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Weekly Statistical Supplement


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Date : Feb 08, 2008
Scheduled Commercial Banks - Business in India


(Rs. crore)

Outstanding

Variation over

Item

as on

Financial year so far

Year-on-year

2008
Jan. 25#

Month

2006-2007

2007-2008

2007

2008

1

2

3

4

5

6

7

Liabilities to the Banking System

      

Demand and Time Deposits from Banks

39,638

2,510

–3,011

–1,134

449

5,571

Borrowings from Banks(1)

29,334

8,400

1,822

–6,065

–290

–1,685

Other Demand and Time Liabilities (2)

18,006

–56

–188

5,720

2,518

9,303

Liabilities to Others

      

Aggregate Deposits

31,17,891

1,75,916

2,99,407

5,09,582

4,57,624

7,09,435

  

(6.0)

(14.2)

(19.5)

(23.5)

(29.5)

Demand

5,56,054

1,17,098

3,514

1,26,916

57,524

1,87,900

Time

25,61,837

58,818

2,95,893

3,82,666

4,00,100

5,21,535

Borrowings(3)

1,08,695

13,144

751

22,859

4,833

24,801

Other Demand and Time Liabilities

2,75,787

8,650

25,268

33,783

30,862

61,739

Borrowings from Reserve Bank

1,610

768

2,829

–4,635

1,210

–2,706

Cash in Hand and Balances with Reserve Bank

2,73,157

22,472

26,513

76,827

40,308

1,06,538

Cash in Hand

19,135

2,373

702

3,027

2,409

5,388

Balances with Reserve Bank

2,54,022

20,099

25,811

73,800

37,899

1,01,151

Assets with the Banking System

      

Balance with Other Banks(4)

40,218

6,969

–1,111

11,130

553

14,866

Money at Call and Short Notice

18,566

7,724

588

299

2,087

4,359

Advances to Banks

3,329

–146

975

–2,873

1,241

–1,837

Other Assets

29,571

1,418

8,943

6,068

16,025

10,509

Investments(5)

9,83,095

42,887

37,389

1,92,664

47,839

2,28,251

  

(4.6)

(5.2)

(24.4)

(6.8)

(30.2)

Government Securities

9,64,038

43,080

38,686

1,89,058

50,061

2,24,610

Other Approved Securities

19,057

–193

–1,297

3,606

–2,222

3,641

Bank Credit

21,82,311

60,546

2,73,648

2,53,398

4,08,802

4,01,586

  

(2.9)

(18.2)

(13.1)

(29.8)

(22.6)

Food Credit

39,817

–451

1,380

–6,704

3,383

–2,254

Non-Food credit

21,42,494

60,996

2,72,268

2,60,102

4,05,419

4,03,840

Loans, Cash-credit and Overdrafts

20,90,478

55,518

2,69,906

2,48,852

3,95,119

3,90,117

Inland Bills- Purchased

11,303

626

–1,542

–4,609

1,450

–69

Discounted(6)

36,309

2,199

1,027

5,009

4,514

4,465

Foreign Bills- Purchased

13,760

1,014

1,370

–2,379

3,363

–684

Discounted

30,462

1,189

2,888

6,525

4,356

7,757

Cash-Deposit Ratio

8.76

     

Investment-Deposit Ratio

31.53

     

Credit-Deposit Ratio

69.99

     

(1) Excluding borrowings of Regional Rural Banks from their sponsor banks.
(2) Wherever it has not been possible to identify a liability to the banking system, it has been included in the corresponding items under 'liabilities to others'.
(3) Other than from Reserve Bank of India, NABARD and EXIM Bank.
(4) In current account and in other account.
(5) Investments set out in this Table are for the purpose of SLR and do not include other investments which are given
separately in Table No. 5.
(6) Excludes bills rediscounted with the Reserve Bank of India.
Figures in brackets denote percentage variation in the relevant period.
Notes :
1. Includes the impact of mergers since May 3, 2002.
2. Based on Special Returns submited by the banks as required when the last Friday of the month is not an alternate Friday
for the reporting purposes.


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