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28 Jul 2023

Reserve Bank of India - Liabilities and Assets
(₹ Crore) Item 2022 2023 Variation Jul. 1 Jun. 23 Jun. 30 Week Year 1 2 3 4 5 1 Notes Issued 3173681 3341469 3329505 -11964 155824 1.1 Notes in Circulation 3173670 3341455 3329493 -11962 155823 1.2 Notes held in Banking Department 11 14 12 -2 1 2 Deposits 2.1 Central Government 101 101 101 0 0 2.2 Market Stabilisation Scheme 2.3 State Governments 42 42 42 0 0 2.4 Scheduled Commercial Banks 793717 838532 871167 32635 77450 2.5 Scheduled State Co-operative Banks 8759 83
Foreign Exchange Reserves
Item As on June 30, 2023 Variation over Week End-March 2023 Year ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. 1 2 3 4 5 6 7 8 1 Total Reserves 4881602 595051 15161 1853 127337 16602 237897 6737 1.1 Foreign Currency Assets # 4331357 527979 20793 2539 142224 18287 189496 3234 1.2 Gold 359585 43832 -3874 -472 -11914 -1368 40530 3410 1.3 SDRs 149626 18239 -782 -95 -1538 -153 6496 105 1.4 Reserve Position in the IMF 41035 5002 -975 -118 -1434 -164 1375 -13 * Dif
Cash Balances of Scheduled Commercial Banks (excluding Regional Rural Banks) with RBI
(Amount in ₹ Crore) Average daily cash reserve requirement (CRR) for the fortnight ending June 30, 2023 = ₹ 855815 Crore 2023 Jun. 17 Jun. 18 Jun. 19 Jun. 20 Jun. 21 Jun. 22 Jun. 23 Jun. 24 Jun. 25 Jun. 26 Jun. 27 Jun. 28 Jun. 29 Jun. 30 1 2 3 4 5 6 7 8 9 10 11 12 13 14 Actual Cash Balance with RBI 842437 839968 907629 883688 846080 831415 838532 834543 832897 840407 861332 877014 870775 871167 Cash Balance as percent of average daily CRR 98.4 98.1 106.1 103.3 98.9 97
Scheduled Commercial Banks - Business in India
(₹ Crore) Item Outstanding as on Jun. 16, 2023 Variation over Fortnight Financial year so far Year-on-Year 2022-23 2023-24 2022 2023 1 2 3 4 5 6 1 Liabilities to the Banking System 1.1 Demand and Time Deposits from Banks 244966 -4810 -3610 18847 1915 58007 1.2 Borrowings from Banks 39770 5011 19784 -27429 17427 -18332 1.3 Other Demand and Time Liabilities 60482 420 9565 1958 21096 21155 2 Liabilities to Others 2.1 Aggregate Deposits 18567900 -135535 104004 523986 1270
Money Stock : Components and Sources
(₹ Crore) Item Outstanding as on Variation over 2023 Fortnight Financial Year so far Year-on-Year 2022-23 2023-24 2022 2023 Mar. 31 Jun. 16 Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 M3 22343760 22858326 -150324 -0.7 170088 0.8 514565 2.3 1494252 7.8 2194509 10.6 1 Components (1.1.+1.2+1.3+1.4) 1.1 Currency with the Public 3276436 3269646 -13135 -0.4 68462 2.3 -6790 -0.2 216891 7.5 165495 5.3 1.2 Demand Deposits with Banks 2320598 2299247
Reserve Money : Components and Sources
(₹ Crore) Item Outstanding as on Variation over 2023 Week Financial Year so far Year-on-Year 2022-23 2023-24 2022 2023 Mar. 31 Jun. 30 Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 Reserve Money 4386759 4370091 31654 0.7 42992 1.1 -16668 -0.4 385369 10.3 258212 6.3 1 Components (1.1+1.2+1.3) 1.1 Currency in Circulation 3378521 3360184 -11962 -0.4 68404 2.2 -18336 -0.5 228840 7.7 158064 4.9 1.2 Bankers' Deposits with RBI 930477 931226 33844 3.
