(` Billion) |
Item/Month |
Amount outstanding as on |
Aug 24,
2012 |
Sep 21,
2012 |
Oct 19,
2012 |
Nov 30,
2012 |
Dec 28,
2012 |
Jan 25,
2013 |
Feb 22,
2013 |
Mar 22,
2013 |
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
Components |
|
|
|
|
|
|
|
|
C.I Aggregate Deposits of Residents (C.I.1+C.I.2) |
62141.23 |
62119.25 |
63085.20 |
63549.25 |
63894.44 |
64483.99 |
64841.51 |
66677.77 |
C.I.1 Demand Deposits |
6062.55 |
5986.84 |
5851.72 |
6219.46 |
6365.55 |
6103.64 |
6304.97 |
6622.99 |
C.I.2 Time Deposits of Residents (C.I.2.1+C.I.2.2) |
56078.68 |
56132.41 |
57233.49 |
57329.79 |
57528.89 |
58380.35 |
58536.54 |
60054.78 |
C.I.2.1 Short-term Time Deposits |
25235.41 |
25259.58 |
25755.07 |
25798.40 |
25888.00 |
26271.16 |
26341.44 |
27024.65 |
C.I.2.1.1 Certificates of Deposits (CDs) |
4014.45 |
3581.03 |
3526.33 |
3101.22 |
3348.39 |
3269.31 |
3019.61 |
3835.28 |
C.I.2.2 Long-term Time Deposits |
30843.27 |
30872.83 |
31478.42 |
31531.38 |
31640.89 |
32109.19 |
32195.10 |
33030.13 |
C.II Call/Term Funding from Financial Institutions |
1993.65 |
2010.70 |
1918.71 |
2017.72 |
2041.67 |
2066.02 |
2131.70 |
2216.63 |
Sources |
|
|
|
|
|
|
|
|
S.I Domestic Credit (S.I.1+S.I.2) |
70183.37 |
70508.98 |
71411.65 |
72513.20 |
72915.64 |
73613.40 |
74384.77 |
76376.08 |
S.I.1 Credit to the Government |
19542.60 |
19452.58 |
19719.61 |
19634.43 |
19347.82 |
19638.24 |
19625.77 |
20036.53 |
S.I.2 Credit to the Commercial Sector (S.I.2.1+S.I.2.2+S.I.1.2.3+S.I.1.2.4) |
50640.78 |
51056.40 |
51692.04 |
52878.77 |
53567.83 |
53975.16 |
54759.00 |
56339.55 |
S.I.2.1 Bank Credit |
47232.64 |
47637.40 |
48135.62 |
49566.97 |
50237.73 |
50509.15 |
51272.64 |
52604.59 |
S.I.2.1.1 Non-food Credit |
46264.66 |
46711.61 |
47183.42 |
48489.10 |
49162.14 |
49452.09 |
50203.40 |
51640.37 |
S.I.2.2 Net credit to Primary Dealers |
70.90 |
74.28 |
32.37 |
39.34 |
57.88 |
48.79 |
33.59 |
58.97 |
S.I.2.3 Investments in Other Approved Securities |
26.37 |
24.95 |
27.61 |
22.06 |
22.44 |
22.86 |
20.64 |
24.52 |
S.I.2.4 Other Investments (in non-SLR Securities) |
3310.87 |
3319.77 |
3496.44 |
3250.40 |
3249.78 |
3394.37 |
3432.14 |
3651.48 |
S.II Net Foreign currency Assets of Commercial Banks (S.II.1-S.II.2-S.II.3) |
-1174.55 |
-1270.93 |
-1243.22 |
-1236.34 |
-1285.95 |
-1247.17 |
-1154.19 |
-782.20 |
S.II.1 Foreign Currency Assets |
444.14 |
398.49 |
385.07 |
382.31 |
420.19 |
441.52 |
563.83 |
919.61 |
S.II.2 Non-resident Foreign Currency Repatriable Fixed Deposits |
810.38 |
802.46 |
796.01 |
814.36 |
816.58 |
804.03 |
809.86 |
826.77 |
S.II.3 Overseas Foreign Currency Borrowings |
808.31 |
866.95 |
832.28 |
804.30 |
889.56 |
884.66 |
908.16 |
875.05 |
