TABLE 4.1 : MATURITY PATTERN OF TERM DEPOSITS OF SCHEDULED COMMERCIAL BANKS - 2007 TO 2009
(Amount in ` crore)
As on March 31
2007
2008
2009
No. of Accounts
Amount Outstanding
(1)
(2)
(3)
(4)
(5)
(6)
Upto 90 days
9555760
167042
6421142
151043
3907951
167827
(7.6)
(10.5)
(4.9)
(2.7)
(6.7)
91 days & above but
6042471
147350
4508089
167399
3529872
186035
less than 6 months
(4.8)
(9.2)
(3.4)
(8.4)
(204.0)
(7.5)
6 months & above but
11097696
283035
8410678
281990
9925088
338403
less than 1 year
(8.9)
(17.7)
(6.4)
(14.2)
(6.8)
(13.6)
1 year & above but
29123331
522672
38306041
794580
46080633
1032762
less than 2 years
(23.3)
(32.7)
(29.3)
(39.9)
(31.7)
(41.5)
2 years & above but
16480044
114853
14445436
136421
23035132
263407
less than 3 years
(13.2)
(7.2)
(11.0)
(6.9)
(15.9)
(10.6)
3 years & above but
31133502
245393
33136987
294960
32019247
313987
less than 5 years
(24.9)
(15.4)
(25.3)
(14.8)
(22.1)
(12.6)
5 years & above
21487211
115794
25558382
165000
26679299
188502
(17.2)
(7.3)
(19.5)
(8.3)
(18.4)
Total
124920015
1596139
130786755
1991394
145177222
2490923
(100.0)
Note : Figures in brackets represent percent share in total. Source : Basic Statistical Returns of Scheduled Commercial Banks in India, Volumes 36-38