Table 2.2 : Business of Scheduled Banks in India According to Bank Group - 2008-09
(Amount in Rs. crore) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
|
|
|
|
|
|
|
|
State Bank of India & its Associates |
|
|
|
|
|
|
|
No. of Reporting Banks |
8 |
8 |
8 |
8 |
8 |
7 |
7 |
I. Liabilities to the banking system |
21225 |
16460 |
14304 |
12660 |
12553 |
12691 |
14422 |
(a) Demand and time deposits from banks |
16556 |
12851 |
12243 |
10887 |
10061 |
9395 |
10479 |
(b) Borrowings from banks |
1957 |
1472 |
881 |
677 |
1310 |
1282 |
2199 |
(c) Other demand and time liabilities |
2712 |
2137 |
1180 |
1096 |
1182 |
2014 |
1744 |
II. Liabilities to others in India |
829675 |
830045 |
836968 |
841855 |
863231 |
885506 |
897241 |
(a) Aggregate deposits |
728055 |
727223 |
737615 |
736096 |
757392 |
790205 |
802706 |
(i) Demand deposits |
115373 |
91992 |
87400 |
84177 |
85461 |
92297 |
98348 |
(ii) Time Deposits |
612682 |
635231 |
650215 |
651919 |
671931 |
697908 |
704358 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
1208 |
931 |
1111 |
1594 |
1470 |
1507 |
1253 |
(c) Other demand and time liabilities |
100412 |
101891 |
98242 |
104165 |
104369 |
93794 |
93282 |
III. Assets with the banking system |
14618 |
12598 |
11599 |
11415 |
10319 |
11748 |
12408 |
Money at call and short notice |
4667 |
1855 |
1042 |
1469 |
1825 |
2161 |
4741 |
IV. Cash in hand |
3358 |
3430 |
3798 |
4817 |
3867 |
4191 |
4329 |
V. Investment in India |
219011 |
233171 |
233104 |
235246 |
225786 |
236510 |
220451 |
(a) Government securities |
215506 |
229680 |
229612 |
231800 |
222699 |
233469 |
217426 |
(b) Other approved securities |
3505 |
3491 |
3492 |
3446 |
3087 |
3041 |
3025 |
VI. Bank Credit |
534057 |
535238 |
552934 |
556422 |
553438 |
568962 |
588763 |
(a) Loans, cash credit and overdrafts |
506584 |
508817 |
526209 |
529786 |
526294 |
541603 |
562266 |
(b) Inland bills purchased |
3504 |
3678 |
3679 |
3329 |
3380 |
3237 |
3292 |
(c) Inland bills discounted |
14259 |
14041 |
14496 |
15167 |
15575 |
15619 |
14871 |
(d) Foreign bills purchased |
1039 |
1029 |
1074 |
1005 |
1145 |
1103 |
1045 |
(e) Foreign bills discounted |
8671 |
7673 |
7476 |
7135 |
7044 |
7400 |
7289 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP - 2008-09 (Contd.) |
||||||
(Amount in Rs. crore) |
||||||
Items |
As on the last reporting Friday of |
|||||
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
|
|
|
|
|
|
|
State Bank of India & its Associates |
|
|
|
|
|
|
No. of Reporting Banks |
7 |
7 |
7 |
7 |
7 |
7 |
I. Liabilities to the banking system |
15503 |
14283 |
13291 |
12422 |
15702 |
14902 |
(a) Demand and time deposits from banks |
11856 |
10249 |
9385 |
9465 |
11067 |
11925 |
(b) Borrowings from banks |
1995 |
2440 |
2306 |
1463 |
1171 |
1168 |
(c) Other demand and time liabilities |
1652 |
1594 |
1600 |
1494 |
3464 |
1809 |
II. Liabilities to others in India |
934847 |
938070 |
961845 |
1002099 |
1034009 |
1043609 |
(a) Aggregate deposits |
840128 |
845520 |
868148 |
900355 |
932395 |
940506 |
(i) Demand deposits |
94161 |
90304 |
91176 |
94125 |
102014 |
117296 |
(ii) Time Deposits |
745967 |
755216 |
776972 |
806230 |
830381 |
823210 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
