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PDF - 3. All Scheduled Banks - Business in India ()
3. All Scheduled Banks - Business in India
Date : Mar 11, 2004

(Amount in Rs. crore)

Last Reporting Friday (in case of March) /

1990-91

2001-02

2002-03

2003

2004

Last Friday

Jan.

Jul.

Aug.

Sep.

Oct. (P)

Nov. (P)

Dec. (P)

Jan. (P)

1

2

3

4

5

6

7

8

9

10

11

12

Number of reporting banks

299

362

360

360

362

360

359

359

359

359

359

Liabilities to the banking system (1)

6,673

57,500

64,376

60,612

61,099

61,628

63,152

55,560

52,777

53,326

52,880

Demand and time deposits from banks (2)

5,598

34,646

42,184

38,578

39,415

39,966

40,906

36,734

36,316

37,014

38,024

Borrowings from banks (3)

998

20,622

19,741

20,013

19,194

19,407

19,642

16,402

13,930

13,947

12,658

Other demand and time liabilities (4)

77

2,232

2,451

2,020

2,489

2,254

2,604

2,424

2,531

2,364

2,198

Liabilities to others (1)

2,13,125

12,79,135

14,89,690

14,81,532

15,61,853

15,87,102

16,19,170

16,15,650

16,29,068

16,45,815

16,79,159

Aggregate deposits (5)

1,99,643

11,61,791

13,44,879

13,40,767

14,18,175

14,37,339

14,66,368

14,58,048

14,70,276

14,86,756

15,18,583

Demand

34,823

1,59,378

1,76,572

1,73,008

1,80,130

1,84,223

1,95,895

1,97,696

1,94,847

1,99,962

2,03,443

Time (5)

1,64,820

10,02,413

11,68,307

11,67,759

12,38,046

12,53,116

12,70,472

12,60,352

12,75,429

12,86,794

13,15,139

Borrowings (6)

645

3,348

12,654

13,548

16,000

17,632

18,753

21,095

22,262

21,873

23,773

Other demand and time liabilities (4)

12,838

1,13,996

1,32,157

1,27,217

1,27,678

1,32,131

1,34,050

1,36,506

1,36,530

1,37,186

1,36,804

Borrowings from Reserve Bank (7)

3,483

3,694

117

435

8

8

7

34

30

5

6

Against usance bills / promissory notes

Others (8)

3,483

3,694

117

435

8

8

7

34

30

5

6

Cash in hand and balances with

 

Reserve Bank

25,995

72,579

69,457

77,243

85,904

79,398

77,921

82,281

85,379

81,440

83,366

Cash in hand

1,847

6,630

7,953

7,325

9,762

9,247

8,773

9,594

9,138

9,148

8,281

Balances with Reserve Bank (9)

24,147

65,949

61,504

69,919

76,142

70,151

69,148

72,687

76,241

72,292

75,085

See ‘Notes on Tables’.

 

 

(Amount in Rs. crore)

Last Reporting Friday (in case of March) /

1990-91

2001-02

2002-03

2003

2004

Last Friday

Jan.

Jul.

Aug.

Sep.

Oct. (P)

Nov. (P)

Dec. (P)

Jan. (P)

1

2

3

4

5

6

7

8

9

10

11

12

Assets with the Banking System

6,848

60,719

67,091

64,954

61,936

63,557

67,731

56,459

51,002

53,366

53,773

Balances with other banks

3,347

21,352

20,396

20,617

18,674

18,659

20,342

19,049

18,613

18,342

19,226

In current account

1,926

5,781

7,078

6,078

5,868

6,137

6,549

6,788

6,619

6,413

6,915

In other accounts

1,421

15,572

13,318

14,539

12,806

12,522

13,793

12,261

11,994

11,929

12,312

Money at call and short notice

2,201

30,168

35,874

33,741

31,828

33,342

34,100

25,171

19,997

22,341

22,433

Advances to banks (10)

902

5,593

7,791

7,762

8,448

8,552

10,138

9,114

9,420

9,705

9,284

Other assets

398

3,606

3,030

2,834

2,986

3,005

3,151

3,125

2,971

2,978

2,830

Investment

76,831

4,56,655

5,68,930

5,57,473

6,31,580

6,52,472

6,55,464

6,57,127

6,74,269

6,76,148

6,94,513

Government securities (11)

51,086

4,27,182

5,42,612

5,30,880

6,05,128

6,26,418

6,29,939

6,27,926

6,45,100

6,47,202

6,65,732

Other approved securities

25,746

29,473

26,317

26,594

26,452

26,055

25,525

29,201

29,168

28,946

28,781

Bank credit

1,25,575

6,42,001

7,84,457

7,60,819

7,81,325

7,85,823

8,04,952

8,16,174

8,21,240

8,35,505

8,55,977

Loans, cash-credits and overdrafts

1,14,982

5,98,694

7,35,973

7,14,856

7,36,090

7,40,979

7,59,613

7,68,045

7,73,510

7,87,388

8,05,890

Inland bills-purchased

3,532

5,430

6,077

5,522

5,518

5,616

6,500

8,853

7,286

6,979

7,128

Inland bills-discounted

2,409

18,781

20,713

20,406

19,943

19,402

18,462

19,304

19,745

20,314

21,339

Foreign bills-purchased

2,788

9,145

9,783

9,336

8,846

8,836

8,902

8,733

8,857

9,053

9,663

Foreign bills-discounted

1,864

9,951

11,911

10,698

10,928

10,990

11,474

11,240

11,841

11,771

11,957

Cash-Deposit Ratio

13.0

6.2

5.2

5.8

6.1

5.5

5.3

5.6

5.8

5.5

5.5

Investment-Deposit Ratio

38.5

39.3

42.3

41.6

44.5

45.4

44.7

45.1

45.9

45.5

45.7

Credit-Deposit Ratio

62.9

55.3

58.3

56.7

55.1

54.7

54.9

56.0

55.9

56.2

56.4


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