(Amount in ₹ crore) |
| SCHEDULED COMMERCIAL BANKS (Including RRBs, SFBs and PBs) | ALL SCHEDULED BANKS |
08-Mar-2024 | 21-Feb-2025* | 07-Mar-2025* | 08-Mar-2024 | 21-Feb-2025* | 07-Mar-2025* |
I | LIABILITIES TO THE BKG.SYSTEM (A) | | | | | | |
| a) Demand & Time deposits from banks | 293601.63 | 272677.28 | 284322.07 | 297409.87 | 279042.72 | 289252.63** |
| b) Borrowings from banks | 180434.60 | 112778.14 | 113375.74 | 181080.82 | 112884.38 | 113395.68 |
| c) Other demand & time liabilities | 71907.57 | 36706.95 | 38843.52 | 72556.79 | 37065.37 | 39214.14 |
II | LIABILITIES TO OTHERS (A) | | | | | | |
| a) Deposits (other than from banks) | 20420081.85 | 22284304.53 | 22510122.50 | 20868129.56 | 22750013.44 | 22979257.16 |
| i) Demand | 2374550.16 | 2524095.14 | 2541481.36 | 2423942.56 | 2571677.20 | 2590168.30 |
| ii) Time | 18045531.68 | 19760209.39 | 19968641.13 | 18444186.99 | 20178336.24 | 20389088.86 |
| b) Borrowings @ | 762867.28 | 900975.06 | 939107.58 | 767410.17 | 906079.59 | 944306.62 |
| c) Other demand & time liabilities | 947681.54 | 1021607.55 | 1056076.73 | 961524.40 | 1035496.95 | 1070525.14 |
III | BORROWINGS FROM R.B.I. (B) | 89417.00 | 301901.00 | 183436.00 | 89452.11 | 301936.00 | 183436.00 |
| Against usance bills and / or prom. Notes | | | | | | |
IV | CASH | 98206.46 | 81159.47 | 83047.83 | 100448.75 | 83698.16 | 85344.26 |
V | BALANCES WITH R.B.I. (B) | 901857.14 | 888462.00 | 887266.98 | 921352.68 | 906789.00 | 905569.50 |
VI | ASSETS WITH BANKING SYSTEM | | | | | | |
| a) Balances with other banks | | | | | | |
| i) In current accounts | 10499.70 | 9179.51 | 10201.57 | 13324.07 | 11191.26 | 12509.09 |
| ii) In other accounts | 188067.74 | 195949.69 | 196502.53 | 232243.85 | 246628.29 | 249851.87 |
| b) Money at call & short notice | 13970.27 | 16291.51 | 28185.68 | 35378.84 | 32534.10 | 48074.89 |
| c) Advances to banks (i.e. due from bks.) | 47036.80 | 36994.53 | 38907.89 | 50170.98 | 41524.37 | 43678.72£ |
| d) Other assets | 106717.58 | 60964.46 | 62777.87 | 108995.79 | 63955.78 | 65774.54 |
VII | INVESTMENTS (At book value) | 6104703.78 | 6651031.12 | 6737320.05 | 6253210.58 | 6804610.89 | 6890883.36 |
| a) Central & State Govt. securities+ | 6103902.68 | 6650507.35 | 6736826.28 | 6246441.03 | 6796464.17 | 6882789.83 |
| b) Other approved securities | 801.10 | 523.77 | 493.77 | 6769.55 | 8146.73 | 8093.53 |
VIII | BANK CREDIT (Excluding Inter-Bank Advances) | 16313558.87 | 17989979.44 | 18128582.25 | 16746489.68 | 18451549.68 | 18594521.18 |
| a) Loans, cash credits & Overdrafts $ | 16028796.13 | 17665609.13 | 17799905.98 | 16458784.51 | 18123766.92 | 18261720.89 |
| b) Inland Bills purchased | 54933.33 | 72977.76 | 73940.35 | 54940.05 | 74635.50 | 76226.90 |
| c) Inland Bills discounted | 190663.83 | 214334.62 | 216713.04 | 192963.38 | 215454.96 | 217926.75 |
| d) Foreign Bills purchased | 16413.29 | 14897.05 | 15072.80 | 16651.28 | 15143.38 | 15316.89 |
| e) Foreign Bills discounted | 22752.29 | 22160.88 | 22950.07 | 23150.46 | 22548.91 | 23329.75 |