SDDS-NATIONAL SUMMARY DATA PAGE-INDIA | FINANCIAL SECTOR | Date Last Updated : July/03/2025 |
| Advance Release Calendar | | RBI - Reserve Bank of India | BSE - Bombay Stock Exchange | | SDDS Data Category and Component | Unit of Description | Period of Latest Data | Latest Data | Previous Data | Percentage change from previous to latest period |
| 1 | 2 | 3 | 4 | 5 | 6 |
| Analytical Accounts of the Banking Sector |
| Monetary Aggregates* | | | | | | | 1. Broad Money (M3) | ₹ Billion | June/13/2025 | 278424 | 253510.4 | 9.8 | | | | (278961.95) | | (9.6) | 2. Domestic Credit to General Government (1) | ₹ Billion | June/13/2025 | 85861.7 | 74254.9 | 15.6 | | | | (86327.57) | | (14.9) | 3. Other Domestic Credit | ₹ Billion | June/13/2025 | 187153.2 | 169644.5 | 10.3 | | | | (191137.75) | | (9.4) | 4. Net Foreign Exchange Assets of the Banking Sector | ₹ Billion | June/13/2025 | 63285.8 | 56318.1 | 12.4 | | | | | | |
| Analytical Accounts of the Central Bank - RBI * | | | |
| 1. Reserve Money | ₹ Billion | June/27/2025 | 49237.1 | 46951.4 | 4.9 | 2. Net RBI Credit to General Government (1) | ₹ Billion | June/27/2025 | 15133.6 | 10261.4 | - | 3. RBI Credit to Commercial Sector | ₹ Billion | June/27/2025 | 90.3 | 109.2 | - | 4. RBI's Claims on Banks | ₹ Billion | June/27/2025 | -3077.3 | -311.8 | - | 5. Net Foreign Exchange Assets of RBI | ₹ Billion | June/27/2025 | 58404.0 | 52870.1 | 10.5 |
| Interest Rates (2) |
| (in basis points) | 1. Bank Rate | Per cent per annum | June/27/2025 | 5.75 | 6.75 | -100 | 2. MCLR (1-Year)^ | Per cent per annum | June/27/2025 | 8.50-9.05 | 8.75-9.10 | | 3. Treasury Bill Rates | Per cent per annum | July/02/2025 | 5.3699 | 6.7810 | -141 |
| Stock Market | | 1. BSE (Sensex) | 1978-79=100 | July/03/2025 | 83239 | 79987 | 4.07 | | 2. Nifty 50^^^ | Nov/3/1995= 1000 | July/03/2025 | 25405 | 24287 | 4.61 | | | | | | | EXTERNAL SECTOR | | | | | | | | | | |
| Advance Release Calendar |
| SDDS Data Category and Component | Unit of Description | Period of Latest Data | Latest Data | Previous Data | Percentage change from Previous to latest period |
| 1 | 2 | 3 | 4 | 5 | 6 |
| Balance of Payments (3) | | | | |
| Current Account | | | | | | | | | | | | 1. Merchandise, net | US $ million | Jan/25-Mar/25 | -59,478.20 | -52,018.56 | 14.34 | 2. Services, net | US $ million | Jan/25-Mar/25 | 53,307.62 | 42,684.32 | 24.89 | 3. Transfers, net | US $ million | Jan/25-Mar/25 | 31,503.53 | 28,718.52 | 9.70 | 4. Income, net | US $ million | Jan/25-Mar/25 | -11,882.30 | -14,817.04 | -19.81 | 5. Current Account Balance | US $ million | Jan/25-Mar/25 | 13,450.64 | 4,567.24 | - | | | | | | | Capital Account | | | | | | | | | | | | 1. Foreign Investment | US $ million | Jan/25-Mar/25 | -5,492.25 | 13,690.54 | -140.12 | 2. Loans | US $ million | Jan/25-Mar/25 | 5,544.34 | 3,887.73 | 42.61 | 3. Banking Capital | US $ million | Jan/25-Mar/25 | -8,976.96 | 6,911.49 | -229.88 | 4. Rupee Debt Service | US $ million | Jan/25-Mar/25 | -7.21 | -7.28 | - | 5. Other Capital | US $ million | Jan/25-Mar/25 | 3,357.75 | 1,060.40 | 216.65 | 6. Capital Account Balance | US $ million | Jan/25-Mar/25 | -5,574.34 | 25,542.87 | -121.82 | 7. Errors and Ommissions | US $ million | Jan/25-Mar/25 | 912.28 | 643.50 | - | 8. Overall Balance | US $ million | Jan/25-Mar/25 | 8,788.58 | 30,753.60 | - |
