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18 Aug 2023

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
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 Jul. 14 Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 M3 22343760 23142932 -280429 -1.2 417167 2.0 799171 3.6 1534507 7.9 2232036 10.7 (23296927) (-126434) (-0.5) (953166) (4.3) (2386031) (11.4) 1 Components (1.1.+1.2+1.3+1.4) 1.1 Currency with the Public 3276436 3236656 2020 0.1 69445 2.3 -39780 -1.2 230512 8.0
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. 21 Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 Reserve Money 4386759 4342972 -10904 -0.3 847 0.0 -43787 -1.0 380413 10.3 273238 6.7 1 Components (1.1+1.2+1.3) 1.1 Currency in Circulation 3378521 3339215 -13079 -0.4 70004 2.2 -39306 -1.2 235653 7.9 135495 4.2 1.2 Bankers' Deposits with RBI 930477 932546 5582 0.6
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 17, 2023 - - - - 1256 91080 - - - -89824 Jul 18, 2023 - - - - 1148 80680 -241 - - -79773 Jul 19, 2023 - - - - 1207 66194 - - - -64987 Jul 20, 2023 - - - - 1131 70189 - 10 10 -69058 Jul 21, 2023 - - - - 2375 62325 667
Reserve Bank of India - Liabilities and Assets
(₹ Crore) Item 2022 2023 Variation Jul. 29 Jul. 21 Jul. 28 Week Year 1 2 3 4 5 1 Notes Issued 3156114 3308303 3293427 -14876 137313 1.1 Notes in Circulation 3156104 3308290 3293414 -14876 137310 1.2 Notes held in Banking Department 10 13 12 -1 2 2 Deposits 2.1 Central Government 101 101 100 -1 -1 2.2 Market Stabilisation Scheme 2.3 State Governments 42 42 42 0 0 2.4 Scheduled Commercial Banks 834457 872643 899279 26636 64823 2.5 Scheduled State Co-operative Banks 8140
Foreign Exchange Reserves
Item As on July 28, 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 4967138 603870 -8293 -3165 212873 25421 417486 29995 1.1 Foreign Currency Assets # 4403421 535337 -4118 -2416 214289 25645 350261 24079 1.2 Gold 369359 44904 -4502 -710 -2140 -296 55085 5262 1.3 SDRs 151715 18444 300 -29 551 52 9131 459 1.4 Reserve Position in the IMF 42642 5185 27 -11 174 19 3007 194 * Difference, i
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 865128 857466 870147 868939 854774 855827 899279 Cash Balance as percent of average daily CRR 97.3 97.1 102.2 103.7 103.1 1
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
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 Jul. 14 Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 M3 22343760 23142932 -280429 -1.2 417167 2.0 799171 3.6 1534507 7.9 2232036 10.7 (23296927) (-126434) (-0.5) (953166) (4.3) (2386031) (11.4) 1 Components (1.1.+1.2+1.3+1.4) 1.1 Currency with the Public 3276436 3236656 2020 0.1 69445 2.3 -39780 -1.2 230512 8.0
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. 28 Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 Reserve Money 4386759 4355101 12129 0.3 65116 1.6 -31658 -0.7 418046 11.3 221098 5.3 1 Components (1.1+1.2+1.3) 1.1 Currency in Circulation 3378521 3324339 -14876 -0.4 50998 1.6 -54182 -1.6 238066 8.1 139624 4.4 1.2 Bankers' Deposits with RBI 930477 959639 27093 2.
