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Document - 4. All Scheduled Commercial Banks - Business in India () or PDF - 4. All Scheduled Commercial Banks - Business in India ()
4. All Scheduled Commercial 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

271

286

285

286

284

284

284

284

284

284

284

                       

Liabilities to the banking system (1)

6,486

54,487

67,049

65,876

75,949

79,370

81,004

82,214

76,196

77,543

79,299

                       

Demand and time deposits from banks (2), (12)

5,443

36,834

36,308

33,943

37,510

37,647

38,443

38,543

39,302

39,320

40,010

                       

Borrowings from banks (3)

967

15,026

27,616

28,459

26,828

29,810

30,787

32,020

31,543

32,031

33,714

                       

Other demand and time liabilities (4)

76

2,627

3,125

3,475

11,611

11,913

11,774

11,651

5,351

6,192

5,574

                       

Liabilities to others (1)

2,05,600

16,77,170

19,62,481

18,41,328

19,98,633

20,13,781

20,74,302

20,82,943

21,65,172

21,88,361

21,76,999

                       

Aggregate deposits (5)

1,92,541

15,04,416

17,00,198

16,11,773

17,78,869

17,93,084

18,32,339

18,44,416

19,09,214

19,11,209

19,16,163

                       

Demand

33,192

2,25,022

2,48,028

2,29,682

2,53,552

2,63,768

2,83,260

2,76,602

2,95,994

2,88,621

2,86,358

                       

Time (5)

159,349

12,79,394

14,52,171

13,82,091

15,25,317

15,29,316

15,49,079

15,67,814

16,13,220

16,22,589

16,29,805

                       

Borrowings (6)

470

24,670

69,523

67,422

71,008

70,918

74,811

77,166

77,344

81,790

80,137

                       

Other demand and time liabilities (4), (13)

12,589

1,48,084

1,92,760

1,62,133

1,48,756

1,49,779

1,67,152

1,61,361

1,78,614

1,95,362

1,80,700

                       

Borrowings from Reserve Bank (7)

3,468

50

8

774

800

                       

Against usance bills/promissory notes

                       

Others

3,468

50

8

774

800

                       

Cash in hand and balances with

                     

Reserve Bank

25,665

76,895

96,577

99,108

99,590

1,06,097

1,23,667

1,14,295

1,16,213

1,15,501

1,20,648

                       

Cash in hand

1,804

7,898

8,472

9,666

9,987

10,111

10,583

10,227

10,513

10,838

10,960

                       

Balances with Reserve Bank (9)

23,861

68,997

88,105

89,442

89,603

95,986

1,13,084

1,04,068

1,05,700

1,04,663

1,09,687

See ‘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

5,582

48,179

51,297

49,003

52,853

57,568

59,187

58,795

53,846

54,714

55,709

                       

Balances with other banks

2,846

16,961

19,321

16,226

19,479

19,601

20,252

21,091

23,726

24,087

22,787

                       

In current account

1,793

6,392

7,673

6,899

8,385

8,680

9,196

9,654

10,050

11,729

10,571

                       

In other accounts

1,053

10,570

11,647

9,327

11,094

10,921

11,056

11,437

13,676

12,357

12,216

                       

Money at call and short notice

1,445

18,058

19,861

21,212

20,206

26,356

26,304

24,700

23,173

23,483

26,197

                       

Advances to banks (10)

902

10,523

9,691

9,133

8,878

9,157

9,539

9,883

3,302

3,205

3,443

                       

Other assets

388

2,637

2,425

2,432

4,291

2,454

3,093

3,120

3,645

3,940

3,281

                       

Investment

75,065

6,77,588

7,39,154

7,02,270

7,48,831

7,38,275

7,47,476

7,61,528

7,53,436

7,54,055

7,43,169

                       

Government securities (11)

49,998

6,54,758

7,18,982

6,81,043

7,29,223

7,18,799

7,28,262

7,41,968

7,29,116

7,29,791

7,19,407

                       

Other approved securities

25,067

22,830

20,172

21,227

19,608

19,475

19,214

19,560

24,320

24,264

23,762

                       

Bank credit (14)

1,16,301

8,40,785

11,00,428

10,07,098

11,41,073

11,61,203

11,85,940

12,01,832

12,56,141

12,84,400

13,05,860

 

(4,506)

(35,961)

(41,121)

(42,380)

(45,727)

(44,802)

(39,555)

(40,113)

(39,549)

(39,805)

(42,455)

                       

Loans,cash-credits and overdrafts

1,05,982

7,89,240

10,40,212

9,51,767

10,83,010

11,03,487

11,27,648

11,42,981

11,94,387

12,20,204

12,41,252

                       

Inland bills-purchased

3,375

6,969

7,554

7,535

7,680

7,478

8,701

9,007

10,520

9,831

9,351

                       

Inland bills-discounted

2,336

21,730

25,233

23,007

24,110

24,073

23,185

22,883

23,753

25,296

25,893

                       

Foreign bills-purchased

2,758

10,113

10,828

10,197

10,172

10,208

10,296

10,075

10,450

11,122

10,824

                       

Foreign bills-discounted

1,851

12,733

16,602

14,591

16,101

15,957

16,109

16,886

17,030

17,947

18,540

                       

Cash-Deposit Ratio

13.3

5.1

5.7

6.1

5.6

5.9

6.7

6.2

6.1

6.0

6.3

                       

Investment- Deposit Ratio

39.0

45.0

43.5

43.6

42.1

41.2

40.8

41.3

39.5

39.5

38.8

                       

Credit-Deposit Ratio

60.4

55.9

64.7

62.5

64.1

64.8

64.7

65.2

65.8

67.2

68.1


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