| International Reserves # | US $ million | June/27/2025 | 7,02,784.41 | 6,51,997.00 | 50,787.41 | | 1. Foreign Currency Assets** | US $ million | June/27/2025 | 5,94,823.08 | 5,72,881.00 | 21,942.08 | 2. Gold $ | US $ million | June/27/2025 | 84,503.66 | 56,528.00 | 27,975.66 | 3. SDR ## | US $ million | June/27/2025 | 18,829.55 | 18,014.00 | 815.55 | 4. Reserve Position in IMF | US $ million | June/27/2025 | 4,628.12 | 4,573.00 | 55.12 |
| Reserves Template | US $ million | May-25 | | | | |
| International Investment Position (4) | | | | |
| SDDS Data Category and Component | Unit of Description | Period of Latest Data | Latest Data | Previous Data | Percentage change from Previous to latest period |
| 1 | 2 | 3 | 4 | 5 | 6 | I. Total Foreign Assets | US $ million | Mar-25 | 11,39,230.26 | 10,33,775.64 | 10.20 | (i) India's Direct Investment Abroad | US $ million | Mar-25 | 2,70,441.17 | 2,42,270.52 | 11.63 | (ii) Portfolio Investment | US $ million | Mar-25 | 13,762.99 | 12,469.06 | 10.38 | (iii) Other Investments | US $ million | Mar-25 | 1,86,699.88 | 1,32,617.21 | 40.78 | (iv) Reserve Assets | US $ million | Mar-25 | 6,68,326.22 | 6,46,418.85 | 3.39 | II. Total Foreign Liabilities | US $ million | Mar-25 | 14,69,257.04 | 13,94,976.62 | 5.32 | (i) Direct Investment in India | US $ million | Mar-25 | 5,56,812.25 | 5,42,952.21 | 2.55 | (ii) Portfolio Investment | US $ million | Mar-25 | 2,72,061.18 | 2,77,238.68 | -1.87 | (iii) Other Investments | US $ million | Mar-25 | 6,40,383.61 | 5,74,785.73 | 11.41 | III. Net International Investment Position | US $ million | Mar-25 | -3,30,026.78 | -3,61,200.98 | -8.63 | | | | | | |
| External Debt | | | | | | | 1. Multilateral | US $ million | Mar-25 | 80,483.42 | 77,945.62 | 3.26 | 2. Bilateral | US $ million | Mar-25 | 39,156.42 | 35,208.17 | 11.21 | 3. IMF | US $ million | Mar-25 | 21,987.09 | 21,910.14 | 0.35 | 4. Export Credit | US $ million | Mar-25 | 3,119.35 | 2,972.08 | 4.96 | 5. Commercial Borrowings | US $ million | Mar-25 | 2,91,626.20 | 2,50,449.42 | 16.44 | 6. NRI Deposits | US $ million | Mar-25 | 1,64,677.08 | 1,51,878.68 | 8.43 | 7. Rupee Debt*** | US $ million | Mar-25 | 805.85 | 852.30 | -5.45 | 8. Total Long Term Debt (1 to 7) | US $ million | Mar-25 | 6,01,855.41 | 5,41,216.42 | 11.20 | 9. Short Term Debt | US $ million | Mar-25 | 1,34,487.42 | 1,27,587.58 | 5.41 | 10. Grand Total (8+9) | US $ million | Mar-25 | 7,36,342.83 | 6,68,804.00 | 10.10 | | Exchange Rates (5) | | 1. Rupees per US Dollar | | July/03/2025 | 85.51 | 83.53 | -2.31 | 2. Rupees per Euro | | July/03/2025 | 100.89 | 89.72 | -11.07 | | Forward Premia (6) | | 1. 1-month | Per cent per annum | July/03/2025 | 1.53 | 1.12 | 0.41 | 2. 3-month | Per cent per annum | July/03/2025 | 1.65 | 1.14 | 0.51 | 3. 6-month | Per cent per annum | July/03/2025 | 1.81 | 1.29 | 0.52 |
| General Government Operations
| | | | | | Advance Release Calendar |
| SDDS Data Category and Component | Unit of Description | Period of Latest Data | Latest Data (7) 2024-25 BE | Previous Data (8) 2023-24 RE | Percentage change from Previous to latest period |
| 1 | 2 | 3 | 4 | 5 | 6 |
