Appendix Table III.5 : Liquidity Aggregates (Outstanding Amounts)
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(Rupees crore)
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Liabilities of Financial Institutions
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Public
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Month
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Postal
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Term Money
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CDs
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Term
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Total
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Deposits
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NM3
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L1
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L2
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L3
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Deposits
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(2+3)
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Borrowings
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Deposits
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(5+6+7)
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(4+8)
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with
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(9+10)
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NBFCs
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1
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2
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3
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4
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5
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6
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7
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8
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9
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10
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11
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2002-03
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April
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14,50,542
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44,332
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14,94,874
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3,083
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602
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1,701
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5,386
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15,00,260
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May
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15,24,013
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45,061
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15,69,074
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2,668
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579
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2,391
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5,638
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15,74,712
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June
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15,29,150
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45,868
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15,75,018
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2,470
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531
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2,536
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5,537
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15,80,556
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19,764
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16,00,320
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July
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15,36,978
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46,893
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15,83,871
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2,920 |
460
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2,628
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6,008
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15,89,879
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August
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15,44,285
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47,658
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15,91,943
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2,950
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404
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2,780
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6,134
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15,98,077
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September
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15,55,029
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48,453
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16,03,482
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3,139
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409
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3,375
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6,923
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16,10,405
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18,662
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16,29,067
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October
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15,73,152
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49,230
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16,22,382
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2,221
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403
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3,374
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5,998
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16,28,380
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November
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15,93,978
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50,073
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16,44,051
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1,583
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406
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3,664
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5,653
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16,49,704
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December
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16,00,871
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51,105
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16,51,976
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1,594
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448
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3,754
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5,796
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16,57,772
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19,264
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16,77,036
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January
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16,12,135
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51,899
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16,64,034
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1,581
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449
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3,758
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5,788
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16,69,822
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February
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16,26,290
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53,609
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16,79,899
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1,563
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405
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3,732
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5,700
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16,85,598
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March
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16,41,542
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55,275
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16,96,817
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2,128
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355
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3,813
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6,296
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17,03,113
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19,906
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17,23,019
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2003-04
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April
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16,95,927
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55,841
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17,51,768
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2,228
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189
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3,845
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6,262
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17,58,030
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May
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17,15,021
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56,913
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17,71,934
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2,179
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189
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3,722
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6,090
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17,78,024
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June
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17,27,313
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58,336
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17,85,649
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2,351
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374
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3,898
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6,623
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17,92,272
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19,954
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18,12,226
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July
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17,35,700
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60,026
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17,95,726
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1,752
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368
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4,205
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6,325
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18,02,051
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August
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17,48,764
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61,181
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18,09,945
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1,769
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366
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4,184
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6,319
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18,16,264
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September
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17,61,591
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62,264
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18,23,855
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1,347
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363
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4,320
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6,030
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18,29,885
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20,368
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18,50,253
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October
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18,14,946
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63,648
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18,78,594
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1,269
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361
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4,150
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5,780
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18,84,374
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November
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18,36,664
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64,945
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19,01,609
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1,364
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356
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4,408
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6,128
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19,07,737
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December
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18,49,886
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66,511
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19,16,397
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1,675
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449
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4,388
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6,512
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19,22,909
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20,301
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19,43,209
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January
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18,82,565
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68,122
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19,50,687
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1,792
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446
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4,379
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6,617
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19,57,304
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February
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19,14,762
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69,193
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19,83,955
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2,131
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445
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4,286
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6,862
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19,90,817
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March
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19,62,910
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71,387
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20,34,297
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1,696
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560
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3,989
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6,245
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20,40,542
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19,722
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20,60,264
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CDs : Certificates of Deposit.
L1,
L2 and L3 : Liquidity Aggregates.
NBFCs: Non-Banking Financial Companies.
Note :
1. Data are provisional.
2.The methodology of compilation of the liquidity aggregates is available
in the ';New Monetary and Liquidity Aggregates';,
RBI Bulletin, Novemberis used to distinguish the new monetary aggregate
as proposed by the Working Group
from the existing monetary aggregates.
3.Postal deposits comprise post office saving bank deposits, post office
time deposits, post office recurring deposits,
other deposits and post office cumulative time deposits.
4. Financial Institutions (FIs) comprise IDBI, IFCI, EXIM Bank, IIBI, SIDBI,
NABARD, NHB, TFCI and IDFC.
5.Since July 2001, term money borrowings of FIs comprise borrowings from
corporates and others.
6.Since August 2002, Term Deposits include CP and Others.
7.Estimates of public deposits are generated on the basis of returns received
from all NBFCs with public deposits of
Rs. 20 crore and more as recommended by the Working Group is compiled on
a quarterly basis.
8.While L1 and L2 are compiled on a monthly basis, L3 is compiled on a quarterly
basis.
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