Table 4.1 : Maturity Pattern of Term Deposits of Scheduled Commercial Banks - 2006 to 2008
(Amount in Rs. crore) |
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Period of maturity |
As on March 31 |
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2006 |
2007 |
2008 |
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No. of |
Amount |
No. of |
Amount |
No. of |
Amount |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
|
Upto 90 days |
9674413 |
168248 |
9555760 |
167042 |
6421142 |
151043 |
|
(7.9) |
(13.5) |
(7.6) |
(10.5) |
(4.9) |
(7.6) |
91 days & above but |
6954578 |
117928 |
6042471 |
147350 |
4508089 |
167399 |
less than 6 months |
(5.7) |
(9.5) |
(4.8) |
(9.2) |
(3.4) |
(8.4) |
6 months & above but |
13021077 |
206329 |
11097696 |
283035 |
8410678 |
281990 |
less than 1 year |
(10.7) |
(16.6) |
(8.9) |
(17.7) |
(6.4) |
(14.2) |
1 year & above but |
25817363 |
330376 |
29123331 |
522672 |
38306041 |
794580 |
less than 2 years |
(21.2) |
(26.5) |
(23.3) |
(32.7) |
(29.3) |
(39.9) |
2 years & above but |
17695362 |
118283 |
16480044 |
114853 |
14445436 |
136421 |
less than 3 years |
(14.5) |
(9.5) |
(13.2) |
(7.2) |
(11.0) |
(6.9) |
3 years & above but |
29128550 |
201227 |
31133502 |
245393 |
33136987 |
294960 |
less than 5 years |
(23.9) |
(16.1) |
(24.9) |
(15.4) |
(25.3) |
(14.8) |
5 years & above |
19439312 |
103963 |
21487211 |
115794 |
25558382 |
165000 |
|
(16.0) |
(8.3) |
(17.2) |
(7.3) |
(19.5) |
(8.3) |
Total |
121730655 |
1246354 |
124920015 |
1596139 |
130786755 |
1991394 |
|
(100.0) |
(100.0) |
(100.0) |
(100.0) |
(100.0) |
(100.0) |
Note : Figures in brackets represent percent share in total. |
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