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. 24, 2023 - - - - 5226 68198 330 - - -62642 Jul. 25, 2023 - - - - 1413 94250 150 - - -92687 Jul. 26, 2023 - - - - 3123 92543 -480 - - -89900 Jul. 27, 2023 - - - - 772 108118 - - - -107346 Jul. 28, 2023 - - - 93761 254
Reserve Bank of India - Liabilities and Assets
(₹ Crore) Item 2022 2023 Variation Aug. 5 Jul. 28 Aug. 4 Week Year 1 2 3 4 5 1 Notes Issued 3166396 3293427 3296967 3541 130572 1.1 Notes in Circulation 3166385 3293414 3296956 3542 130571 1.2 Notes held in Banking Department 11 12 11 -1 1 2 Deposits 2.1 Central Government 101 100 101 1 0 2.2 Market Stabilisation Scheme 2.3 State Governments 42 42 42 0 0 2.4 Scheduled Commercial Banks 801142 899279 901315 2036 100173 2.5 Scheduled State Co-operative Banks 7664 8475 84
Foreign Exchange Reserves
Item As on August 4, 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 4982323 601453 15185 -2417 228058 23004 439708 28475 1.1 Foreign Currency Assets # 4418603 533400 15182 -1937 229471 23708 378009 23753 1.2 Gold 370124 44680 764 -224 -1376 -520 50511 4367 1.3 SDRs 151376 18274 -339 -171 212 -118 8424 243 1.4 Reserve Position in the IMF 42220 5099 -422 -86 -248 -66 2764 112 * Differ
Scheduled Commercial Banks - Business in India
(₹ Crore) Item Outstanding as on Jul. 28, 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 246865 1004 -4054 20746 5722 60350 1.2 Borrowings from Banks 193318 -3012 6055 126119 3452 148946 1.3 Other Demand and Time Liabilities 64792 1105 12663 6268 24318 22367 2 Liabilities to Others 2.1 Aggregate Deposits 19167113 136341 507000 1123199 142
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 Jul. 28 Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 M3 22343760 23259432 -38244 -0.2 538619 2.6 915672 4.1 1659572 8.6 2227084 10.6 1 Components (1.1.+1.2+1.3+1.4) (23409892) (112215) (0.5) (1066131) (4.8) (2377544) (11.3) 1.1 Currency with the Public 3276436 3215679 -20992 -0.6 28057 0.9 -60756 -1.9 224612 7.9
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 Aug. 04 Amount % Amount % Amount % Amount % Amount % 1 2 3 4 5 6 7 8 9 10 11 12 Reserve Money 4386759 4361448 6123 0.1 41903 1.0 -25311 -0.6 393287 10.6 250658 6.1 1 Components (1.1+1.2+1.3) 1.1 Currency in Circulation 3378521 3328104 3542 0.1 61280 2.0 -50417 -1.5 241014 8.2 133108 4.2 1.2 Bankers' Deposits with RBI 930477 961168 1529 0.2 -20
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. 31, 2023 - - - - 1668 65779 -476 - - -64587 Aug. 1, 2023 - - - - 1413 143264 - - - -141851 Aug. 2, 2023 - - - - 2232 173043 -598 - - -171409 Aug. 3, 2023 - - - - 1672 199047 -250 10 10 -197625 Aug. 4, 2023 - - - - 15
Reserve Bank of India - Liabilities and Assets
(₹ Crore) Item 2022 2023 Variation Aug. 12 Aug. 4 Aug. 11 Week Year 1 2 3 4 5 1 Notes Issued 3185364 3296967 3303141 6174 117777 1.1 Notes in Circulation 3185355 3296956 3303128 6172 117773 1.2 Notes held in Banking Department 9 11 13 1 4 2 Deposits 2.1 Central Government 100 101 100 -1 0 2.2 Market Stabilisation Scheme 2.3 State Governments 42 42 42 0 0 2.4 Scheduled Commercial Banks 809848 901315 912040 10725 102192 2.5 Scheduled State Co-operative Banks 8134 8487 8
Foreign Exchange Reserves
Item As on August 11, 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 4988363 602161 6040 708 234098 23712 442404 31421 1.1 Foreign Currency Assets # 4427048 534399 8444 999 237915 24708 388848 27405 1.2 Gold 367317 44340 -2807 -340 -4183 -861 43792 3721 1.3 SDRs 151801 18324 425 51 637 -68 7370 191 1.4 Reserve Position in the IMF 42198 5098 -23 -2 -271 -68 2394 103 * 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 August 11, 2023 = ₹ 889800 Crore 2023 Jul. 29 Jul. 30 Jul. 31 Aug. 1 Aug. 2 Aug. 3 Aug. 4 Aug. 5 Aug. 6 Aug. 7 Aug. 8 Aug. 9 Aug. 10 Aug. 11 1 2 3 4 5 6 7 8 9 10 11 12 13 14 Actual Cash Balance with RBI 886279 884655 925993 905066 886363 881927 901315 867742 865573 871997 876919 864931 830920 912040 Cash Balance as percent of average daily CRR 99.6 99.4 104.1 101.7 99.6 99.1 101.
Scheduled Commercial Banks - Business in India
(₹ Crore) Item Outstanding as on Jul. 28, 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 246865 1004 -4054 20746 5722 60350 1.2 Borrowings from Banks 193318 -3012 6055 126119 3452 148946 1.3 Other Demand and Time Liabilities 64792 1105 12663 6268 24318 22367 2 Liabilities to Others 2.1 Aggregate Deposits 19167113 136341 507000 1123199 142

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Page Last Updated on: July 19, 2024