S.III Net Bank Reserves (S.III.1+S.III.2-S.III.3) |
3507.68 |
3425.82 |
3554.42 |
3054.54 |
3174.78 |
3315.23 |
3177.56 |
3011.70 |
S.III.1 Balances with the RBI |
3105.87 |
3182.61 |
3328.60 |
2812.78 |
2972.61 |
3118.06 |
2963.46 |
2822.67 |
S.III.2 Cash in Hand |
469.66 |
407.90 |
390.64 |
470.29 |
446.41 |
443.98 |
467.83 |
404.91 |
S.III.3 Loans and Advances from the RBI |
67.84 |
164.68 |
164.82 |
228.53 |
244.25 |
246.80 |
253.74 |
215.88 |
S.IV Capital Account |
6190.39 |
6200.16 |
6229.78 |
6213.83 |
6242.10 |
6256.93 |
6261.82 |
6374.22 |
S.V Other items (net) (S.I+S.II+S.III-S.IV-C.I-C.II) (net) (S.I+S.II+S |
2191.24 |
2333.77 |
2489.16 |
2550.59 |
2626.26 |
2874.52 |
3173.11 |
3336.96 |
S.V.1 Other Demand & Time Liabilities (net of S.II.3) (net of S.II.3) |
2972.35 |
2884.00 |
2700.83 |
3041.50 |
3061.66 |
3024.58 |
3079.87 |
3241.29 |
S.V.2 Net Inter-Bank Liabilities (other than to PDs) |
-607.82 |
-575.10 |
-647.71 |
-507.57 |
-659.28 |
-520.08 |
-508.92 |
-809.80 |
Item/Month |
|
Amount outstanding as on |
Apr 19,
2013 |
May 31,
2013 |
Jun 28,
2013 |
Jul 26,
2013 |
Aug 23,
2013 |
Sep 20,
2013 |
Oct 18,
2013 |
Nov 29,
2013 |
1 |
10 |
11 |
12 |
13 |
14 |
15 |
16 |
17 |
Components |
|
|
|
|
|
|
|
|
C.I Aggregate Deposits of Residents (C.I.1+C.I.2) |
67418.16 |
68620.89 |
69816.90 |
69766.93 |
69865.72 |
70470.75 |
71662.72 |
71964.96 |
C.I.1 Demand Deposits |
6317.90 |
6550.61 |
7162.43 |
6605.81 |
6499.98 |
6554.28 |
6514.94 |
6619.62 |
C.I.2 Time Deposits of Residents (C.I.2.1+C.I.2.2) |
61100.27 |
62070.28 |
62654.47 |
63161.12 |
63365.74 |
63916.47 |
65147.78 |
65345.34 |
C.I.2.1 Short-term Time Deposits |
27495.12 |
27931.62 |
28194.51 |
28422.50 |
28514.58 |
28762.41 |
29316.50 |
29405.40 |
C.I.2.1.1 Certificates of Deposits (CDs) |
3792.29 |
3562.42 |
3585.98 |
3446.73 |
3070.09 |
3553.34 |
3369.03 |
3236.21 |
C.I.2.2 Long-term Time Deposits |
33605.15 |
34138.65 |
34459.96 |
34738.61 |
34851.16 |
35154.06 |
35831.28 |
35939.94 |
C.II Call/Term Funding from Financial Institutions |
2159.51 |
2163.84 |
2329.57 |
2558.71 |
2698.26 |
2546.06 |
2468.87 |
2542.00 |
Sources |
|
|
|
|
|
|
|
|
S.I Domestic Credit (S.I.1+S.I.2) |
76706.58 |
78279.65 |
78877.59 |
79479.00 |
80205.90 |
80551.13 |
81514.76 |
82770.89 |
S.I.1 Credit to the Government |
20148.71 |
20804.42 |
21317.63 |
21773.79 |
21481.49 |
21093.38 |
21729.53 |
22151.13 |
S.I.2 Credit to the Commercial Sector (S.I.2.1+S.I.2.2+S.I.1.2.3+S.I.1.2.4) |
56557.87 |
57475.24 |
57559.96 |
57705.21 |
58724.41 |
59457.74 |
59785.24 |
60619.76 |
S.I.2.1 Bank Credit |
52811.73 |
53687.78 |
54045.62 |
53956.26 |
55144.16 |
56020.21 |
55979.85 |
56464.44 |
S.I.2.1.1 Non-food Credit |