1280 |
1342 |
909 |
855 |
1018 |
794 |
(c) Other demand and time liabilities |
93439 |
91208 |
92788 |
100889 |
100596 |
102309 |
III. Assets with the banking system |
14643 |
13491 |
14293 |
16424 |
19712 |
20214 |
Money at call and short notice |
3220 |
2046 |
2021 |
3391 |
4715 |
1961 |
IV. Cash in hand |
4351 |
4246 |
4461 |
4638 |
4732 |
4642 |
V. Investment in India |
266133 |
263232 |
280522 |
311495 |
321831 |
307104 |
(a) Government securities |
263159 |
260504 |
277958 |
309071 |
319419 |
304737 |
(b) Other approved securities |
2974 |
2728 |
2564 |
2424 |
2412 |
2367 |
VI. Bank Credit |
609848 |
613450 |
613467 |
615123 |
627851 |
635579 |
(a) Loans, cash credit and overdrafts |
584975 |
590153 |
592358 |
593456 |
604414 |
611487 |
(b) Inland bills purchased |
3344 |
3067 |
2779 |
2754 |
2647 |
2389 |
(c) Inland bills discounted |
13476 |
12509 |
10750 |
11732 |
13386 |
14000 |
(d) Foreign bills purchased |
1078 |
1069 |
1087 |
1043 |
923 |
992 |
(e) Foreign bills discounted |
6975 |
6652 |
6493 |
6138 |
6481 |
6711 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP - 2008-09 (Contd.) |
|||||||
(Amount in Rs. crore) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Nationalised Banks $ |
|
|
|
|
|
|
|
No. of Reporting Banks |
20 |
20 |
20 |
20 |
20 |
20 |
20 |
I. Liabilities to the banking system |
38742 |
35444 |
34734 |
35537 |
33489 |
39093 |
35463 |
(a) Demand and time deposits from banks |
19754 |
19686 |
19733 |
20058 |
18931 |
20046 |
21394 |
(b) Borrowings from banks |
16540 |
13282 |
12603 |
13130 |
12306 |
16870 |
11953 |
(c) Other demand and time liabilities |
2448 |
2476 |
2398 |
2349 |
2252 |
2177 |
2116 |
II. Liabilities to others in India |
1704660 |
1707521 |
1717772 |
1735855 |
1751709 |
1789136 |
1832175 |
(a) Aggregate deposits |
1545472 |
1555617 |
1566678 |
1584304 |
1601670 |
1633759 |
1671192 |
(i) Demand deposits |
195756 |
175754 |
170787 |
170017 |
171135 |
174723 |
186540 |
(ii) Time Deposits |
1349716 |
1379863 |
1395891 |
1414287 |
1430535 |
1459036 |
1484652 |
(b) Borrowings |
55951 |
57734 |
58177 |
56820 |
56105 |
59306 |
60550 |
(c) Other demand and time liabilities |
103237 |
94170 |
92917 |
94731 |
93934 |
96071 |
100433 |
III. Assets with the banking system |
21804 |
17708 |
17565 |
17274 |
17253 |
20090 |
16406 |
Money at call and short notice |
7988 |
5152 |
4208 |
4345 |
4775 |
7969 |
4248 |
VI. Cash in hand |
6954 |
7238 |
7453 |
7384 |
7682 |
7857 |
8819 |
V. Investment in India |
445045 |
485322 |
488481 |
472968 |
462215 |
476788 |
468538 |
(a) Government securities |
437767 |
478232 |
481354 |
465879 |
455437 |
470066 |
461886 |
(b) Other approved securities |
7278 |
7090 |
7127 |
7089 |
6778 |
6722 |
6652 |
VI. Bank Credit |
1136093 |
1098289 |
1103049 |
1125211 |
1145196 |
1170284 |
1224241 |
(a) Loans, cash credit and overdrafts |
1093396 |
1057612 |
1062895 |
1084457 |
1104365 |
1128911 |
1180690 |
(b) Inland bills purchased |
6021 |
5723 |
5522 |
5463 |
5422 |
5796 |
6659 |
(c) Inland bills discounted |
12379 |
12165 |
11769 |
12126 |
12493 |
12516 |
12298 |
(d) Foreign bills purchased |
11252 |
10591 |
10999 |
10218 |
12617 |
12547 |
13288 |
