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Date : Sep 15, 2018
Table 176 : Liquidity Aggregates
(₹ Billion)
Year / Month NM3 Postal Deposits L1 (2+3) Liabilities of Financial Institutions L2 (4+8) Public Deposits with NBFCs L3 (9+10)
Term Money Borrowing CDs Tern Deposits Total (5+6+7)
1 2 3 4 5 6 7 8 9 10 11
2015-16                    
April 106851.03 1750.31 108601.34 26.56 0.31 2.45 29.32 108630.66 - -
May 107731.19 1771.23 109502.42 26.56 0.31 2.45 29.32 109531.74 - -
June 107728.89 1797.86 109526.75 26.56 0.31 2.45 29.32 109556.07 324.61 109880.68
July 108638.52 1826.81 110465.33 26.56 0.31 2.45 29.32 110494.65 - -
August 109280.89 1851.53 111132.42 26.56 0.31 2.45 29.32 111161.74 - -
September 109368.15 1873.97 111242.12 26.56 0.31 2.45 29.32 111271.44 344.21 111615.65
October 111418.61 1905.37 113323.98 26.56 0.31 2.45 29.32 113353.30 - -
November 111792.17 1938.46 113730.63 26.56 0.31 2.45 29.32 113759.95 - -
December 113093.25 1978.73 115071.98 26.56 0.31 2.45 29.32 115101.30 267.16 115368.46
January 114021.14 2006.87 116028.01 26.56 0.31 2.45 29.32 116057.33 - -
February 115557.53 2039.02 117596.55 26.56 0.31 2.45 29.32 117625.87 - -
March 116156.36 2084.11 118240.47 26.56 0.31 2.45 29.32 118269.79 282.30 118552.09
2016-17                    
April 118782.24 2121.43 120903.67 26.56 0.31 2.45 29.32 120932.99 - -
May 118790.12 2152.17 120942.29 26.56 0.31 2.45 29.32 120971.61 - -
June 119104.48 2181.62 121286.10 26.56 0.31 2.45 29.32 121315.42 290.26 121605.68
July 119937.91 2209.06 122146.97 26.56 0.31 2.45 29.32 122176.29 - -
August 120731.35 2237.44 122968.79 26.56 0.31 2.45 29.32 122998.11 - -
September 124893.10 2256.67 127149.77 26.56 0.31 2.45 29.32 127179.09 303.59 127482.68
October 124085.78 2277.85 126363.63 26.56 0.31 2.45 29.32 126392.95 - -
November 122736.53 2521.93 125258.46 26.56 0.31 2.45 29.32 125287.78 - -
December 122002.48 2549.61 124552.09 26.56 0.31 2.45 29.32 124581.41 314.04 124895.45
January 122907.72 2542.17 125449.89 26.56 0.31 2.45 29.32 125479.21 - -
February 124592.55 2544.33 127136.88 26.56 0.31 2.45 29.32 127166.20 - -
March 129706.30 2562.05 132268.35 26.56 0.31 2.45 29.32 132297.67 317.92 132615.59
2017-18                    
April 128462.87 2586.22 131049.09 26.56 0.31 2.45 29.32 131078.41 - -
May 128350.91 2613.09 130964.00 26.56 0.31 2.45 29.32 130993.32 - -
June 129107.25 2647.14 131754.39 26.56 0.31 2.45 29.32 131783.71 310.98 132094.69
July 129642.08 2683.03 132325.11 26.56 0.31 2.45 29.32 132354.43 - -
August 130471.84 2717.22 133189.06 26.56 0.31 2.45 29.32 133218.38 - -
September 133583.82 2752.44 136336.26 26.56 0.31 2.45 29.32 136365.58 313.62 136679.20
October 133013.27 2790.64 135803.91 26.56 0.31 2.45 29.32 135833.23 - -
November 133278.14 2828.55 136106.69 26.56 0.31 2.45 29.32 136136.01 - -
December 133905.28 2881.39 136786.67 26.56 0.31 2.45 29.32 136815.99 313.62 137129.61
January 135754.79 2922.54 138677.33 26.56 0.31 2.45 29.32 138706.65 - -
February 136947.04 2953.95 139900.99 26.56 0.31 2.45 29.32 139930.31 - -
March 141816.66 2953.95 144770.61 26.56 0.31 2.45 29.32 144799.93 313.62 145113.55
2018-19                    
April 141862.30 2953.95 144816.25 26.56 0.31 2.45 29.32 144845.57 - -
May 141970.93 2953.95 144924.88 26.56 0.31 2.45 29.32 144954.20 - -
June 142310.93 2953.95 145264.88 26.56 0.31 2.45 29.32 145294.20 313.62 145607.82
July 142652.13 2953.95 145606.08 26.56 0.31 2.45 29.32 145635.40 - -
CDs : Certificates of Deposit L1, L2 and L3 : Liquidity Aggregates NBFCs : Non-Banking Financial Companies
Notes : 1. Postal Deposits comprise post office savings bank deposits, post office time deposits, post office recurring deposits, other deposits and post office cumulative time deposits.
2. Financial Institutions (FIs), here, comprise IFCI, EXIM Bank, IIBI, SIDBI, NABARD, NHB, TFCI and IDFC.Since October 2004, data on Fl's do not include that of IDBI reflecting its conversion into a banking entity.
3. Since July 2001, the term money borrowings of the FIs comprise borrowings from corporate and others.
4. Since August 2002, Term Deposits include CP and Others.
5. Estimates of public deposits are generated on the basis of returns received from all NBFCs with public deposits of ₹ 200 million and more as had been recommended by the Working Group.
6. While L1 and L2 are compiled on a monthly basis, L3 is compiled on a quarterly basis.
7. :- Not Available
Also see Notes on Tables.

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