1. Reserve Bank of India - Liabilities and Assets
(` Billion)
Item
2013
2014
Variation
May 17
May 9
May 16
Week
Year
1
2
3
4
5
4 Loans and advances
4.1 Central Government
–
4.2 State Governments
4.16
11.53
6.65
–4.88
2.49
2. Foreign Exchange Reserves
As on May 16, 2014
Variation over
End-March 2014
` Bn.
US$ Mn.
6
7
8
1 Total Reserves
18,567.8
314,925.2
–285.0
1,093.8
284.0
10,702.0
2,558.8
22,959.0
1.1 Foreign Currency Assets
16,941.2
287,816.3
–267.3
1,266.4
332.1
11,457.0
2,589.9
26,343.9
1.2 Gold
1,265.0
20,965.8
–31.2
–601.0
–34.9
–3,008.3
1.3 SDRs
262.7
4,462.4
–6.2
–14.5
–5.6
–1.2
26.4
156.8
1.4 Reserve Position in the IMF
98.9
1,680.7
–11.5
–158.1
–11.3
–152.8
–22.6
–533.4
4. Scheduled Commercial Banks - Business in India
Outstanding as on May. 2, 2014
Fortnight
Financial year so far
Year-on-year
2013-14
2014-15
2 Liabilities to Others
2.1 Aggregate Deposits
78,884.2
184.5
1,183.6
1,490.3
8,032.4
10,196.0
2.1a Growth (Per cent)
0.2
1.8
1.9
13.2
14.8
2.1.1 Demand
7,482.3
216.4
–175.3
274.3
424.0
1,034.7
2.1.2 Time
71,401.8
–31.9
1,358.9
1,216.0
7,608.5
9,161.4
2.2 Borrowings
2,160.3
–1.6
–78.7
–50.0
167.6
22.4
2.3 Other Demand and Time Liabilities
4,213.9
89.0
–302.8
–189.8
178.5
400.4
7 Bank Credit
60,674.6
313.8
693.5
543.7
6,840.8
7,376.5
7.1a Growth (Per cent)
0.5
1.3
0.9
14.7
13.8
7a.1 Food Credit
1,053.1
126.2
196.6
68.3
172.0
–107.8
7a.2 Non-food credit
59,621.5
187.6
496.9
475.4
6,668.9
7,484.2
6. Money Stock: Components and Sources
Outstanding as on 2014
Financial Year so far
Year-on-Year
Mar. 31
May 2
Amount
%
9
10
11
12
M3
95,066.4
97,058.3
224.7
1,542.9
1,992.0
2.1
9,793.1
12.9
11,598.2
13.6
1 Components
1.1 Currency with the Public
12,482.9
12,940.2
26.6
395.1
3.5
457.3
3.7
1,104.5
10.3
1,134.0
9.6
1.2 Demand Deposits with Banks
8,062.8
8,342.5
220.5
2.7
–218.8
–2.9
279.7
480.5
7.0
1,022.2
14.0
1.3 Time Deposits with Banks
74,501.7
75,756.8
–19.1
1,377.9
1,255.1
1.7
8,205.0
14.1
9,444.2
14.2
1.4 ‘Other’ Deposits with Reserve Bank
19.1
18.9
–3.3
–14.8
–11.4
–35.1
–0.2
–1.1
3.1
17.5
–2.2
–10.3
2 Sources (2.1+2.2+2.3+2.4-2.5)
2.1 Net Bank Credit to Government
30,504.6
30,545.4
31.5
0.1
779.7
2.9
40.8
3,208.5
13.0
2,672.3
2.1.1 Reserve Bank
7,077.5
6,386.6
–182.2
361.9
–690.9
1,020.7
118.9
2.1.2 Other Banks
23,427.1
24,158.8
213.7
417.8
2.0
731.7
2,187.8
11.3
2,553.4
11.8
2.2 Bank Credit to Commercial Sector
64,497.0
65,051.8
313.6
753.6
554.8
7,415.8
7,650.4
13.3
2.2.1 Reserve Bank
88.4
89.9
–15.8
1.5
–23.1
75.2
2.2.2 Other Banks
64,408.6
64,961.9
769.4
1.4
553.3
7,438.9
14.9
7,575.2
8. Liquidity Operations by RBI
Date
Liquidity Adjustment Facility
MSF
Standing Liquidity Facilities
OMO (Outright)
Net Injection (+)/ Absorption (-) (1+3+4+5+7-2-6)
Repo
Reverse Repo
Term Repo
Sale
Purchase
May 12, 2014
215.23
20.74
31.70
127.24
353.43
May 13, 2014
213.07
3.32
183.35
15.54
411.64
May 15, 2014
208.91
132.61
–83.00
–6.70
May 16, 2014
89.14
132.93
610.05
0.45
–7.20
559.51
Explanatory notes are available in Reserve Bank of India Bulletin. The above information can be accessed on Internet at http://www.wss.rbi.org.in Time series data are available at http://dbie.rbi.org.in
Ajit Prasad Assistant General Manager
Press Release : 2013-2014/2276