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Weekly Statistical Supplement


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Date : Mar 07, 2008
Scheduled Commercial Banks - Business in India


(Rs. crore)

 

Outstanding
as on

Variation over

Item

2008

Fortnight

Financial
year so far

Year-on-year

 

Feb. 15#

 

2006-2007

2007-2008

2007

2008

1

2

3

4

5

6

7

Liabilities to the Banking System

      

Demand and Time Deposits from Banks

39,844

–30

–1,852

–928

5,661

4,618

Borrowings from Banks(1)

28,405

2,780

3,956

–6,993

8,294

–4,747

Other Demand and Time Liabilities(2)

17,702

–256

560

5,416

1,433

8,252

Liabilities to Others

      

Aggregate Deposits

30,37,422

–52,118

3,43,594

4,29,113

4,82,364

5,84,779

  

(–1.7)

(16.3)

(16.5)

(24.5)

(23.8)

Demand

4,35,982

–77,758

28,305

6,845

75,713

43,037

Time

26,01,440

25,640

3,15,289

4,22,268

4,06,650

5,41,742

Borrowings(3)

1,03,772

8,783

576

17,936

5,635

20,053

Other Demand and Time Liabilities

2,83,362

–11,511

45,367

41,358

48,283

49,215

Borrowings from Reserve Bank

–724

207

–6,245

–1,338

–1,695

Cash in Hand and Balances with Reserve Bank

2,52,492

–59,052

29,618

56,162

53,738

82,769

Cash in Hand

16,630

–1,854

354

521

2,477

3,230

Balances with Reserve Bank

2,35,862

–57,197

29,263

55,640

51,261

79,538

Assets with the Banking System

      

Balance with Other Banks(4)

37,704

–2,031

–744

8,617

2,535

11,986

Money at Call and Short Notice

14,877

–528

3,377

–3,390

10,010

–2,119

Advances to Banks

3,030

–117

743

–3,173

1,215

–1,905

Other Assets

30,627

1,451

5,944

7,125

12,066

14,563

Investments(5)

9,83,526

32,937

52,135

1,93,095

55,445

2,13,936

  

(3.5)

(7.3)

(24.4)

(7.8)

(27.8)

Government Securities

9,63,724

32,150

53,505

1,88,744

57,639

2,09,477

Other Approved Securities

19,802

787

–1,369

4,351

–2,195

4,459

Bank Credit

22,09,732

2,420

3,06,589

2,80,819

4,14,361

3,96,066

  

(0.1)

(20.3)

(14.6)

(29.6)

(21.8)

Food Credit

42,818

1,627

3,308

–3,702

3,470

–1,180

Non-Food credit

21,66,913

793

3,03,281

2,84,521

4,10,891

3,97,246

Loans, Cash-credit and Overdrafts

21,18,260

2,358

3,03,054

2,76,635

4,01,873

3,84,751

Inland Bills- Purchased

11,203

106

–1,058

–4,709

2,065

–653

Discounted(6)

36,230

–450

164

4,930

3,054

5,250

Foreign Bills- Purchased

14,162

516

1,794

–1,977

3,435

–706

Discounted

29,876

–111

2,635

5,940

3,934

7,424

Cash-Deposit Ratio

8.31

     

Investment-Deposit Ratio

32.38

     

Credit-Deposit Ratio

72.75

     

(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.
Note : Includes the impact of mergers since May 3, 2002.


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