RBI Bulletin


Search Archives

download file (54 kb) or PDF document (135 kb)
4. All Scheduled Commercial Banks - Business in India
Date : Mar 12, 2012

(` Billion)

Last Reporting Friday (in case of March)/ Last Friday

1990- 91

2009-10

2010-11

2011

2012

Jan.

Jul.

Aug.

Sep.

Oct.

Nov.

Dec.

Jan. (P)

1

2

3

4

5

6

7

8

9

10

11

Number of Reporting Banks

271

163

163

163

164

164

166

166

166

166

166

Liabilities to the Banking System (1)

64.9

1,032.7

1,105.9

989.2

1,052.7

1,053.8

1,078.7

1,068.1

1,008.6

1,189.9

1,175.7

Demand and Time Deposits from Banks (2), (12)

54.4

649.3

737.4

670.5

692.4

716.6

758.5

697.4

687.3

744.9

737.5

Borrowings from Banks (3)

9.7

323.6

297.2

249.2

261.6

237.3

220.0

271.2

221.1

325.4

336.4

Other Demand and Time Liabilities(4)

0.8

59.8

71.2

69.6

98.8

99.8

100.3

99.5

100.2

119.5

101.8

Liabilities to Others (1)

2,056.0

49,265.2

56,811.1

54,369.9

59,880.7

60,360.0

62,530.3

61,902.5

61,943.8

63,610.8

62,996.1

Aggregate Deposits (5)

1,925.4

44,928.3

52,079.7

49,874.2

54,853.8

55,134.7

57,130.2

56,429.8

56,622.3

58,325.1

57,681.0

Demand

331.9

6,456.1

6,417.1

5,908.2

5,671.0

5,615.3

6,478.7

5,823.0

5,730.1

6,410.0

5,939.3

Time (5)

1,593.5

38,472.2

45,662.6

43,965.9

49,182.7

49,519.3

50,651.5

50,606.8

50,892.2

51,915.1

51,741.6

Borrowings (6)

4.7

1,042.8

1,313.4

1,235.0

1,522.7

1,623.6

1,829.9

1,929.6

1,789.1

1,576.4

1,832.5

Other Demand and Time Liabilities (4), (13)

125.9

3,294.2

3,418.0

3,260.8

3,504.2

3,601.8

3,570.3

3,543.1

3,532.3

3,709.3

3,482.6

Borrowings from Reserve Bank (7)

34.7

0.4

50.3

43.7

24.0

17.0

39.5

37.5

58.3

58.8

92.6

Against Usance Bills/ Promissory Notes

Others

34.7

0.4

50.3

43.7

24.0

17.0

39.5

37.5

58.3

58.8

92.6

See ‘Notes on Tables’.


4

No. 4: All Scheduled Commercial Banks – Business in India (Concld.)

(` Billion)

Last Reporting Friday (in case of March)/ Last Friday

1990-91

2009-10

2010-11

2011

2012

Jan.

Jul.

Aug.

Sep.

Oct.

Nov.

Dec.

Jan. (P)

1

2

3

4

5

6

7

8

9

10

11

Cash in Hand and Balances with Reserve Bank

256.7

3,069.7

3,495.1

3,226.9

3,952.3

3,979.4

4,395.2

3,914.2

4,095.0

3,884.7

4,053.1

Cash in Hand

18.0

255.8

303.5

320.6

354.1

355.2

370.0

405.5

381.2

378.6

369.4

Balances with Reserve Bank (9)

238.6

2,813.9

3,191.6

2,906.3

3,598.2

3,624.1

4,025.2

3,508.7

3,713.8

3,506.1

3,683.6

Assets with the Banking System

55.8

1,344.4

1,543.9

1,162.1

1,424.9

1,464.0

1,730.1

1,547.0

1,453.5

1,886.5

1,731.7

Balances with Other Banks

28.5

624.2

561.4

473.7

499.9

497.3

615.6

577.2

546.4

656.5

648.3

In Current Account

17.9

132.1

101.0

89.1

98.8

92.9

124.4

95.2

82.3

99.1

86.5

In Other Accounts

10.5

492.1

460.4

384.6

401.2

404.4

491.2

482.0

464.1

557.4

561.8

Money at Call and Short Notice

14.5

176.7

166.1

140.4

164.4

164.5

152.1

193.9

137.3

248.6

211.2

Advances to Banks (10)

9.0

98.9

125.7

60.4

73.5

75.5

121.5

58.6

68.8

94.2

72.8

Other Assets

3.9

444.6

690.7

487.4

687.2

726.7

840.8

717.2

701.1

887.2

799.5

Investment

750.7

13,847.5

15,016.2

14,829.1

16,832.0

17,021.6

16,858.1

17,063.5

17,106.5

16,948.1

16,900.2

Government Securities (11)

500.0

13,783.9

14,971.5

14,785.8

16,787.9

16,981.3

16,818.7

17,023.9

17,067.4

16,914.8

16,867.1

Other Approved Securities

250.7

63.6

44.7

43.3

44.1

40.2

39.4

39.6

39.1

33.2

33.1

Bank credit (14)

1,163.0

32,447.9

39,420.8

37,376.8

40,113.7

40,476.3

42,232.8

41,574.5

42,060.8

43,668.8

43,513.3

(45.1)

(484.9)

(642.8)

(611.8)

(704.5)

(735.8)

(693.0)

(726.8)

(785.0)

(845.5)

(830.9)

Loans, Cash-Credits and Overdrafts

1,059.8

31,221.6

37,940.1

36,018.7

38,656.0

39,042.7

40,706.3

40,070.5

40,534.7

42,032.8

41,946.9

Inland Bills – Purchased

33.7

120.1

134.4

125.6

107.2

110.8

142.0

132.6

139.5

159.6

156.1

Inland Bills – Discounted

23.4

622.2

798.7

691.1

835.0

812.7

807.7

805.5

814.3

850.8

823.7

Foreign Bills – Purchased

27.6

161.3

185.8

183.9

176.7

174.2

195.1

186.0

188.3

215.5

193.0

Foreign Bills – Discounted

18.5

322.7

361.8

357.5

338.8

336.0

381.7

379.8

384.0

410.0

393.6

Cash-Deposit Ratio

13.3

6.8

6.7

6.5

7.2

7.2

7.7

6.9

7.2

6.7

7.0

Investment- Deposit Ratio

39.0

30.8

28.8

29.7

30.7

30.9

29.5

30.2

30.2

29.1

29.3

Credit-Deposit Ratio

60.4

72.2

75.7

74.9

73.1

73.4

73.9

73.7

74.3

74.9

75.4


2022
2021
2020
2019
2018
2017
2016
2015
2014
2013
Archives
Top