(` Billion) |
Item |
As on the Last Reporting Friday (in case of March)/ Last Friday |
All Scheduled Banks |
All Scheduled Commercial Banks |
2012-13 |
2012 |
2013 |
2012-13 |
2012 |
2013 |
Oct. |
Sep. |
Oct. |
Oct. |
Sep. |
Oct. |
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
Number of Reporting Banks |
218 |
232 |
214 |
215 |
151 |
165 |
147 |
148 |
1 Liabilities to the Banking System |
1,368.2 |
1,188.0 |
1,113.0 |
1,006.9 |
1,331.0 |
1,153.9 |
1,073.4 |
965.3 |
1.1 Demand and Time Deposits from Banks |
879.3 |
796.2 |
749.0 |
747.8 |
846.5 |
765.1 |
712.9 |
711.5 |
1.2 Borrowings from Banks |
398.0 |
324.8 |
300.9 |
196.3 |
393.6 |
321.7 |
297.5 |
191.0 |
1.3 Other Demand and Time Liabilities |
90.9 |
67.1 |
63.0 |
62.8 |
90.9 |
67.0 |
63.0 |
62.7 |
2 Liabilities to Others |
75,818.5 |
71,686.3 |
81,233.5 |
82,266.1 |
73,837.5 |
69,786.6 |
79,142.0 |
80,153.8 |
2.1 Aggregate Deposits |
69,420.0 |
65,796.5 |
74,345.8 |
75,526.8 |
67,504.5 |
63,965.6 |
72,337.1 |
73,493.3 |
2.1.1 Demand |
6,783.3 |
6,203.5 |
7,034.6 |
6,839.6 |
6,623.0 |
6,046.5 |
6,872.2 |
6,675.2 |
2.1.2 Time |
62,636.7 |
59,593.0 |
67,311.2 |
68,687.1 |
60,881.5 |
57,919.1 |
65,464.9 |
66,818.0 |
2.2 Borrowings |
2,227.2 |
2,202.2 |
2,808.3 |
2,863.5 |
2,216.6 |
2,184.2 |
2,788.8 |
2,844.6 |
2.3 Other Demand and Time Liabilities |
4,171.3 |
3,687.6 |
4,079.4 |
3,875.8 |
4,116.3 |
3,636.8 |
4,016.1 |
3,816.0 |
3 Borrowings from Reserve Bank |
217.2 |
188.3 |
413.9 |
446.7 |
215.9 |
187.1 |
412.3 |
444.9 |
3.1 Against Usance Bills /Promissory Notes |
– |
– |
– |
– |
– |
– |
– |
– |
3.2 Others |
217.2 |
188.3 |
413.9 |
446.7 |
215.9 |
187.1 |
412.3 |
444.9 |
4 Cash in Hand and Balances with Reserve Bank |
3,320.9 |
3,673.1 |
3,802.8 |
3,748.9 |
3,227.6 |
3,573.3 |
3,701.8 |
3,644.2 |
4.1 Cash in Hand |
414.8 |
458.9 |
439.7 |
478.3 |
404.9 |
447.7 |
428.7 |
464.9 |
4.2 Balances with Reserve Bank |
2,906.1 |
3,214.1 |
3,363.1 |
3,270.6 |
2,822.7 |
3,125.6 |
3,273.1 |
3,179.3 |
5 Assets with the Banking System |
2,448.3 |
2,087.6 |
2,126.5 |
2,084.4 |
2,199.5 |
1,837.0 |
1,836.8 |
1,799.0 |
5.1 Balances with Other Banks |
1,051.5 |
904.0 |
1,079.8 |
1,151.0 |
960.8 |
805.3 |
974.8 |
1,051.1 |
5.1.1 In Current Account |
127.6 |
111.1 |
126.0 |
130.7 |
111.9 |
97.1 |
109.0 |
115.6 |
5.1.2 In Other Accounts |
923.9 |
792.9 |
953.8 |
1,020.3 |
848.9 |
708.2 |
865.9 |
935.6 |
5.2 Money at Call and Short Notice |
397.6 |
332.1 |
355.3 |
257.3 |
296.0 |
244.1 |
242.4 |
143.7 |
5.3 Advances to Banks |
136.1 |
90.6 |
147.1 |
126.1 |
126.9 |
76.6 |
141.8 |
120.7 |
5.4 Other Assets |
863.0 |
760.9 |
544.3 |
550.0 |
815.8 |
711.0 |
477.8 |
483.5 |
6 Investment |
20,660.3 |
20,263.5 |
21,919.8 |
22,444.1 |
20,061.0 |
19,681.5 |
21,266.3 |
21,792.3 |
6.1 Government Securities |
20,633.5 |
20,233.8 |
21,896.0 |
22,416.4 |
20,036.5 |
19,654.0 |
21,244.4 |
21,767.7 |
6.2 Other Approved Securities |
26.7 |
29.7 |
23.8 |
27.7 |
24.5 |
27.6 |
21.9 |
24.6 |
7 Bank Credit |
54,281.4 |
49,740.0 |
57,975.4 |
57,869.1 |
52,604.6 |
48,184.3 |
56,199.1 |
56,077.2 |
7a Food Credit |
1,045.6 |
1,068.5 |
1,096.0 |
1,081.0 |
964.2 |
987.2 |
985.6 |
970.6 |
7.1 Loans, Cash-credits and Overdrafts |
52,244.1 |
47,999.0 |
55,928.5 |
55,829.7 |
50,591.7 |
46,463.0 |
54,177.8 |
54,063.4 |
7.2 Inland Bills-Purchased |
253.1 |
216.2 |
323.8 |
356.8 |
248.6 |
210.9 |
320.3 |
353.3 |
7.3 Inland Bills-Discounted |
1,109.9 |
936.4 |
996.4 |
987.7 |
1,094.5 |
925.3 |
978.6 |
969.7 |
7.4 Foreign Bills-Purchased |
216.6 |
193.7 |
229.1 |
232.2 |
214.9 |
193.5 |
228.0 |
231.0 |
7.5 Foreign Bills-Discounted |
457.7 |
394.6 |
497.6 |
462.8 |
454.7 |
391.6 |
494.4 |
459.8 |
|