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Date : Sep 15, 2014
Table 51 : Scheduled Commercial Banks - Maturity Pattern of Term Deposits

(No. in thousand; Amount in ` Billion)

Year (end- March)

Up to 90 Days

91 Days and above but less than 6 Months

6 Months and above but less than 1 Year

1 Year and above but less than 2 Years

No. of Accounts

Amount

 No. of Accounts

Amount

No. of Accounts

Amount

No. of Accounts

Amount

1

2

3

4

5

6

7

8

9

1992

3973

137.85

1893

62.54

3371

87.44

15217

217.32

1993

6384

215.45

2570

85.40

4754

135.72

19671

353.22

1994

6118

257.37

3058

137.72

5863

150.56

26413

491.95

1995

6454

313.75

3070

100.26

6182

164.52

28473

663.50

1996

6562

312.66

3535

156.27

7511

267.82

24559

612.77

1997

6201

320.73

3927

177.93

9006

354.25

22607

651.95

1998

6320

416.35

4351

218.57

9800

393.92

21688

792.37

1999

5434

389.68

4782

256.10

11362

547.26

23363

991.20

2000

6000

490.69

5563

331.57

13817

670.78

24612

1166.63

2001

6960

585.81

6439

413.65

16466

873.72

25824

1341.36

2002

12095

861.97

9411

652.50

15691

1010.52

28548

1648.24

2003

12687

1041.12

9419

748.88

16232

1085.60

29474

1857.60

2004

11557

1210.59

9151

1018.85

15473

1331.77

28651

2101.74

2005

10580

1479.79

7599

1118.88

14264

1591.24

27743

2490.91

2006

9674

1682.48

6955

1179.28

13021

2063.29

25817

3303.76

2007

9556

1670.42

6042

1473.50

11098

2830.35

29123

5226.72

2008

6421

1510.43

4508

1673.99

8411

2819.90

38306

7945.80

2009

3908

1678.27

3530

1860.35

9925

3384.03

46081

10327.62

2010

4326

1913.53

3671

2322.36

8665

3810.14

42372

10522.75

2011

2788

2324.83

3555

2863.35

7025

3420.79

48695

13288.36

2012

2845

2966.41

4001

2825.24

5837

4077.70

68333

17438.87

2013

2511

3472.33

2783

2454.31

15076

6855.47

63049

17684.80


Year (end- March)

2 Years and above but less than 3 Years

3 Years and above but less than 5 Years

5 Years and above

Total

No. of Accounts

Amount

No. of Accounts

Amount

No. of Accounts

Amount

No. of Accounts

Amount

1

10

11

12

13

14

15

16

17

1992

19068

256.42

24504

339.53

21941

220.40

89967

1321.51

1993

16170

236.31

23146

367.76

22270

253.71

94965

1647.57

1994

20094

269.75

21533

380.31

20478

248.55

103556

1936.20

1995

18730

344.04

18344

385.30

18251

253.84

99505

2225.20

1996

21805

489.88

19534

436.57

19673

301.38

103179

2577.35

1997

21837

580.61

23208

611.20

21792

387.88

108580

3084.55

1998

20693

648.41

26163

810.92

22144

462.31

111159

3742.86

1999

20616

696.40

28286

1000.98

21981

519.06

115825

4400.69

2000

21134

805.65

29413

1138.92

21636

558.03

122175

5162.28

2001

21272

896.60

30319

1260.04

23285

643.38

130565

6014.56

2002

21098

995.89

33257

1375.20

20113

707.84

140213

7252.16

2003

28382

1490.55

25396

1216.29

19728

740.04

141318

8180.09

2004

20074

1091.49

33004

1833.64

18346

770.48

136256

9358.56

2005

19986

1137.42

30329

1926.13

18573

897.09

129074

10641.46

2006

17695

1182.83

29129

2012.27

19439

1039.63

121731

12463.53

2007

16480

1148.53

31134

2453.93

21487

1157.94

124920

15961.40

2008

14445

1364.21

33137

2949.60

25558

1650.00

130787

19913.94

2009

23035

2634.07

32019

3139.87

26679

1885.02

145177

24909.23

2010

25203

3427.46

31484

3450.65

27901

2306.17

143623

27753.06

2011

26187

4162.26

29904

3593.95

28817

2878.59

146971

32532.13

2012

20974

3574.62

27939

3783.28

34259

3533.66

164187

38199.78

2013

27710

5134.57

31016

4777.94

38119

4372.17

180263

44751.60

Note : Due to rounding off of figures, the constituent items may not add up to the totals.
Also see Notes on Tables.
Source : Basic Statistical Returns of Scheduled Commercial Banks in India, various volumes.


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