
73690 |
75296 |
|
(a) |
Aggregate deposits |
64085 |
66027 |
66222 |
66384 |
67336 |
69622 |
70815 |
|
(i) Demand deposits |
8753 |
9204 |
8687 |
8828 |
9197 |
9225 |
10147 |
||
(ii) Time deposits |
55332 |
56823 |
57535 |
57556 |
58139 |
60397 |
60668 |
||
(b) |
Borrowings (other than from |
127 |
414 |
508 |
661 |
88 |
53 |
110 |
|
RBI, IDBI, NABARD, EXIM Bank) |
|||||||||
(c) |
Other demand and time liabilities |
3040 |
3307 |
3494 |
3680 |
3646 |
4015 |
4371 |
|
III. |
Assets with the banking system |
2894 |
3502 |
3016 |
2785 |
3045 |
3565 |
4236 |
|
of which |
|||||||||
Money at call and short notice |
863 |
1485 |
729 |
596 |
903 |
1176 |
730 |
||
IV. |
Cash in hand |
618 |
701 |
563 |
541 |
684 |
584 |
617 |
|
V. |
Investments in India |
22167 |
22503 |
22757 |
22967 |
23058 |
23105 |
23347 |
|
(a) |
Government securities |
20804 |
21142 |
21399 |
21617 |
21711 |
21755 |
21962 |
|
(b) |
Other approved securities |
1363 |
1361 |
1358 |
1350 |
1347 |
1350 |
1385 |
|
VI. |
Bank credit |
33799 |
34809 |
34963 |
35746 |
37002 |
38226 |
40191 |
|
(a) |
Loans, cash credit and overdrafts |
27871 |
28769 |
28893 |
29497 |
30452 |
31504 |
32797 |
|
(b) |
Inland bills purchased |
679 |
758 |
779 |
661 |
686 |
675 |
779 |
|
(c) |
Inland bills discounted |
3429 |
3458 |
3493 |
3730 |
3878 |
3969 |
4229 |
|
(d) |
Foreign bills purchased |
990 |
998 |
1009 |
1053 |
1109 |
1177 |
1393 |
|
|
(e) |
Foreign bills discounted |
830 |
826 |
789 |
805 |
877 |
900 |
993 |
- |
: |
Nil or negligible. |
Source |
: |
Form-A Return under Section 42(2) of RBI Act, 1934. |