(e) Foreign bills discounted |
13045 |
12198 |
11864 |
12947 |
10299 |
10514 |
11306 |
Note : $ Includes IDBI Ltd. |
|||||||
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP - 2008-09 (Contd.) |
||||||
(Amount in Rs. crore) |
||||||
Items |
As on the last reporting Friday of |
|||||
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
2008 |
2008 |
2008 |
2009 |
2009 |
2009 |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Nationalised Banks $ |
|
|
|
|
|
|
No. of Reporting Banks |
20 |
20 |
20 |
20 |
20 |
20 |
I. Liabilities to the banking system |
39990 |
37707 |
39398 |
38916 |
41746 |
43087 |
(a) Demand and time deposits from banks |
23719 |
24666 |
24930 |
24293 |
24844 |
28540 |
(b) Borrowings from banks |
14306 |
10905 |
12020 |
12600 |
14780 |
12604 |
(c) Other demand and time liabilities |
1965 |
2136 |
2448 |
2023 |
2122 |
1943 |
II. Liabilities to others in India |
1849057 |
1865100 |
1871476 |
1950503 |
1983678 |
2049016 |
(a) Aggregate deposits |
1689374 |
1709001 |
1712680 |
1783285 |
1815145 |
1884496 |
(i) Demand deposits |
171482 |
166401 |
163087 |
175116 |
178451 |
193559 |
(ii) Time Deposits |
1517892 |
1542600 |
1549593 |
1608169 |
1636694 |
1690937 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
59616 |
60473 |
63023 |
61939 |
65474 |
59457 |
(c) Other demand and time liabilities |
100067 |
95626 |
95773 |
105279 |
103059 |
105063 |
III. Assets with the banking system |
24457 |
19182 |
17278 |
16895 |
20468 |
21767 |
Money at call and short notice |
9700 |
6430 |
4455 |
5650 |
8620 |
6923 |
VI. Cash in hand |
8187 |
8148 |
7904 |
7916 |
7958 |
7498 |
V. Investment in India |
486204 |
494324 |
487659 |
530675 |
538833 |
538111 |
(a) Government securities |
479632 |
487897 |
481345 |
524620 |
532947 |
532376 |
(b) Other approved securities |
6572 |
6427 |
6314 |
6055 |
5886 |
5735 |
VI. Bank Credit |
1257491 |
1270946 |
1291812 |
1299526 |
1316877 |
1383134 |
(a) Loans, cash credit and overdrafts |
1213404 |
1226752 |
1247499 |
1256546 |
1274781 |
1339988 |
(b) Inland bills purchased |
6877 |
6871 |
7133 |
7009 |
5986 |
6297 |
(c) Inland bills discounted |
13021 |
13803 |
14158 |
13987 |
14018 |
14119 |
(d) Foreign bills purchased |
12681 |
12342 |
11844 |
11412 |
11203 |
11892 |
(e) Foreign bills discounted |
11508 |
11178 |
11178 |
10572 |
10889 |
10838 |
Note : $ Includes IDBI Ltd. |
||||||
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934 Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP - 2008-09 (Contd.) |
|||||||
(Amount in Rs. crore) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Regional Rural Banks |
|
|
|
|
|
|
|
No. of Reporting Banks |
91 |
88 |
87 |
88 |
88 |
88 |
88 |
I. Liabilities to the banking system |
578 |
595 |
586 |
627 |
609 |
620 |
657 |
(a) Demand and time deposits from banks |
173 |
171 |
183 |
199 |
196 |
199 |
184 |
(b) Borrowings from banks |
313 |
332 |
312 |
336 |
295 |
282 |
299 |
(c) Other demand and time liabilities |
92 |
92 |
91 |
92 |
118 |
139 |
174 |
II. Liabilities to others in India |
96755 |
98006 |
98866 |
100309 |
96016 |
97226 |
104971 |
(a) Aggregate deposits |
94412 |
95378 |
96304 |
97508 |
93373 |
94703 |
102235 |
(i) Demand deposits |
21022 |
21516 |
