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PDF - Table No. 1.19  Bank Group-Wise Deposits of Scheduled Commercial BanksAccording to Type of Deposits ()
Date : Mar 01, 2001
Table No. 1.19 Bank Group-Wise Deposits of Scheduled Commercial BanksAccording to Type of Deposits

March 2001

(No. of Accounts in Thousands, Amount in Rupees Lakh)


 

CURRENT

SAVINGS

TERM

TOTAL


 

No. of

Amount

No. of

Amount

No. of

Amount

No. of

Amount

BANK GROUP

Accounts

 

Accounts

 

Accounts

 

Accounts

 

 

1

2

3

4

5

6

7

8


STATE BANK OF INDIA

32,44

34158,29

665,39

63522,60

326,97

138711,86

1024,80

236392,75

AND ITS ASSOCIATES

(3.2)

(14.4)

(64.9)

(26.9)

(31.9)

(58.7)

(100.0)

(100.0)

         

NATIONALISED BANKS

109,06

54326,00

1578,11

131949,42

710,14

321756,72

2397,31

508032,14

 

(4.6)

(10.7)

(65.8)

(26.0)

(29.6)

(63.3)

(100.0)

(100.0)

         

FOREIGN BANKS

2,22

10919,28

13,90

5969,81

14,85

33341,07

30,97

50230,16

 

(7.2)

(21.7)

(44.9)

(11.9)

(47.9)

(66.4)

(100.0)

(100.0)

         

REGIONAL RURAL BANKS

8,20

1502,35

366,75

14731,77

122,09

21719,12

497,05

37953,23

 

(1.6)

(4.0)

(73.8)

(38.8)

(24.6)

(57.2)

(100.0)

(100.0)

         

OTHER SCHEDULED

22,47

14830,54

176,10

16067,11

131,59

85927,36

330,17

116825,01

COMMERCIAL BANKS

(6.8)

(12.7)

(53.3)

(13.8)

(39.9)

(73.5)

(100.0)

(100.0)


ALL SCHEDULED

174,39

115736,46

2800,26

232240,71

1305,65

601456,12

4280,29

949433,29

COMMERCIAL BANKS

(4.1)

(12.2)

(65.4)

(24.5)

(30.5)

(63.3)

(100.0)

(100.0)