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Document - 3. All Scheduled Banks - Business in India () or PDF - 3. All Scheduled Banks - Business in India ()
3. All Scheduled Banks - Business in India
Date : Jan 19, 2006

 

         

(Amount in Rs. crore)

Last Reporting Friday (in case of March) /

1990-91

2003-04

2004-05

2004

2005

Last Friday

                     
       

Nov.

May

Jun.

Jul.

Aug.

Sep. (P)

Oct. (P)

Nov. (P)

                       

1

2

3

4

5

6

7

8

9

10

11

12

                       

Number of reporting banks

299

357

356

357

355

355

355

355

355

355

355

                       

Liabilities to the banking system (1)

6,673

55,862

68,719

68,043

79,317

82,018

82,792

84,764

78,882

79,164

80,952

                       

Demand and time deposits from banks (2)

5,598

38,136

37,830

36,034

40,735

40,170

40,059

41,043

41,954

40,917

41,577

                       

Borrowings from banks (3)

998

15,088

27,763

28,533

26,969

29,935

30,958

32,069

31,576

32,054

33,800

                       

Other demand and time liabilities (4)

77

2,638

3,126

3,476

11,613

11,914

11,775

11,652

5,352

6,194

5,574

                       

Liabilities to others (1)

2,13,125

17,48,364

20,35,881

19,13,877

20,72,720

20,88,054

21,48,975

21,57,431

22,41,467

22,64,878

22,54,390

                       

Aggregate deposits (5)

1,99,643

15,73,341

17,70,898

16,81,290

18,50,185

18,64,359

19,04,250

19,16,255

19,82,444

19,84,253

19,90,479

                       

Demand

34,823

2,31,920

2,55,365

2,36,732

2,61,097

2,71,454

2,91,768

2,84,742

3,04,047

2,96,636

2,94,580

                       

Time (5)

1,64,820

13,41,421

15,15,533

14,44,558

15,89,088

15,92,904

16,12,482

16,31,513

16,78,397

16,87,618

16,95,899

                       

Borrowings (6)

645

24,761

69,993

68,058

71,584

71,759

75,359

77,626

77,787

82,975

80,936

                       

Other demand and time liabilities (4)

12,838

1,50,263

1,94,990

1,64,529

1,50,951

1,51,936

1,69,366

1,63,549

1,81,236

1,97,650

1,82,976

                       

Borrowings from Reserve Bank (7)

3,483

2

82

10

776

15

2

2

802

14

9

                       

Against usance bills / promissory notes

                       

Others (8)

3,483

2

82

10

776

15

2

2

802

14

9

                       

Cash in hand and balances with

                     

Reserve Bank

25,995

80,708

1,00,662

1,03,251

1,03,807

1,10,270

1,28,750

1,18,572

1,21,074

1,19,732

1,25,058

                       

Cash in hand

1,847

8,283

8,861

10,175

10,766

10,556

11,041

10,660

11,583

11,311

11,469

                       

Balances with Reserve Bank (9)

24,147

72,426

91,801

93,076

93,041

99,714

1,17,709

1,07,912

1,09,491

1,08,421

1,13,590

Ssee: ‘Notes on Tables’.


 

             

(Amount in Rs. crore)

Last Reporting Friday (in case of March) /

1990-91

2003-04

2004-05 (P)

2004

2005

Last Friday

                     
       

Nov.

May

Jun.

Jul.

Aug.

Sep. (P)

Oct. (P)

Nov. (P)

                       

1

2

3

4

5

6

7

8

9

10

11

12

                       

Assets with the Banking System

6,848

54,765

58,783

55,991

61,361

65,484

67,207

66,604

61,887

63,082

64,008

                       

Balances with other banks

3,347

19,723

22,047

18,669

22,281

22,280

23,207

24,580

27,651

27,697

26,371

                       

In current account

1,926

7,263

8,540

7,701

9,233

9,571

10,173

10,504

10,971

12,613

11,474

                       

In other accounts

1,421

12,461

13,506

10,968

13,049

12,709

13,034

14,076

16,679

15,083

14,898

                       

Money at call and short notice

2,201

20,783

23,017

24,947

24,504

30,435

30,263

27,894

26,178

26,586

29,731

                       

Advances to banks (10)

902

11,075

10,706

9,543

9,814

9,893

10,272

10,551

3,968

3,873

4,067

                       

Other assets

398

3,184

3,013

2,831

4,762

2,877

3,464

3,578

4,090

4,927

3,838

                       

Investment

76,831

7,05,991

7,71,167

7,33,647

7,80,797

7,70,023

7,79,389

7,93,759

7,85,573

7,86,682

7,76,084

                       

Government securities (11)

51,086

6,81,419

7,49,586

7,10,850

7,59,862

7,49,234

7,58,907

7,72,951

7,60,040

7,61,236

7,51,163

                       

Other approved securities

25,746

24,571

21,581

22,798

20,935

20,789

20,482

20,808

25,533

25,445

24,921

                       

Bank credit

1,25,575

8,96,213

11,59,204

10,62,507

11,99,556

12,20,464

12,48,052

12,60,835

13,18,114

13,44,980

13,67,643

                       

Loans, cash-credits and overdrafts

1,14,982

8,43,140

10,97,799

10,05,974

11,40,259

11,61,583

11,88,616

12,00,855

12,55,229

12,79,629

13,01,946

                       

Inland bills-purchased

3,532

7,912

7,878

7,860

7,995

7,800

9,022

9,329

10,862

10,167

9,652

                       

Inland bills-discounted

2,409

22,278

25,736

23,482

24,624

24,480

23,572

23,234

24,077

25,604

26,182

                       

Foreign bills-purchased

2,788

10,142

10,857

10,227

10,202

10,237

10,319

10,101

10,479

11,147

10,851

                       

Foreign bills-discounted

1,864

12,741

16,934

14,964

16,476

16,365

16,524

17,315

17,467

18,433

19,012

                       

Cash-Deposit Ratio

13.0

5.1

5.7

6.1

5.6

5.9

6.8

6.2

6.1

6.0

6.3

                       

Investment-Deposit Ratio

38.5

44.9

43.5

43.6

42.2

41.3

40.9

41.4

39.6

39.6

39.0

                       

Credit-Deposit Ratio

62.9

57.0

65.5

63.2

64.8

65.5

65.5

65.8

66.5

67.8

68.7


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