21459 |
21719 |
21420 |
21617 |
22096 |
(ii) Time Deposits |
73390 |
73862 |
74845 |
75789 |
71953 |
73086 |
80139 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
2 |
1 |
2 |
2 |
154 |
- |
1 |
(c) Other demand and time liabilities |
2341 |
2627 |
2560 |
2799 |
2489 |
2523 |
2735 |
III. Assets with the banking system |
20603 |
21333 |
21951 |
21855 |
20645 |
19824 |
22619 |
Money at call and short notice |
3063 |
3758 |
4231 |
3554 |
2193 |
2205 |
3860 |
IV. Cash in hand |
1104 |
1033 |
1124 |
1101 |
1049 |
935 |
1076 |
V. Investment in India |
25387 |
25836 |
26024 |
26564 |
25476 |
25781 |
27479 |
(a) Government securities |
23411 |
23904 |
24124 |
24533 |
23254 |
24016 |
25134 |
(b) Other approved securities |
1976 |
1932 |
1900 |
2031 |
2222 |
1765 |
2345 |
VI. Bank Credit |
57417 |
58090 |
58162 |
58738 |
52410 |
53630 |
58081 |
(a) Loans, cash credit and overdrafts |
57357 |
58058 |
58143 |
58721 |
52389 |
53608 |
58047 |
(b) Inland bills purchased |
51 |
24 |
12 |
11 |
16 |
17 |
28 |
(c) Inland bills discounted |
9 |
8 |
7 |
6 |
5 |
5 |
6 |
(d) Foreign bills purchased |
- |
- |
- |
- |
- |
- |
- |
(e) Foreign bills discounted |
- |
- |
- |
- |
- |
- |
- |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP - 2008-09 (Contd.) |
||||||
(Amount in Rs. crore) |
||||||
Items |
As on the last reporting Friday of |
|||||
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Regional Rural Banks |
|
|
|
|
|
|
No. of Reporting Banks |
87 |
88 |
86 |
86 |
86 |
86 |
I. Liabilities to the banking system |
586 |
677 |
730 |
696 |
736 |
911 |
(a) Demand and time deposits from banks |
185 |
166 |
369 |
353 |
265 |
446 |
(b) Borrowings from banks |
270 |
399 |
261 |
242 |
350 |
354 |
(c) Other demand and time liabilities |
131 |
112 |
100 |
101 |
121 |
111 |
II. Liabilities to others in India |
102711 |
105631 |
106865 |
109774 |
111988 |
116731 |
(a) Aggregate deposits |
99863 |
102852 |
104157 |
107068 |
109150 |
113828 |
(i) Demand deposits |
21147 |
21541 |
21948 |
21967 |
22871 |
24353 |
(ii) Time Deposits |
78716 |
81311 |
82209 |
85101 |
86279 |
89475 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
1 |
1 |
1 |
5 |
8 |
22 |
(c) Other demand and time liabilities |
2847 |
2778 |
2707 |
2701 |
2830 |
2881 |
III. Assets with the banking system |
23861 |
26068 |
26722 |
27547 |
27873 |
32039 |
Money at call and short notice |
4229 |
4645 |
4684 |
3119 |
3116 |
3723 |
IV. Cash in hand |
960 |
1045 |
1141 |
1090 |
1143 |
1226 |
V. Investment in India |
27178 |
26983 |
26736 |
27397 |
28081 |
29414 |
(a) Government securities |
24511 |
25158 |
24939 |
26155 |
26168 |
27118 |
(b) Other approved securities |
2667 |
1825 |
1797 |
1242 |
1913 |
2296 |
VI. Bank Credit |
58646 |
59948 |
60840 |
62363 |
63401 |
64011 |
(a) Loans, cash credit and overdrafts |
58602 |
59913 |
60782 |
62296 |
63324 |
63890 |
(b) Inland bills purchased |
25 |
19 |
43 |
54 |
61 |
99 |
(c) Inland bills discounted |
9 |
7 |
6 |
3 |
6 |
12 |
(d) Foreign bills purchased |
- |
- |
9 |
10 |
10 |
10 |
(e) Foreign bills discounted |
10 |
9 |
- |
- |
- |
- |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP - 2008-09 (Contd.) |
|||||||
