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14. Business in India – All Scheduled Banks and All Scheduled Commercial Banks
Date : Oct 11, 2018
(₹ Billion)
Item As on the Last Reporting Friday (in case of March)/ Last Friday
All Scheduled Banks All Scheduled Commercial Banks
2017-18 2017 2018 2017-18 2017 2018
Aug. Jul. Aug. Aug. Jul. Aug.
1 2 3 4 5 6 7 8
Number of Reporting Banks 223 220 223 223 149 146 149 149
1 Liabilities to the Banking System 2,344.9 2,039.9 2,338.2 2,406.7 2,282.0 1,983.9 2,291.7 2,349.3
1.1 Demand and Time Deposits from Banks 1,667.5 1,523.8 1,659.9 1,529.5 1,615.6 1,470.5 1,615.5 1,484.9
1.2 Borrowings from Banks 611.7 459.1 609.8 717.9 601.2 458.7 609.4 708.7
1.3 Other Demand and Time Liabilities 65.7 57.1 68.5 159.4 65.2 54.7 66.8 155.7
2 Liabilities to Others 126,658.9 117,867.1 127,396.9 128,428.2 123,506.3 114,814.8 124,240.9 125,293.9
2.1 Aggregate Deposits 117,285.4 108,864.8 118,315.9 119,457.2 114,260.5 105,937.1 115,298.7 116,465.2
2.1.1 Demand 13,994.8 11,248.4 12,597.1 12,575.1 13,702.8 10,964.0 12,311.3 12,290.3
2.1.2 Time 103,290.6 97,616.4 105,718.7 106,882.0 100,557.7 94,973.1 102,987.5 104,174.8
2.2 Borrowings 3,693.9 3,510.3 4,166.4 3,671.7 3,657.1 3,474.4 4,117.4 3,623.2
2.3 Other Demand and Time Liabilities 5,679.7 5,492.0 4,914.7 5,299.3 5,588.7 5,403.3 4,824.8 5,205.5
3 Borrowings from Reserve Bank 2,740.1 32.7 763.0 617.0 2,739.8 32.7 763.0 616.6
3.1 Against Usance Bills /Promissory Notes
3.2 Others 2,740.1 32.7 763.0 617.0 2,739.8 32.7 763.0 616.6
4 Cash in Hand and Balances with Reserve Bank 6,029.2 5,433.2 5,594.2 5,605.7 5,857.5 5,287.8 5,453.1 5,464.3
4.1 Cash in Hand 616.3 772.7 735.2 727.8 600.65 752.4 714.6 709.7
4.2 Balances with Reserve Bank 5,412.9 4,660.5 4,859.1 4,877.9 5,256.9 4,535.5 4,738.6 4,754.6
5 Assets with the Banking System 3,011.8 2,851.2 3,183.9 3,231.4 2,614.6 2,411.8 2,809.5 2,876.4
5.1 Balances with Other Banks 2,041.9 1,928.7 2,186.8 2,125.0 1,860.5 1,739.1 2,022.2 1,958.2
5.1.1 In Current Account 156.0 129.6 159.1 116.7 123.1 109.6 138.8 96.4
5.1.2 In Other Accounts 1,885.9 1,799.1 2,027.7 2,008.4 1,737.4 1,629.6 1,883.4 1,861.9
5.2 Money at Call and Short Notice 360.5 329.8 315.8 460.2 182.4 155.9 152.2 314.8
5.3 Advances to Banks 284.1 290.7 375.2 349.3 282.0 289.8 372.6 339.5
5.4 Other Assets 325.3 301.9 306.1 296.9 289.6 226.9 262.5 263.9
6 Investment 34,124.7 33,864.9 35,555.7 35,991.6 33,184.5 32,904.4 34,614.0 35,047.0
6.1 Government Securities 34,067.4 33,799.5 35,482.1 35,925.6 33,174.1 32,886.0 34,595.0 35,034.7
6.2 Other Approved Securities 57.3 65.4 73.6 66.1 10.5 18.4 19.0 12.3
7 Bank Credit 88,785.3 79,339.0 88,702.2 90,394.0 86,254.2 76,911.9 86,162.3 87,807.5
7a Food Credit 611.4 670.9 739.0 718.8 419.9 479.4 508.8 488.5
7.1 Loans, Cash-credits and Overdrafts 86,451.5 77,283.5 86,502.3 88,196.0 83,984.8 74,917.0 84,010.7 85,656.9
7.2 Inland Bills-Purchased 230.3 196.2 215.2 214.4 203.9 183.4 197.8 198.6
7.3 Inland Bills-Discounted 1,417.3 1,285.8 1,379.8 1,383.9 1,387.5 1,243.6 1,355.7 1,360.0
7.4 Foreign Bills-Purchased 266.0 213.0 239.7 243.5 263.0 211.6 237.9 241.4
7.5 Foreign Bills-Discounted 420.3 360.4 365.2 356.2 415.0 356.2 360.1 350.6
Note: Data in column Nos. (4) & (8) are Provisional.

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