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Weekly Statistical Supplement


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Date : Oct 09, 2004
3. Scheduled Commercial Banks - Business in India

(Rs. crore)

Outstanding

Variation over

as on

Financial year so far

Year-on-year

Item

2004

Month

Sep. 24#

2003-2004

2004-2005

2003

2004

1

2

3

4

5

6

7

Liabilities to the Banking System

Demand and time deposits from Banks

34,744

–2,267

–852

–2,089

818

–4,858

Borrowings from Banks (1)

16,969

3,046

–62

1,943

–3,524

–2,606

Other demand and time liabilities(2)

4,362

132

335

1,735

629

1,773

Liabilities to Others

Aggregate deposits@

15,97,502

8,315

1,19,229

93,086

1,55,611

1,97,419

(0.5)

(9.3)

(6.2)

(12.5)

(14.1)

Demand

2,20,631

2,610

19,082

–4,391

26,839

31,260

Time@

13,76,870

5,706

1,00,147

97,477

1,28,772

1,66,159

Borrowings(3)

31,034

177

6,030

6,364

7,399

12,366

Other demand and time liabilities

1,50,717

1,104

2,152

2,633

13,520

18,759

Borrowings from Reserve Bank

3

3

–78

3

–45

2

Cash in hand and Balances with Reserve Bank

90,954

5,697

8,389

14,059

–4,298

16,663

Cash in hand

7,393

–825

787

–505

1,827

–961

Balances with Reserve Bank

83,561

6,522

7,602

14,564

–6,125

17,624

Assets with the Banking System

Balance with other Banks(4)

17,299

–624

409

337

–60

–299

Money at call and short notice

22,456

5,038

–993

4,398

–7,366

–8,686

Advances to Banks

11,225

1,056

2,294

702

1,783

1,785

Other assets

2,186

–571

153

–452

198

–517

Investments (5)

6,98,593

–25,719

82,092

21,005

1,28,395

68,955

(–3.6)

(15.0)

(3.1)

(25.6)

(11.0)

Government securities

6,72,068

–25,799

82,656

17,310

1,30,166

65,995

Other approved securities

26,525

81

–564

3,695

–1,771

2,960

Bank Credit

9,29,727

21,418

21,190

88,942

76,652

1,79,321

(2.4)

(2.9)

(10.6)

(11.4)

(23.9)

Food Credit

38,142

–1,723

–12,074

2,181

–15,541

737

Non-food credit

8,91,585

23,141

33,264

86,761

92,194

1,78,585

Loans, cash-credit and overdrafts

8,77,559

20,890

24,252

88,319

75,048

1,71,235

Inland bills- purchased

6,720

–50

483

–249

1,335

652

discounted(6)

22,000

141

–2,230

270

137

4,046

Foreign bills-purchased

9,783

256

–881

–330

–660

914

discounted

13,665

181

–434

932

793

2,474

Cash-Deposit Ratio

5.69

Investment-Deposit Ratio

43.73

Credit-DepositRatio

58.20

@ : Includes Rs.25,662 crore on account of proceeds from India Millennium Deposits (IMDs), since November 17, 2000.
Data also reflect redemption of Resurgent India Bonds (RIBs) of Rs.22,693 crore, since October 1, 2003.
(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.
Notes: 1. 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.
2. Includes the impact of mergers since May 3, 2002.



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