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Document - Table 4.1 : Maturity Pattern of Term Deposits of Scheduled Commercial Banks - 2008 to 2010 () or PDF - Table 4.1 : Maturity Pattern of Term Deposits of Scheduled Commercial Banks - 2008 to 2010 ()
Date : Nov 14, 2011
Table 4.1 : Maturity Pattern of Term Deposits of Scheduled Commercial Banks - 2008 to 2010

(Amount in ` crore)

Period of maturity

As on March 31

2008

2009

2010

No. of Accounts

Amount Outstanding

No. of Accounts

Amount Outstanding

No. of Accounts

Amount Outstanding

 

(1)

(2)

(3)

(4)

(5)

(6)

Upto 90 days

6421142

151043

3907951

167827

4326247

191353

(4.9)

(7.6)

(2.7)

(6.7)

(3.0)

(6.9)

91 days & above but
less than 6 months

4508089

167399

3529872

186035

3671209

232236

(3.4)

(8.4)

(204.0)

(7.5)

(2.6)

(8.4)

6 months & above but less than 1 year

8410678

281990

9925088

338403

8665164

381014

(6.4)

(14.2)

(6.8)

(13.6)

(6.0)

(13.7)

1 year & above but less than 2 years

38306041

794580

46080633

1032762

42372434

1052275

(29.3)

(39.9)

(31.7)

(41.5)

(29.5)

(37.9)

2 years & above but
Less than 3 years

14445436

136421

23035132

263407

25202884

342746

(11.0)

(6.9)

(15.9)

(10.6)

(17.5)

(12.3)

3 years & above but
less than 5 years

33136987

294960

32019247

313987

31484019

345065

(25.3)

(14.8)

(22.1)

(12.6)

(21.9)

(12.4)

5 years & above

25558382

165000

26679299

188502

27900886

230617

(19.5)

(8.3)

(18.4)

(7.6)

(19.4)

(8.3)

Total

130786755

1991394

145177222

2490923

143622843

2775306

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

Note : Figures in brackets represent percent share in total.
Source : Basic Statistical Returns of Scheduled Commercial Banks in India, Volumes 37-39