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Date : Sep 13, 2024
Table 175 : Liquidity Aggregates
(₹ Crore)
Year / Month NM3 Postal Deposits L1 (2+3) Liabilities of Financial Institutions L2 (4+8) Public Deposits with NBFCs L3 (9+10)
Term Money Borrowing CDs Term Deposits Total (5+6+7)
1 2 3 4 5 6 7 8 9 10 11
2021-22                    
April 19001602 514377 19515979 3563 20275 5099 28937 19544916 - -
May 19107045 515899 19622944 3563 20275 5094 28932 19651876 - -
June 19266197 528490 19794687 3420 17525 5016 25961 19820648 67234 19887882
July 19464641 536387 20001028 4077 16525 5212 25815 20026843 - -
August 19421406 543748 19965154 4244 16775 4905 25923 19991078 - -
September 19498580 551960 20050540 4244 18175 4952 27371 20077911 66469 20144380
October 19634683 557583 20192266 3627 18175 4860 26662 20218928 - -
November 19761137 563133 20324270 3631 18175 5054 26861 20351131 - -
December 20243385 572353 20815738 1984 15360 7299 24644 20840382 66542 20906924
January 20079548 578806 20658354 2138 17560 7360 27058 20685412 - -
February 20326080 585275 20911355 2082 34185 8360 44627 20955982 - -
March 20634885 594633 21229518 1824 39170 8584 49578 21279096 70564 21349659
2022-23                    
April 20859403 602901 21462304 1758 39170 8380 49308 21511611 - -
May 20946600 608643 21555243 1758 39170 8436 49363 21604607 - -
June 20907432 616787 21524219 2136 41045 8509 51690 21575909 74794 21650703
July 21254776 623802 21878578 1924 43145 7812 52881 21931459 - -
August 21387173 629053 22016226 1654 20143 2203 24000 22040226 - -
September 21469976 634858 22104834 1643 49270 8017 58930 22163765 78061 22241826
October 21712620 639185 22351805 1518 49270 7657 58446 22410250 - -
November 21732946 642280 22375226 1423 49270 7706 58400 22433625 - -
December 22147115 648748 22795863 963 56570 8069 65601 22861465 81308 22942773
January 22199020 651847 22850867 1133 61870 7229 70232 22921099 - -
February 22399470 656017 23055487 1229 41920 6530 49679 23105166 - -
March 22628165 668887 23297052 1692 46407 6625 54724 23351776 85254 23437030
2023-24                    
April 22975070 670615 23645685 1811 57985 9795 69591 23715277 - -
May 23050135 672051 23722186 1802 53485 9795 65082 23787268 - -
June 23724457 678045 24402502 1164 62185 9707 73056 24475559 91373 24566932
July 23864857 684023 24548880 1107 62185 10006 73298 24622178 - -
  (24015316)   (24699339)         (24772637)    
August 23962818 687547 24650365 1137 60285 10136 71557 24721922 - -
  (24109614)   (24797161)         (24868718)    
September 24017844 694535 24712379 1152 53260 11435 65846 24778225 96210 24874435
  (24159840)   (24854375)         (24920222)    
October 24244761 697675 24942436 67084 1148 53260 12676 25009520 - -
  (24378956)   (25076631)         (25143715)    
November 24462451 702174 25164625 67961 1214 53910 12837 25232586 - -
  (24590685)   (25292859)         (25360820)    
December 24817697 708478 25526175 68815 1305 54485 13025 25594990 101152 25696142
  (24938984)   (25647462)         (25716277)    
January 24909855 713503 25623358 76805 1990 61750 13065 25700164 - -
  (25026157)   (25739660)         (25816465)    
February 25057984 717215 25775199 62974 678 50143 12152 25838173 - -
  (25170771)   (25887986)         (25950960)    
March 25387764 729246 26117010 85150 2375 70245 12531 26202160 102994 26305155
  (25496006)   (26225252)         (26310403)    
2024-25                    
April 25702843 729246 26432089 78167 1858 63595 12713 26510256 - -
  (25808825)   (26538071)         (26616238)    
May 26023034 729246 26752280 72510 1324 58570 12616 26824789 - -
  (26118212)   (26847458)         (26919968)    
June 26225278 729246 26954524 68179 748 54670 12761 27022704 102994 27125698
  (26314675)   (27043921)         (27112100)    
July 26277956 729246 27007202 68324 748 54670 12905 27075526 - -
  (26361158)   (27090404)         (27158728)    
Notes : CDs : Certificates of Deposit L1, L2 and L3 : Liquidity Aggregates NBFCs : Non-Banking Financial Companies
1. Postal Deposits comprise post office savings bank deposits, post office time deposits, post office recurring deposits, other deposits and post office cumulative time deposits.
2. Financial Institutions (FIs), here, comprise of EXIM Bank, NABARD, NHB, SIDBI and NaBFID. Since November 2019, updated data on liabilities of financial institutions have been incorporated in this table, and hence, are not comparable with past data.
3. Since July 2001, the term money borrowings of the FIs comprise borrowings from corporate and others.
4. Since August 2002, Term Deposits include CP and Others.
5. Estimates of public deposits are generated on the basis of returns received from all NBFCs with public deposits of ₹2000 lakh and more as had been recommended by the Working Group.
6. While L1 and L2 are compiled on a monthly basis, L3 is compiled on a quarterly basis.
7. Figures in parentheses include the impact of merger of a non-bank with a bank
8. - Not Available
Also see Notes on Tables.
Source : Reserve Bank of India.

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