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PDF - No. 3 : All Scheduled Banks - Business In India ()
No. 3 : All Scheduled Banks - Business In India
Date : Nov 12, 2001
     (Rs. crore)

Last Reporting Friday (in case of March) /

1990-91

1999-00

2000-01

2000


Last Friday

   

Sep.

Mar.


1

2

3

4

5

6


Number of reporting banks

299

364

363

364

363

      

Liabilities to the banking system (1)

6,673

56,233

82,550

61,978

82,550

      

Demand and time deposits from banks (2)

5,598

38,699

55,041

44,513

55,041

      

Borrowings from banks (3)

998

16,655

25,179

15,940

25,179

      

Other demand and time liabilities (4)

77

880

2,329

1,525

2,329

      

Liabilities to others (1)

2,13,125

9,44,813

11,12,370

10,37,733

11,12,370

      

Aggregate deposits (5)

1,99,643

8,62,098

10,16,440

9,46,020

10,16,440

      

Demand

34,823

1,33,000

1,48,669

1,41,697

1,48,669

      

Time (5)

1,64,820

7,29,098

8,67,771

8,04,323

8,67,771

      

Borrowings (6)

645

2,801

2,634

7,854

2,634

      

Other demand and time liabilities (4)

12,838

79,914

93,296

83,860

93,296

      

Borrowings from Reserve Bank (7)

3,483

6,523

3,966

6,832

3,966

      

Against usance bills / promissory notes

-

-

-

-

-

      

Others (8)

3,483

6,523

3,966

6,832

3,966

      

Cash in hand and balances with Reserve Bank

25,995

65,178

68,242

81,464

68,242

      

Cash in hand

1,847

5,728

6,085

5,767

6,085

      

Balances with Reserve Bank (9)

24,147

59,450

62,157

75,696

62,157


      

(Rs. crore)


Last Reporting Friday (in case of March) /

  

2001

   

Last Friday

Apr.

May

Jun.

Jul. (P)

Aug. (P)

Sep. (P)


1

7

8

9

10

11

12


Number of reporting banks

362

362

362

362

362

362

       

Liabilities to the banking system (1)

87,232

80,182

79,987

73,658

62,632

60,780

       

Demand and time deposits from banks (2)

56,255

52,176

52,351

48,458

40,388

38,830

       

Borrowings from banks (3)

28,908

26,487

26,107

23,760

20,808

20,485

       

Other demand and time liabilities (4)

2,069

1,519

1,530

1,439

1,436

1,464

       

Liabilities to others (1)

11,51,975

11,54,089

11,70,380

11,77,399

11,94,958

12,14,366

       

Aggregate deposits (5)

10,46,818

10,54,682

10,72,330

10,78,197

10,92,358

11,09,566

       

Demand

1,50,900

1,47,343

154,391

1,48,797

1,48,001

1,52,456

       

Time (5)

8,95,918

9,07,338

917,939

9,29,400

9,44,357

9,57,109

       

Borrowings (6)

5,842

4,262

2,267

2,243

4,246

5,282

       

Other demand and time liabilities (4)

99,315

95,145

95,783

96,959

98,353

99,518

       

Borrowings from Reserve Bank (7)

6,352

4,142

3,677

6,551

753

3,747

       

Against usance bills / promissory notes

-

-

-

-

-

-

       

Others (8)

6,352

4,142

3,677

6,551

753

3,747

       

Cash in hand and balances with Reserve Bank

85,768

77,608

84,377

80,706

72,761

86,537

       

Cash in hand

6,509

6,880

7,366

6,933

6,986

6,569

       

Balances with Reserve Bank (9)

79,260

70,728

77,011

73,773

65,775

79,968


      

Last Reporting Friday (in case of March) /

1990-91

1999-00

2000-01

2000


Last Friday

   

Sep.

Mar.


1

2

3

4

5

6


Assets with the Banking System

6,848

52,702

71,484

49,729

71,484

      

Balances with other banks

3,347

19,525

23,510

19,607

23,510

      

In current account

1,926

5,031

5,356

4,939

5,356

      

In other accounts

1,421

14,495

18,154

14,668

18,154

      

Money at call and short notice

2,201

26,670

39,916

24,121

39,916

      

Advances to banks (10)

902

4,204

5,003

3,220

5,003

      

Other assets

398

2,303

3,055

2,780

3,055

      

Investment

76,831

3,22,836

3,86,223

3,52,997

3,86,223

      

Government securities (11)

51,086

2,90,002

3,53,498

3,19,701

3,53,498

      

Other approved securities

25,746

32,834

32,724

33,296

32,724

      

Bank credit

1,25,575

4,76,025

5,59,856

5,19,332

5,59,856

      

Loans, cash-credits and overdrafts

1,14,982

4,40,056

5,17,250

4,79,121

5,17,250

      

Inland bills-purchased

3,532

5,032

5,225

5,390

5,225

      

Inland bills-discounted

2,409

13,186

19,174

17,003

19,174

      

Foreign bills-purchased

2,788

8,939

9,404

9,094

9,404

      

Foreign bills-discounted

1,864

8,812

8,803

8,724

8,803

      

Cash-Deposit Ratio

13.0

7.6

6.7

8.6

6.7

      

Investment-Deposit Ratio

38.5

37.4

38.0

37.3

38.0

      

Credit-Deposit Ratio

62.9

55.2

55.1

54.9

55.1


      

(Rs. crore)


Last Reporting Friday (in case of March) /

  

2001

   

Last Friday

Apr.

May

Jun.

Jul. (P)

Aug. (P)

Sep. (P)


1

7

8

9

10

11

12


Assets with the Banking System

77,822

72,195

71,894

65,315

62,613

59,626

       

Balances with other banks

24,986

22,057

22,756

21,809

21,160

20,413

       

In current account

6,042

5,747

5,605

5,486

5,125

5,001

       

In other accounts

18,945

16,310

17,151

16,323

16,035

15,412

       

Money at call and short notice

45,190

42,202

41,233

36,002

36,707

34,153

       

Advances to banks (10)

4,514

5,105

4,848

4,566

1,823

2,060

       

Other assets

3,132

2,831

3,057

2,937

2,923

3,001

       

Investment

3,94,677

4,07,348

4,09,619

4,24,233

4,35,419

4,32,037

       

Government securities (11)

3,61,736

3,74,508

3,77,982

3,91,055

4,02,230

3,98,444

       

Other approved securities

32,941

32,840

31,637

33,178

33,189

33,593

       

Bank credit

5,65,912

5,63,015

5,68,069

5,72,862

5,77,002

5,85,212

       

Loans, cash-credits and overdrafts

5,21,611

5,20,753

5,27,133

5,32,316

5,37,094

5,45,727

       

Inland bills-purchased

5,508

5,242

5,205

4,999

4,884

5,139

       

Inland bills-discounted

20,370

19,286

18,372

18,224

18,236

17,635

       

Foreign bills-purchased

9,823

9,093

9,273

9,054

8,614

8,556

       

Foreign bills-discounted

8,600

8,641

8,086

8,268

8,173

8,156

       

Cash-Deposit Ratio

8.2

7.4

7.9

7.5

6.7

7.8

       

Investment-Deposit Ratio

37.7

38.6

38.2

39.3

39.9

38.9

       

Credit-Deposit Ratio

54.1

53.4

53.0

53.1

52.8

52.7


See 'Notes on Tables'.


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