(Amount in ₹ crore) |
| SCHEDULED COMMERCIAL BANKS (Including RRBs, SFBs and PBs) | ALL SCHEDULED BANKS |
14-Jun-2024 | 30-May-2025* | 13-Jun-2025* | 14-Jun-2024 | 30-May-2025* | 13-Jun-2025* |
I | LIABILITIES TO THE BKG.SYSTEM (A) | | | | | | |
| a) Demand & Time deposits from banks | 273308.16 | 365140.08 | 340603.24 | 277097.38 | 370999.12 | 346319.8749** |
| b) Borrowings from banks | 152185.60 | 110552.25 | 109671.80 | 152187.60 | 110574.25 | 109889.53 |
| c) Other demand & time liabilities | 76032.19 | 25071.47 | 23927.34 | 76298.36 | 25465.93 | 24362.82 |
II | LIABILITIES TO OTHERS (A) | | | | | | |
| a) Deposits (other than from banks) | 20902918.17 | 23172542.62 | 23069772.55 | 21358407.93 | 23662773.91 | 23561872.69 |
| i) Demand | 2390694.11 | 2988920.70 | 2859239.01 | 2440672.19 | 3038379.44 | 2908818.31 |
| ii) Time | 18512224.06 | 20183621.92 | 20210533.54 | 18917735.75 | 20624394.47 | 20653054.38 |
| b) Borrowings @ | 780674.69 | 895727.00 | 837462.68 | 785083.63 | 900193.89 | 841977.70 |
| c) Other demand & time liabilities | 965607.06 | 1034573.60 | 1106232.23 | 978521.91 | 1047707.96 | 1120178.02 |
III | BORROWINGS FROM R.B.I. (B) | 111102.00 | 6516.00 | 2248.00 | 111102.00 | 6516.00 | 2248.00 |
| Against usance bills and / or prom. Notes | | | | | | |
IV | CASH | 85283.14 | 87179.07 | 90471.61 | 87674.97 | 89604.92 | 93073.93 |
V | BALANCES WITH R.B.I. (B) | 983708.00 | 956086.24 | 932453.46 | 1003434.00 | 975236.91 | 951630.59 |
VI | ASSETS WITH BANKING SYSTEM | | | | | | |
| a) Balances with other banks | | | | | | |
| i) In current accounts | 7664.17 | 11434.59 | 10498.68 | 10483.91 | 13853.23 | 12729.59 |
| ii) In other accounts | 178513.58 | 255330.58 | 244036.86 | 224431.26 | 318135.43 | 308394.18 |
| b) Money at call & short notice | 11390.08 | 22812.64 | 21743.92 | 25192.27 | 40349.51 | 37684.89 |
| c) Advances to banks (i.e. due from bks.) | 52270.19 | 36147.80 | 31496.42 | 54389.85 | 38542.46 | 33717.34£ |
| d) Other assets | 107937.02 | 78091.66 | 65849.37 | 110591.29 | 82799.25 | 71109.15 |
VII | INVESTMENTS (At book value) | 6231385.82 | 6706717.24 | 6691443.60 | 6384112.72 | 6861687.28 | 6877810.85 |
| a) Central & State Govt. securities+ | 6230374.06 | 6706168.85 | 6690874.45 | 6376135.84 | 6853140.23 | 6869498.86 |
| b) Other approved securities | 1011.77 | 548.39 | 569.14 | 7976.88 | 8547.05 | 8311.99 |
VIII | BANK CREDIT (Excluding Inter-Bank Advances) | 16706417.54 | 18287376.91 | 18313977.69 | 17143118.18 | 18753740.95 | 18783780.83 |
| a) Loans, cash credits & Overdrafts $ | 16392988.28 | 17949958.34 | 17976567.95 | 16826405.29 | 18412982.24 | 18443143.24 |
| b) Inland Bills purchased | 64052.90 | 79467.07 | 78124.27 | 65383.33 | 80743.89 | 79300.44 |
| c) Inland Bills discounted | 208278.98 | 222449.12 | 223752.50 | 209565.71 | 223956.61 | 225217.50 |
| d) Foreign Bills purchased | 16140.00 | 13866.49 | 13510.87 | 16370.65 | 14063.24 | 13738.06 |
| e) Foreign Bills discounted | 24957.38 | 21635.89 | 22022.09 | 25393.21 | 21994.97 | 22381.60 |