Liquidity Operations by RBI
(₹ Crore) Date Liquidity Adjustment Facility Standing Liquidity Facilities OMO (Outright) Net Injection (+)/ Absorption (-) (1+3+5+7+9-2-4-6-8) Repo Reverse Repo Variable Rate Repo Variable Rate Reverse Repo MSF SDF Sale Purchase 1 2 3 4 5 6 7 8 9 10 Jun 26, 2023 - - - - 34684 75745 150 - - -40911 Jun 27, 2023 - - - - 48323 79088 - - - -30765 Jun 28, 2023 - - - - 71050 97971 - - - -26921 Jun 29, 2023 - - - - 14471 21790 - - - -7319 Jun 30, 2023 - - - 11789 31256 16076
Reserve Bank of India - Liabilities and Assets
(₹ Crore) Item 2022 2023 Variation Jul. 8 Jun. 30 Jul. 7 Week Year 1 2 3 4 5 1 Notes Issued 3196531 3329505 3334893 5388 138362 1.1 Notes in Circulation 3196521 3329493 3334881 5388 138359 1.2 Notes held in Banking Department 10 12 12 0 3 2 Deposits 2.1 Central Government 100 101 100 -1 0 2.2 Market Stabilisation Scheme 2.3 State Governments 43 42 42 0 0 2.4 Scheduled Commercial Banks 757839 871167 864390 -6777 106550 2.5 Scheduled State Co-operative Banks 7812 9040 8
Foreign Exchange Reserves
Item As on July 7, 2023 Variation over Week End-March 2023 Year ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. 1 2 3 4 5 6 7 8 1 Total Reserves 4933658 596280 52056 1229 179393 17831 332955 16027 1.1 Foreign Currency Assets # 4376744 528968 45387 989 187611 19277 268907 10879 1.2 Gold 364561 44060 4976 228 -6939 -1140 53862 4874 1.3 SDRs 150875 18235 1249 -4 -289 -158 8061 223 1.4 Reserve Position in the IMF 41479 5017 444 15 -990 -148 2126 51 * Difference, i
Scheduled Commercial Banks - Business in India
(₹ Crore) Item Outstanding as on Jun. 30, 2023 Variation over Fortnight Financial year so far Year-on-Year 2022-23 2023-24 2022 2023 1 2 3 4 5 6 1 Liabilities to the Banking System 1.1 Demand and Time Deposits from Banks 263210 18244 2975 37091 16771 69666 1.2 Borrowings from Banks 39667 -103 30892 -27533 29258 -29542 1.3 Other Demand and Time Liabilities 61850 787 9899 3326 22187 22190 2 Liabilities to Others 2.1 Aggregate Deposits 19159901 591944 495858 1115987 1509
Money Stock : Components and Sources
(₹ Crore) Item Outstanding as on Variation over 2023 Fortnight Financial Year so far Year-on-Year 2022-23 2023-24 2022 2023 Mar. 31 Jun. 30 Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 M3 22343760 23428425 570012 2.5 546847 2.7 1084665 4.9 1727244 8.9 2387849 11.3 1 Components (1.1.+1.2+1.3+1.4) 1.1 Currency with the Public 3276436 3234403 -35274 -1.1 46406 1.5 -42033 -1.3 207366 7.2 152308 4.9 1.2 Demand Deposits with Banks 2320598 2590448
Reserve Money : Components and Sources
(₹ Crore) Item Outstanding as on Variation over 2023 Week Financial Year so far Year-on-Year 2022-23 2023-24 2022 2023 Mar. 31 Jul. 07 Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 Reserve Money 4386759 4363556 -6768 -0.2 25896 0.6 -23203 -0.5 392052 10.6 268774 6.6 1 Components (1.1+1.2+1.3) 1.1 Currency in Circulation 3378521 3365805 5388 0.2 91256 2.9 -12715 -0.4 239566 8.0 140833 4.4 1.2 Bankers' Deposits with RBI 930477 923629 -7597 -0.8
Liquidity Operations by RBI
(₹ Crore) Date Liquidity Adjustment Facility Standing Liquidity Facilities OMO (Outright) Net Injection (+)/ Absorption (-) (1+3+5+7+9-2-4-6-8) Repo Reverse Repo Variable Rate Repo Variable Rate Reverse Repo MSF SDF Sale Purchase 1 2 3 4 5 6 7 8 9 10 Jul 3, 2023 - - - 63843 964 162473 - - - -225352 Jul 4, 2023 - - - 67295 1534 103924 -477 - - -170162 Jul 5, 2023 - - - 87870 3581 86261 -599 - - -171149 Jul 6, 2023 - - - 39000 2349 123240 605 - - -159286 Jul 7, 2023 - -