| I. Total Disbursements ◙ | ₹ Billion | April/24-Mar/25 | 98,007.98 | 91,107.25 | 7.6 | II. Total Receipts | ₹ Billion | April/24-Mar/25 | 96,504.88 | 90,549.99 | 6.6 | III. Gross Fiscal Deficit | ₹ Billion | April/24-Mar/25 | 24,729.12 | 26,446.42 | -6.5 | Financed by : | | | | | | A. Institution-wise (i+ii) | ₹ Billion | April/24-Mar/25 | 24,729.12 | 26,446.42 | -6.5 | (i) Domestic Financing | ₹ Billion | April/24-Mar/25 | 24,569.59 | 26,198.11 | -6.2 | (ii) External Financing | ₹ Billion | April/24-Mar/25 | 159.52 | 248.32 | -35.8 | B. Instrument-wise (i+ii) | ₹ Billion | April/24-Mar/25 | 24,729.12 | 26,446.42 | -6.5 | (i) Domestic Financing | ₹ Billion | April/24-Mar/25 | 24,569.59 | 26,198.11 | -6.2 | of which | | | | | | a) Market Borrowings @@ | ₹ Billion | April/24-Mar/25 | 19,837.57 | 19,629.69 | 1.1 | b) Small Savings & | ₹ Billion | April/24-Mar/25 | 4,475.11 | 4,341.51 | 3.1 | (ii) External Financing | ₹ Billion | April/24-Mar/25 | 159.52 | 248.32 | -35.8 |
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Footnotes | * Monetary growth rate is on year on year basis. | ^ MCLR (1-Year) relates to five major banks. | ^^^ CNX Nifty has been rebranded as Nifty 50 w.e.f. November 09, 2015 | # Variation in absolute form is shown. | ** Excludes US$ 250 million invested in foreign currency denominated bonds issued by IIFC (UK) since March 20, 2009. | $ : Includes Rs.31,463 crore (USD 6,699 million) reflecting the purchase of 200 metric tonnes of gold from IMF on November 3, 2009. | ## Includes SDRs 3,082.5 million allocated under general allocation and SDRs 214.57 million allocated under Special allocation by the IMF with effect from August 28, 2009 and September 9, 2009 respectively. | *** Debt denominated in Rupees and payable in exports. | ◙ Total disbursements/receipts are net of repayments of the Central Government [inclusive of repayments to National Small Savings Fund (NSSF)] and State governments. | @@: Borrowing through dated securieties and 364-day Treasury Bills | &: Represents investments in in Central and State Governments' Special Securities by National Small Saving Funds (NSSF). | (1) General Government includes Central and State Governments as local Governments are not permitted to borrow. | (2) Following a change in accounting practice w.e.f July 11, 2014, net liquidity injection/ absorption has been reclassified from net RBI credit to the government to RBI credit to banks and commercial sector. This has made a difference of ₹901 billion by way of decrease in net RBI credit to government offset by an increase in RBI credit to banks and commercial sector as of July 11, 2014. | (3) Data on the interest rate structure may be accessed at http://www.wss.rbi.org.in. | (4) Detail balance of payments (BoP) data as per IMF BPM5 are available at http://www.statistics.rbi.org.in. | (5) Detail International Investment Position data are available at http://www.statistics.rbi.org.in. | (6) Daily exchange rates for the US dollar, the Euro, the Pound Sterling and the Japanese Yen are available at https://fbil.org.in. | (7) Daily 1-month, 3-month and 6-month forward premia are available at https://fbil.org.in. | (8) BE : Budget estimate. | (9) RE : Revised estimate. | (10) Figures in parentheses include the impact of merger of a non-bank with a bank. |
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