Publications

Document - Table No. 1.26 – Maturity Pattern of Term Deposits of Scheduled Commercial Banks According to Bank Group () or PDF - Table No. 1.26 – Maturity Pattern of Term Deposits of Scheduled Commercial Banks According to Bank Group ()
Date : May 04, 2006
Table No. 1.26 – Maturity Pattern of Term Deposits of Scheduled Commercial Banks According to Bank Group

(Per cent)

 

INDIVIDUALS

 

OTHERS

TOTAL

 

RESIDUAL PERIOD OF MATURITY

No. of

Amount

No. of

Amount

No. of

Amount

 

Accounts

 

Accounts

 

Accounts

 

 

1

2

3

4

5

6

1 day to 14 days

3.4

5.1

3.8

7.8

3.4

6.3

15 days to 28 days

3.1

3.2

2.9

5.1

3.1

4.0

29 days to 90 days

8.4

9.4

9.3

15.2

8.5

11.9

91 days & above but less than 6 months

11.0

11.7

11.3

18.6

11.0

14.6

6 months & above but less than 1 year

18.7

19.7

19.7

26.3

18.8

22.5

1 year & above but less than 3 years

30.5

30.2

32.5

19.4

30.6

25.5

3 years & above but less than 5 years

18.2

15.9

15.1

6.2

18.0

11.7

5 years & above

6.8

4.7

5.5

1.4

6.7

3.3

TOTAL

100.0

100.0

100.0

100.0

100.0

100.0

See Notes on Tables.