Reserve Bank of India - Liabilities and Assets
(₹ Crore) Item 2022 2023 Variation Jul. 15 Jul. 7 Jul. 14 Week Year 1 2 3 4 5 1 Notes Issued 3187371 3334893 3321381 -13512 134011 1.1 Notes in Circulation 3187360 3334881 3321369 -13512 134009 1.2 Notes held in Banking Department 10 12 12 0 2 2 Deposits 2.1 Central Government 101 100 100 0 0 2.2 Market Stabilisation Scheme 2.3 State Governments 42 42 42 0 0 2.4 Scheduled Commercial Banks 795474 864390 866893 2503 71419 2.5 Scheduled State Co-operative Banks 8102 8373
Foreign Exchange Reserves
Item As on July 14, 2023 Variation over Week End-March 2023 Year ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. 1 2 3 4 5 6 7 8 1 Total Reserves 5004017 609022 70359 12743 249752 30573 428827 36311 1.1 Foreign Currency Assets # 4438291 540166 61547 11198 249158 30475 351600 28604 1.2 Gold 371364 45197 6803 1137 -135 -3 64949 6841 1.3 SDRs 151878 18484 1004 250 714 92 9228 628 1.4 Reserve Position in the IMF 42484 5175 1005 158 15 9 3050 238 * Difference, if a
Cash Balances of Scheduled Commercial Banks (excluding Regional Rural Banks) with RBI
(Amount in ₹ Crore) Average daily cash reserve requirement (CRR) for the fortnight ending July 14, 2023 = ₹849180 Crore 2023 Jul. 1 Jul. 2 Jul. 3 Jul. 4 Jul. 5 Jul. 6 Jul. 7 Jul. 8 Jul. 9 Jul. 10 Jul. 11 Jul. 12 Jul. 13 Jul. 14 1 2 3 4 5 6 7 8 9 10 11 12 13 14 Actual Cash Balance with RBI 896002 885539 838432 842190 836916 827895 864390 852425 850505 825718 858993 824300 820984 866893 Cash Balance as percent of average daily CRR 105.5 104.3 98.7 99.2 98.6 97.5 101.8 1
Scheduled Commercial Banks - Business in India
(₹ Crore) Item Outstanding as on Jun. 30, 2023 Variation over Fortnight Financial year so far Year-on-Year 2022-23 2023-24 2022 2023 1 2 3 4 5 6 1 Liabilities to the Banking System 1.1 Demand and Time Deposits from Banks 263210 18244 2975 37091 16771 69666 1.2 Borrowings from Banks 39667 -103 30892 -27533 29258 -29542 1.3 Other Demand and Time Liabilities 61850 787 9899 3326 22187 22190 2 Liabilities to Others 2.1 Aggregate Deposits 19159901 591944 495858 1115987 1509
Money Stock : Components and Sources
(₹ Crore) Item Outstanding as on Variation over 2023 Fortnight Financial Year so far Year-on-Year 2022-23 2023-24 2022 2023 Mar. 31 Jun. 30 Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 M3 22343760 23428425 570012 2.5 546847 2.7 1084665 4.9 1727244 8.9 2387849 11.3 1 Components (1.1.+1.2+1.3+1.4) 1.1 Currency with the Public 3276436 3234403 -35274 -1.1 46406 1.5 -42033 -1.3 207366 7.2 152308 4.9 1.2 Demand Deposits with Banks 2320598 2590448
Reserve Money : Components and Sources
(₹ Crore) Item Outstanding as on Variation over 2023 Week Financial Year so far Year-on-Year 2022-23 2023-24 2022 2023 Mar. 31 Jul. 14 Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 Reserve Money 4386759 4353876 -9680 -0.2 55627 1.4 -32882 -0.7 390862 10.5 229363 5.6 1 Components (1.1+1.2+1.3) 1.1 Currency in Circulation 3378521 3352294 -13512 -0.4 82095 2.6 -26227 -0.8 238352 8.0 136482 4.2 1.2 Bankers' Deposits with RBI 930477 926964 3335 0.