(Amount in Rs. crore) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Other Scheduled Commercial Banks |
|
|
|
|
|
|
|
No. of Reporting Banks |
23 |
23 |
22 |
22 |
22 |
22 |
22 |
I. Liabilities to the banking system |
16329 |
15194 |
16384 |
15978 |
19280 |
17910 |
16902 |
(a) Demand and time deposits from banks |
9809 |
9793 |
9109 |
9877 |
9794 |
9184 |
8756 |
(b) Borrowings from banks |
5021 |
3815 |
5699 |
4584 |
7978 |
7248 |
6625 |
(c) Other demand and time liabilities |
1499 |
1586 |
1576 |
1517 |
1508 |
1478 |
1521 |
II. Liabilities to others in India |
724359 |
722023 |
735736 |
733966 |
734793 |
751873 |
750174 |
(a) Aggregate deposits |
640991 |
640140 |
653633 |
654162 |
653890 |
669806 |
663343 |
(i) Demand deposits |
123389 |
107139 |
109092 |
110884 |
106775 |
112624 |
116880 |
(ii) Time Deposits |
517602 |
533001 |
544541 |
543278 |
547115 |
557182 |
546463 |
(b) Borrowings |
20886 |
20122 |
19784 |
20155 |
21796 |
21360 |
25351 |
(c) Other demand and time liabilities |
62482 |
61761 |
62319 |
59649 |
59107 |
60707 |
61480 |
III. Assets with the banking system |
10901 |
9407 |
6779 |
7494 |
8431 |
9184 |
9705 |
Money at call and short notice |
2801 |
1327 |
653 |
649 |
1449 |
2590 |
1620 |
IV. Cash in hand |
6063 |
5872 |
5964 |
5997 |
6214 |
7743 |
8719 |
V. Investment in India |
194177 |
197368 |
196813 |
196278 |
197993 |
195756 |
190715 |
(a) Government securities |
193897 |
197090 |
196535 |
196001 |
197724 |
195490 |
190457 |
(b) Other approved securities |
280 |
278 |
278 |
277 |
269 |
266 |
258 |
VI. Bank Credit |
471479 |
469407 |
480016 |
483312 |
485950 |
489621 |
495614 |
(a) Loans, cash credit and overdrafts |
455731 |
453323 |
463255 |
466957 |
470303 |
473132 |
478302 |
(b) Inland bills purchased |
2116 |
1984 |
2064 |
1990 |
1977 |
1911 |
2022 |
(c) Inland bills discounted |
9563 |
10193 |
10815 |
10408 |
9899 |
10307 |
10764 |
(d) Foreign bills purchased |
2076 |
2019 |
1876 |
1975 |
2003 |
1971 |
2208 |
(e) Foreign bills discounted |
1993 |
1888 |
2006 |
1982 |
1768 |
2300 |
2318 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP - 2008-09 (Contd.) |
||||||
(Amount in Rs. crore) |
||||||
Items |
As on the last reporting Friday of |
|||||
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
|
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Other Scheduled Commercial Banks |
|
|
|
|
|
|
No. of Reporting Banks |
22 |
22 |
22 |
22 |
22 |
22 |
I. Liabilities to the banking system |
19448 |
17268 |
15592 |
15019 |
12581 |
13349 |
(a) Demand and time deposits from banks |
7437 |
8910 |
8982 |
8546 |
6672 |
6893 |
(b) Borrowings from banks |
10413 |
6746 |
5075 |
4948 |
4357 |
4900 |
(c) Other demand and time liabilities |
1598 |
1612 |
1535 |
1525 |
1552 |
1556 |
II. Liabilities to others in India |
749045 |
747721 |
745593 |
757047 |
754514 |
774882 |
(a) Aggregate deposits |
662995 |
660798 |
661395 |
677174 |
676940 |
692513 |
(i) Demand deposits |
112667 |
103325 |
102012 |
110751 |
111745 |
124120 |
(ii) Time Deposits |
550328 |
557473 |
559383 |
566423 |
565195 |
568393 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
25338 |
25020 |
23861 |
19826 |
16627 |
20867 |
(c) Other demand and time liabilities |
60712 |
61903 |
60337 |
60047 |
