(` 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 |
Dec. |
Nov. |
Dec. |
Dec. |
Nov. |
Dec. |
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
Number of Reporting Banks |
218 |
225 |
214 |
214 |
151 |
158 |
147 |
147 |
1 Liabilities to the Banking System |
1,368.2 |
1,251.8 |
1,143.3 |
1,164.9 |
1,331.0 |
1,216.8 |
1,102.2 |
1,121.4 |
1.1 Demand and Time Deposits from Banks |
879.3 |
826.8 |
762.8 |
766.1 |
846.5 |
796.9 |
725.5 |
727.8 |
1.2 Borrowings from Banks |
398.0 |
351.9 |
270.0 |
326.2 |
393.6 |
347.5 |
266.3 |
321.1 |
1.3 Other Demand and Time Liabilities |
90.9 |
73.1 |
110.5 |
72.6 |
90.9 |
72.4 |
110.4 |
72.5 |
2 Liabilities to Others |
75,818.5 |
72,671.8 |
83,238.8 |
83,849.0 |
73,837.5 |
70,741.9 |
81,112.3 |
81,695.0 |
2.1 Aggregate Deposits |
69,420.0 |
66,609.1 |
76,490.4 |
77,081.2 |
67,504.5 |
64,748.2 |
74,441.2 |
75,018.6 |
2.1.1 Demand |
6,783.3 |
6,532.9 |
6,785.2 |
7,063.8 |
6,623.0 |
6,371.9 |
6,619.6 |
6,897.9 |
2.1.2 Time |
62,636.7 |
60,076.2 |
69,705.1 |
70,017.5 |
60,881.5 |
58,376.3 |
67,821.5 |
68,120.8 |
2.2 Borrowings |
2,227.2 |
2,053.7 |
2,558.1 |
2,462.6 |
2,216.6 |
2,041.7 |
2,542.0 |
2,446.4 |
2.3 Other Demand and Time Liabilities |
4,171.3 |
4,009.0 |
4,190.4 |
4,305.1 |
4,116.3 |
3,952.0 |
4,129.1 |
4,230.0 |
3 Borrowings from Reserve Bank |
217.2 |
245.4 |
392.8 |
429.3 |
215.9 |
244.3 |
391.0 |
427.5 |
3.1 Against Usance Bills /Promissory Notes |
– |
– |
– |
– |
– |
– |
– |
– |
3.2 Others |
217.2 |
245.4 |
392.8 |
429.3 |
215.9 |
244.3 |
391.0 |
427.5 |
4 Cash in Hand and Balances with Reserve Bank |
3,320.9 |
3,511.0 |
3,852.5 |
3,819.2 |
3,227.6 |
3,419.3 |
3,749.8 |
3,716.2 |
4.1 Cash in Hand |
414.8 |
457.2 |
482.6 |
491.2 |
404.9 |
446.7 |
471.1 |
479.7 |
4.2 Balances with Reserve Bank |
2,906.1 |
3,053.8 |
3,369.9 |
3,328.0 |
2,822.7 |
2,972.6 |
3,278.7 |
3,236.4 |
5 Assets with the Banking System |
2,448.3 |
2,234.6 |
2,081.1 |
2,106.8 |
2,199.5 |
1,942.1 |
1,758.1 |
1,785.2 |
5.1 Balances with Other Banks |
1,051.5 |
945.6 |
1,068.1 |
1,111.1 |
960.8 |
850.5 |
965.1 |
1,007.3 |
5.1.1 In Current Account |
127.6 |
131.1 |
132.7 |
137.1 |
111.9 |
114.7 |
115.7 |
120.5 |
5.1.2 In Other Accounts |
923.9 |
814.5 |
935.4 |
974.0 |
848.9 |
735.7 |
849.4 |
886.8 |
5.2 Money at Call and Short Notice |
397.6 |
401.7 |
356.0 |
366.5 |
296.0 |
284.4 |
220.6 |
233.6 |
5.3 Advances to Banks |
136.1 |
134.6 |
118.9 |
136.6 |
126.9 |
110.1 |
113.4 |
131.0 |
5.4 Other Assets |
863.0 |
752.7 |
538.0 |
492.6 |
815.8 |
697.1 |
459.0 |
413.3 |
6 Investment |
20,660.3 |
19,978.4 |
22,828.9 |
22,813.4 |
20,061.0 |
19,383.5 |
22,172.2 |
22,148.9 |
6.1 Government Securities |
20,633.5 |
19,953.1 |
22,804.3 |
22,790.6 |
20,036.5 |
19,360.4 |
22,151.1 |
22,128.5 |
6.2 Other Approved Securities |
26.7 |
25.3 |
24.6 |
22.8 |
24.5 |
23.1 |
21.1 |
20.3 |
7 Bank Credit |
54,281.4 |
51,865.9 |
58,249.8 |
59,359.9 |
52,604.6 |
50,258.7 |
56,464.4 |
57,559.2 |
7a Food Credit |
1,045.6 |
1,156.9 |
1,152.3 |
1,228.8 |
964.2 |
1,075.6 |
1,041.9 |
1,118.4 |
7.1 Loans, Cash-credits and Overdrafts |
52,244.1 |
49,971.7 |
56,167.6 |
57,205.2 |
50,591.7 |
48,387.8 |
54,409.8 |
55,431.4 |
7.2 Inland Bills-Purchased |
253.1 |
234.2 |
375.7 |
390.0 |
248.6 |
228.8 |
372.5 |
386.9 |
7.3 Inland Bills-Discounted |
1,109.9 |
1,003.0 |
998.9 |
1,017.4 |
1,094.5 |
988.9 |
980.3 |
1,000.1 |
7.4 Foreign Bills-Purchased |
216.6 |
207.8 |
249.6 |
256.6 |
214.9 |
206.9 |
247.0 |
253.6 |
7.5 Foreign Bills-Discounted |
457.7 |
449.3 |
458.0 |
490.6 |
454.7 |
446.4 |
454.8 |
487.2 |
|