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PDF - No. 6 : State Co-Operative Banks - Maintaining Accounts with the Reserve Bank of India ()
No. 6 : State Co-Operative Banks - Maintaining Accounts with the Reserve Bank of India
Date : Jul 14, 2000
 
 
 
 
 
 
 
 
 
 

(Rs. crore)


Last Reporting Friday

1990-91

1997-98

1998-99

1998


1999


(in case of March)/ Last Friday/

           

Reporting Friday


 
 
 

Oct.


Jun.


Jul.


Aug.


Sep.


Oct. 8


Oct. 22


Oct. 29


1


2


3


4


5


6


7


8


9


10


11


12


Number of reporting banks

28

28

28

28

28

28

28

28

28

28

28

            

Demand and Time Liabilities

           

Aggregate Deposits (1)

2,152

6,210

7,092

6,848

7,614

7,941

7,695

8,241

8,444

8,519

8,587

            

Demand Liabilities

1,831

2,883

3,065

3,041

3,186

3,525

5,216

3,332

3,539

3,480

3,663

            

Deposits

           
            

Inter-bank

718

964

1,112

1,137

1,141

1,300

1,250

1,165

1,216

1,195

1,356

            

Others

794

1,301

1,517

1,453

1,562

1,765

1,684

1,683

1,774

1,741

1,764

            

Borrowings from banks

181

118

70

86

69

79

75

79

81

82

80

            

Others

139

500

366

366

414

382

2,208

404

469

462

463

            

Time liabilities

3,963

17,627

21,997

21,565

22,971

23,476

21,533

23,709

23,966

24,077

24,316

            

Deposits

           

Inter-bank

2,545

12,623

16,291

16,051

16,770

17,148

15,377

16,988

17,128

17,126

17,267

            

Others

1,359

4,910

5,575

5,395

6,052

6,176

6,012

6,557

6,670

6,779

6,823

            

Borrowings from banks

-

12

18

16

19

18

18

18

18

18

18

            

Others

59

82

113

103

130

134

126

146

150

155

209

            

Borrowings from

           

Reserve Bank

15

-

3

-

3

3

3

2

3

3

3

            

Borrowings from the

           

State Bank and / or a

           

notified bank (2) and

           

State Government

1,861

3,740

5,102

3,266

5,542

5,531

5,253

5,416

5,757

5,621

5,352

            

Demand

116

1,017

795

613

832

637

574

642

892

847

644

            

Time

1,745

2,723

4,307

2,653

4,710

4,894

4,679

4,774

4,865

4,774

4,709

            

Assets

           
            

Cash in hand and balances

           

with Reserve Bank

334

791

788

893

942

789

852

852

875

787

881

            

Cash in hand

24

64

77

91

103

96

91

37

95

109

90

            

Balance with Reserve Bank

310

727

711

802

839

693

761

816

780

678

791

            

Balances with other banks in

           

current account

93

208

268

181

206

202

425

420

154

144

161

            

Investments in Government

           

securities (3)

1,058

4,941

5,841

5,810

5,949

5,793

5,849

6,246

6,272

6,421

6,324

            

Money at call and short notice

498

2,736

3,972

4,041

4,591

3,925

4,564

4,805

5,061

5,345

5,662

            

Bank credit (4)

2,553

7,748

8,869

7,118

9,043

8,991

8,651

8,479

8,696

9,069

9,214

            

Advances

           
            

Loans, cash-credits and overdrafts

2,528

7,729

8,851

7,095

9,025

8,970

8,631

8,461

8,678

9,051

9,196

            

Due from banks (5)

5,560

9,650

15,459

10,266

12,533

12,913

13,059

13,457

13,472

12,926

12,769

            

Bills purchased and discounted

25

18

17

23

19

20

19

18

18

19

18

            

Cash - Deposit Ratio

15.5

12.7

11.1

13.0

12.4

9.9

11.1

10.3

10.4

9.2

10.3

            

Investment - Deposit Ratio

49.2

79.6

82.4

84.8

78.1

73.0

76.0

75.8

74.3

75.4

73.6

            

Credit - Deposit Ratio


118.6


124.8


125.1


103.9


118.8


113.2


112.4


102.9


103.0


106.5


107.3


See 'Notes on Tables'.


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