51849.20 |
52507.36 |
52922.05 |
52944.76 |
54121.14 |
55028.70 |
55054.35 |
55422.53 |
S.I.2.2 Net credit to Primary Dealers |
24.07 |
35.16 |
46.57 |
26.71 |
53.89 |
42.20 |
32.29 |
47.31 |
S.I.2.3 Investments in Other Approved Securities |
22.63 |
21.74 |
22.58 |
21.77 |
21.72 |
21.83 |
22.60 |
21.11 |
S.I.2.4 Other Investments (in non-SLR Securities) |
3699.45 |
3730.56 |
3445.18 |
3700.47 |
3504.65 |
3373.51 |
3750.50 |
4086.89 |
S.II S.II.3) |
-1069.80 |
-993.85 |
-1207.40 |
-1300.83 |
-1539.77 |
-1233.01 |
-1248.22 |
-2181.63 |
S.II.1 Foreign Currency Assets |
635.58 |
772.21 |
668.36 |
635.06 |
604.04 |
822.53 |
1096.66 |
1413.32 |
S.II.2 Non-resident Foreign Currency Repatriable Fixed Deposits |
832.59 |
874.38 |
904.49 |
911.34 |
1001.44 |
1032.75 |
1285.53 |
2476.20 |
S.II.3 Overseas Foreign Currency Borrowings |
872.79 |
891.68 |
971.27 |
1024.55 |
1142.38 |
1022.79 |
1059.36 |
1118.75 |
S.III Net Bank Reserves (S.III.1+S.III.2-S.III.3) |
3301.09 |
3190.22 |
3509.12 |
3226.41 |
3215.02 |
3211.67 |
3200.01 |
3358.76 |
S.III.1 Balances with the RBI |
3101.80 |
2896.90 |
3287.72 |
3150.97 |
3193.76 |
3206.48 |
3148.30 |
3278.68 |
S.III.2 Cash in Hand |
392.25 |
455.67 |
442.64 |
419.79 |
437.91 |
427.47 |
468.82 |
471.08 |
S.III.3 Loans and Advances from the RBI |
192.96 |
162.36 |
221.24 |
344.34 |
416.66 |
422.28 |
417.11 |
391.01 |
S.IV Capital Account |
6736.19 |
7071.28 |
7204.17 |
7147.82 |
7153.89 |
7156.28 |
7194.25 |
7183.04 |
S.V Other items (net) (S.I+S.II+S.III-S.IV-C.I-C.II)(net) (S.I+S.II+S |
2624.01 |
2620.01 |
1828.67 |
1931.12 |
2163.28 |
2356.69 |
2140.70 |
2258.02 |
S.V.1 Other Demand & Time Liabilities (net of S.II.3) (net of S.II.3) |
2806.53 |
3110.72 |
3103.09 |
2762.58 |
2824.14 |
3067.58 |
2765.65 |
3010.36 |
S.V.2 Net Inter-Bank Liabilities (other than to PDs) |
-670.85 |
-597.79 |
-852.64 |
-824.36 |
-710.44 |
-685.12 |
-696.91 |
-608.62 |
(Continued) |
TABLE 177 : COMMERCIAL BANK SURVEY (Concld.) |
(` Billion) |
Item/Month |
Amount outstanding as on |
Dec 27,
2013 |
Jan 24, 2014 |
Feb 21,
2014 |
Mar 21,
2014 |
Apr 18,
2014 |
May 30,
2014 |
Jun 27,
2014 |
1 |
18 |
19 |
20 |
21 |
22 |
23 |
24 |
Components |
|
|
|
|
|
|
|
C.I Aggregate Deposits of Residents (C.I.1+C.I.2) |
72234.90 |
72711.05 |
73219.89 |
74514.13 |
75733.89 |
76771.96 |
76958.18 |
C.I.1 Demand Deposits |
6858.32 |
6892.04 |
6878.38 |
7139.21 |
7312.95 |
7576.24 |
7857.79 |
C.I.2 Time Deposits of Residents (C.I.2.1+C.I.2.2) |
65376.58 |
65819.01 |
66341.51 |
67374.92 |
68420.94 |
69195.72 |
69100.39 |
C.I.2.1 Short-term Time Deposits |
29419.46 |
29618.55 |
29853.68 |
30318.71 |
30789.42 |
31138.07 |
31095.17 |
C.I.2.1.1 Certificates of Deposits (CDs) |