Liquidity Operations by RBI
(₹ Crore) Date Liquidity Adjustment Facility Standing Liquidity Facilities OMO (Outright) Net Injection (+)/ Absorption (-) (1+3+5+7+9-2-4-6-8) Repo Reverse Repo Variable Rate Repo Variable Rate Reverse Repo MSF SDF Sale Purchase 1 2 3 4 5 6 7 8 9 10 Jul 10, 2023 - - - - 5183 59761 - - - -54578 Jul 11, 2023 - - - 40291 868 100814 - - - -140237 Jul 12, 2023 - - - - 935 144623 - - - -143688 Jul 13, 2023 - - - - 959 170449 - - 10 -169480 Jul 14, 2023 - - - 59875 1836 135
Reserve Bank of India - Liabilities and Assets
(₹ Crore) Item 2022 2023 Variation Jul. 22 Jul. 14 Jul. 21 Week Year 1 2 3 4 5 1 Notes Issued 3175279 3321381 3308303 -13079 133024 1.1 Notes in Circulation 3175269 3321369 3308290 -13079 133021 1.2 Notes held in Banking Department 10 12 13 1 3 2 Deposits 2.1 Central Government 100 100 101 1 1 2.2 Market Stabilisation Scheme 2.3 State Governments 42 42 42 0 0 2.4 Scheduled Commercial Banks 754119 866893 872643 5750 118524 2.5 Scheduled State Co-operative Banks 7791 91
Foreign Exchange Reserves
Item As on July 21, 2023 Variation over Week End-March 2023 Year ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. ₹ Cr. US$ Mn. 1 2 3 4 5 6 7 8 1 Total Reserves 4975431 607035 -28586 -1987 221166 28586 406628 35475 1.1 Foreign Currency Assets # 4407539 537752 -30751 -2414 218407 28061 329722 27616 1.2 Gold 373862 45614 2497 417 2362 414 66096 7112 1.3 SDRs 151414 18474 -464 -11 250 82 7827 511 1.4 Reserve Position in the IMF 42616 5196 132 21 147 30 2983 236 * Difference, if
Cash Balances of Scheduled Commercial Banks (excluding Regional Rural Banks) with RBI
(Amount in ₹ Crore) Average daily cash reserve requirement (CRR) for the fortnight ending July 28, 2023 = ₹ 877407 Crore 2023 Jul. 15 Jul. 16 Jul. 17 Jul. 18 Jul. 19 Jul. 20 Jul. 21 Jul. 22 Jul. 23 Jul. 24 Jul. 25 Jul. 26 Jul. 27 Jul. 28 1 2 3 4 5 6 7 8 9 10 11 12 13 14 Actual Cash Balance with RBI 853819 852168 896955 909543 904839 903098 872643 Cash Balance as percent of average daily CRR 97.3 97.1 102.2 103.7 103.1 102.9 99.5
Scheduled Commercial Banks - Business in India
(₹ Crore) Item Outstanding as on Jul. 14, 2023 Variation over Fortnight Financial year so far Year-on-Year 2022-23 2023-24 2022 2023 1 2 3 4 5 6 1 Liabilities to the Banking System 1.1 Demand and Time Deposits from Banks 245853 -11759 -4342 19734 -972 59626 1.2 Borrowings from Banks 162153 122414 23088 94954 18973 100747 1.3 Other Demand and Time Liabilities 63689 2184 11354 5164 23306 22573 2 Liabilities to Others 2.1 Aggregate Deposits 19030038 -124565 344688 986124

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Page Last Updated on: June 28, 2024