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Weekly Statistical Supplement


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Date : May 31, 2003
3. Scheduled Commercial Banks - Business in India

(Rs. crore)


  

Outstanding

Variation over


Item

as on 2003

Fortnight

Financial year so far

Year-on-year

  

May 16#

 

2002-2003

2003-2004

2002

2003


1

 

2

3

4

5

6

7


Liabilities to the Banking System

      
 

Demand and time deposits from Banks

41,921

506

6,171

1,470

–11,344

4,321

 

Borrowings from Banks(1)

18,886

2,695

410

–567

–3,097

–1,774

 

Other demand and time liabilities(2)

2,592

74

–185

300

414

554

Liabilities to Others

      
 

Aggregate deposits@

13,21,752

–1,961

75,617

41,176

1,81,110

1,42,775

   

(–0.1)

(6.9)

(3.2)

(18.1)

(12.1)

    

[7.1]

[3.3]

[19.0]

[12.6]

 

Demand

1,73,398

–4,641

–883

4,558

11,272

21,233

 

Time@

11,48,354

2,680

76,500

36,619

1,69,838

1,21,542

 

Borrowings(3)

15,911

349

6,709

3,288

7,413

6,174

 

Other demand and time liabilities

1,56,286

24,548

–4,916

27,338

15,194

49,319

Borrowings from Reserve Bank

11

–774

–68

–1,930

–2,831

        

Cash in hand and Balances with Reserve Bank

80,787

–8,818

10,205

15,447

1,474

1,935

 

Cash in hand

7,964

–145

489

959

457

1,230

 

Balances with Reserve Bank

72,823

–8,673

9,716

14,488

1,017

705

        

Assets with the Banking System

      
 

Balance with other Banks(4)

17,760

–946

–246

110

–1,372

12

 

Money at call and short notice

27,743

1,874

1,543

–4,946

–6,457

–424

 

Advances to Banks

6,826

1,408

630

–280

1,520

624

 

Other assets

2,665

–8

–326

167

272

318

Investments(5)

5,76,685

13,912

20,110

28,368

72,661

1,18,306

   

(2.5)

(4.6)

(5.2)

(18.8)

(25.8)

 

Government securities

5,49,410

13,659

20,528

27,594

76,301

1,17,706

 

Other approved securities

27,275

253

–418

774

–3,640

600

        

Bank Credit

7,31,140

–119

50,954

5,772

1,21,878

90,464

   

(—)

(8.6)

(0.8)

(23.5)

(14.1)

 

FoodCredit

49,277

–645

4,815

–202

12,357

–9,516

 

Non-food credit

6,81,863

526

46,138

5,974

1,09,521

99,980

        
 

Loans, cash-credit and overdrafts

6,85,913

681

50,049

8,047

1,20,667

88,258

 

Inland bills- purchased

5,712

–91

–269

–101

–506

949

 

discounted(6)

19,436

–1,127

980

–1,178

377

173

 

Foreign bills-purchased

9,603

90

–102

82

–271

617

 

discounted

10,476

328

296

–1,077

1,610

466

Cash-Deposit Ratio

6.11

     

Investment-Deposit Ratio

43.63

     

Credit-Deposit Ratio

55.32

     

@ : Includes Rs.17,945 crore on account of proceeds from Resurgent India Bonds (RIBs), since August 28, 1998 and Rs.25,662 crore on account of proceeds from India Millennium Deposits (IMDs), since November 17, 2000. Figures in italics are percentage variations net of RIBs and IMDs as the case may be.
(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, IDBI, 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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