3290.37 |
4726.09 |
3315.25 |
3741.33 |
3865.22 |
3586.04 |
3386.94 |
C.I.2.2 Long-term Time Deposits |
35957.12 |
36200.45 |
36487.83 |
37056.20 |
37631.52 |
38057.65 |
38005.21 |
C.II Call/Term Funding from Financial Institutions |
2440.97 |
2339.69 |
2257.53 |
2210.37 |
2164.81 |
2047.05 |
2035.96 |
Sources |
|
|
|
|
|
|
|
S.I Domestic Credit (S.I.1+S.I.2) |
83511.04 |
83975.38 |
84902.56 |
86123.01 |
87005.86 |
87877.85 |
88005.06 |
S.I.1 Credit to the Government |
22058.58 |
22090.48 |
22353.30 |
22111.94 |
22606.14 |
23016.37 |
22922.45 |
S.I.2 Credit to the Commercial Sector (S.I.2.1+S.I.2.2+S.I.1.2.3+S.I.1.2.4) |
61452.47 |
61884.90 |
62549.26 |
64011.07 |
64399.72 |
64861.48 |
65082.61 |
S.I.2.1 Bank Credit |
57413.17 |
57757.35 |
58458.33 |
59940.96 |
60130.43 |
60673.65 |
61225.29 |
S.I.2.1.1 Non-food Credit |
56294.79 |
56639.60 |
57392.66 |
58956.19 |
59203.53 |
59507.90 |
60081.20 |
S.I.2.2 Net credit to Primary Dealers |
29.39 |
40.35 |
45.16 |
22.53 |
22.73 |
41.68 |
32.40 |
S.I.2.3 Investments in Other Approved Securities |
18.24 |
17.43 |
16.53 |
16.27 |
17.63 |
20.66 |
19.97 |
S.I.2.4 Other Investments (in non-SLR Securities) |
3991.66 |
4069.77 |
4029.23 |
4031.31 |
4228.92 |
4125.49 |
3804.95 |
S.II S.II.3) |
-2186.00 |
-2146.38 |
-2127.96 |
-1977.85 |
-2283.57 |
-1950.31 |
-1899.87 |
S.II.1 Foreign Currency Assets |
1335.52 |
1335.11 |
1370.08 |
1495.32 |
1202.24 |
1448.21 |
1511.63 |
S.II.2 Non-resident Foreign Currency Repatriable Fixed Deposits |
2513.41 |
2534.05 |
2546.20 |
2541.47 |
2551.09 |
2516.66 |
2563.43 |
S.II.3 Overseas Foreign Currency Borrowings |
1008.11 |
947.44 |
951.84 |
931.70 |
934.72 |
881.86 |
848.07 |
S.III Net Bank Reserves (S.III.1+S.III.2-S.III.3) |
3287.67 |
3383.50 |
3168.80 |
3206.01 |
3415.37 |
3527.59 |
3659.99 |
S.III.1 Balances with the RBI |
3236.41 |
3233.33 |
3120.05 |
3163.44 |
3266.24 |
3344.67 |
3384.90 |
S.III.2 Cash in Hand |
478.71 |
448.22 |
453.79 |
458.70 |
467.82 |
495.42 |
504.59 |
S.III.3 Loans and Advances from the RBI |
427.46 |
298.04 |
405.04 |
416.13 |
318.69 |
312.50 |
229.49 |
S.IV Capital Account |
7251.21 |
7297.03 |
7383.76 |
7388.58 |
7669.75 |
7779.07 |
7826.87 |
S.V Other items (net) (S.I+S.II+S.III-S.IV-C.I-C.II) (net) (S.I+S.II+S |
2685.63 |
2864.72 |
3082.22 |
3238.09 |
2569.21 |
2857.05 |
2944.18 |
S.V.1 Other Demand & Time Liabilities (net of S.II.3) (net of S.II.3) |
3219.66 |
3108.05 |
3421.24 |
3451.60 |
3167.30 |
3585.60 |
3507.52 |
S.V.2 Net Inter-Bank Liabilities (other than to PDs) |
-555.18 |
-561.27 |
-609.21 |
-666.09 |
-564.86 |
-596.45 |
-619.57 |
Note : Data from 2013-14 onwards are provisional.
Also see Notes on Tables. |