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(Rs. crore) |
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Outstanding as on |
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Item |
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Mar. 21, |
Mar. 19, |
Dec. 10, |
Dec. 24, |
Mar. 18, |
Dec. 9, |
Dec. 23, |
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2003 |
2004 |
2004 |
2004 |
2005 |
2005 |
2005 |
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1 |
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2 |
3 |
4 |
5 |
6 |
7 |
8 |
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Components |
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C.I |
Aggregate Deposits of Residents |
11,88,348 |
14,28,813 |
15,47,060 |
15,45,542 |
16,23,793 |
18,49,942 |
18,59,651 |
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(C.I.1+C.I.2) |
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C.I.1 |
Demand Deposits |
1,70,289 |
2,25,022 |
2,30,506 |
2,30,424 |
2,48,028 |
2,92,042 |
3,00,693 |
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C.I.2 |
Time Deposits of Residents |
10,18,058 |
12,03,791 |
13,16,553 |
13,15,118 |
13,75,766 |
15,57,900 |
15,58,958 |
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(C.I.2.1+C.I.2.2 ) |
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C.I.2.1 |
Short-term Time Deposits |
4,58,126 |
5,41,706 |
5,92,449 |
5,91,803 |
6,19,095 |
7,01,055 |
7,01,531 |
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C.I.2.1.1 |
Certificates of Deposits (CDs) |
735 |
6,911 |
8,094 |
7,555 |
13,112 |
30,731 |
32,168 |
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C.I.2.2 |
Long-term Time Deposits |
5,59,932 |
6,62,085 |
7,24,104 |
7,23,315 |
7,56,671 |
8,56,845 |
8,57,427 |
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C.II |
Call/Term Funding from Financial Institutions |
12,638 |
24,670 |
66,971 |
66,072 |
69,523 |
79,778 |
79,931 |
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Sources |
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S.I |
Domestic Credit (S.I.1+S.I.2) |
14,14,001 |
16,60,996 |
18,69,690 |
18,67,846 |
19,87,406 |
22,01,959 |
22,00,876 |
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S.I.1 |
Credit to the Government |
5,23,417 |
6,54,758 |
6,89,849 |
6,79,350 |
7,18,982 |
7,20,406 |
7,07,580 |
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S.I.2 |
Credit to the Commercial Sector |
8,90,584 |
10,06,239 |
11,79,840 |
11,88,496 |
12,68,425 |
14,81,553 |
14,93,296 |
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(S.I.2.1+S.I.2.2+S.I.2.3+S.I.2.4) |
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S.I.2.1 |
Bank Credit |
7,29,215 |
8,40,785 |
10,16,824 |
10,27,877 |
11,00,428 |
13,20,808 |
13,36,098 |
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S.I.2.1.1 |
Non-food Credit |
6,79,736 |
8,04,824 |
9,73,631 |
9,84,098 |
10,59,308 |
12,77,209 |
12,95,085 |
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S.I.2.2 |
Net Credit to Primary Dealers |
5,165 |
1,946 |
834 |
1,323 |
1,447 |
7,793 |
7,282 |
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S.I.2.3 |
Investments in Other Approved Securities |
24,129 |
22,830 |
21,099 |
20,852 |
20,172 |
23,587 |
23,364 |
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S.I.2.4 |
Other Investments (in non-SLR Securities) |
1,32,075 |
1,40,678 |
1,41,082 |
1,38,443 |
1,46,377 |
1,29,365 |
1,26,551 |
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S.II |
Net Foreign Currency Assets of |
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Commercial Banks (S.II.1-S.II.2-S.II.3) |
-68,720 |
-58,354 |
-72,387 |
-67,327 |
-75,980 |
-85,059 |
-74,365 |
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S.II.1 |
Foreign Currency Assets |
31,139 |
34,386 |
30,754 |
34,142 |
26,091 |
29,347 |
37,750 |
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S.II.2 |
Non-resident Foreign Currency Repatriable |
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Fixed Deposits |
92,506 |
75,603 |
76,516 |
75,713 |
76,405 |
78,976 |
78,110 |
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S.II.3 |
Overseas Foreign Currency Borrowings |
7,353 |
17,137 |
26,625 |
25,756 |
25,666 |
35,430 |
34,006 |
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S.III |
Net Bank Reserves (S.III.1+S.III.2-S.III.3) |
65,823 |
76,895 |
93,230 |
97,794 |
96,527 |
1,17,823 |
1,12,761 |
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S.III.1 |
Balances with the RBI |
58,335 |
68,997 |
84,546 |
89,513 |
88,105 |
1,07,508 |
1,02,881 |
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S.III.2 |
Cash in Hand |
7,567 |
7,898 |
8,683 |
8,945 |
8,472 |
10,315 |
10,340 |
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S.III.3 |
Loans and Advances from the RBI |
79 |
— |
— |
665 |
50 |
— |
460 |
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S.IV |
Capital Account |
87,831 |
1,04,554 |
1,30,315 |
1,30,266 |
1,33,688 |
1,60,336 |
1,69,887 |
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S.V. |
Other items (net) (S.I+S.II+S.III-S.IV-C.I-C.II) |
1,22,288 |
1,21,501 |
1,46,187 |
1,56,431 |
1,80,949 |
1,44,667 |
1,29,803 |
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S.V.1 |
Other Demand & Time Liabilities (net of S.II.3) |
1,22,453 |
1,30,947 |
1,40,861 |
1,40,235 |
1,67,094 |
1,46,761 |
1,52,456 |
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S.V.2 |
Net Inter-Bank Liabilities (other than to PDs) |
8,492 |
8,254 |
18,583 |
18,260 |
17,199 |
32,317 |
29,823 |
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Note : Data provisional. |
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