60947 |
61502 |
III. Assets with the banking system |
10525 |
10322 |
9888 |
9682 |
10074 |
12300 |
Money at call and short notice |
2662 |
2605 |
2611 |
2064 |
2579 |
1638 |
IV. Cash in hand |
9556 |
8727 |
7093 |
7286 |
6845 |
6296 |
V. Investment in India |
194331 |
196278 |
202836 |
207636 |
206931 |
204585 |
(a) Government securities |
194075 |
196027 |
202590 |
207402 |
206701 |
204367 |
(b) Other approved securities |
256 |
251 |
246 |
234 |
230 |
218 |
VI. Bank Credit |
503138 |
506737 |
502047 |
489244 |
490091 |
523493 |
(a) Loans, cash credit and overdrafts |
486043 |
492963 |
486551 |
474937 |
474428 |
505365 |
(b) Inland bills purchased |
1893 |
1913 |
2026 |
1988 |
1882 |
2024 |
(c) Inland bills discounted |
10419 |
7195 |
8990 |
8543 |
9705 |
11523 |
(d) Foreign bills purchased |
2363 |
2323 |
2301 |
1866 |
2234 |
2552 |
(e) Foreign bills discounted |
2420 |
2343 |
2179 |
1910 |
1842 |
2029 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP - 2008-09 (Contd.) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Foreign Banks |
|
|
|
|
|
|
|
No. of Reporting Banks |
28 |
28 |
28 |
28 |
28 |
28 |
28 |
I. Liabilities to the banking system |
21279 |
20144 |
25761 |
27639 |
34892 |
33426 |
38848 |
(a) Demand and time deposits from banks |
486 |
423 |
466 |
504 |
694 |
913 |
1513 |
(b) Borrowings from banks |
9165 |
9991 |
6820 |
6874 |
8279 |
8219 |
7988 |
(c) Other demand and time liabilities |
11628 |
9730 |
18475 |
20261 |
25919 |
24294 |
29347 |
II. Liabilities to others in India |
246351 |
234320 |
240083 |
239767 |
239240 |
256018 |
263639 |
(a) Aggregate deposits |
188010 |
183016 |
183199 |
180071 |
186423 |
198363 |
199850 |
(i) Demand deposits |
68769 |
65149 |
62870 |
59882 |
60552 |
67986 |
75034 |
(ii) Time Deposits |
119241 |
117867 |
120329 |
120189 |
125871 |
130377 |
124816 |
(b) Borrowings |
28457 |
22344 |
25001 |
26818 |
21966 |
24287 |
25250 |
(c) Other demand and time liabilities |
29884 |
28960 |
31883 |
32878 |
30851 |
33368 |
38539 |
III. Assets with the banking system |
22952 |
18780 |
28688 |
31043 |
34592 |
37201 |
42049 |
Money at call and short notice |
1406 |
2017 |
1534 |
1646 |
2458 |
3109 |
1133 |
IV. Cash in hand |
565 |
622 |
629 |
605 |
610 |
503 |
538 |
V. Investment in India |
88096 |
76406 |
77872 |
73710 |
70627 |
80962 |
77375 |
(a) Government securities |
88082 |
76392 |
77856 |
73694 |
70614 |
80949 |
77362 |
(b) Other approved securities |
14 |
14 |
16 |
16 |
13 |
13 |
13 |
VI. Bank Credit |
162868 |
164111 |
167046 |
169555 |
170312 |
178257 |
184327 |
(a) Loans, cash credit and overdrafts |
148508 |
148498 |
150382 |
153425 |
155114 |
160850 |
165429 |
(b) Inland bills purchased |
903 |
931 |
893 |
894 |
1010 |
1114 |
1117 |
(c) Inland bills discounted |
4342 |
4513 |
4680 |
5355 |
5820 |
5093 |
5497 |
(d) Foreign bills purchased |
2132 |
2182 |
2308 |
2101 |
2107 |
2260 |
2875 |
(e) Foreign bills discounted |
6983 |
7987 |
8783 |
7780 |
6261 |
8940 |
9409 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP - 2008-09 (Contd.) |
||||||
(Amount in Rs. crore) |
||||||
Items |
Oct |
Nov |
Dec |
Jan |
Feb |
Mar 2009 |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Foreign Banks |
|
|
|
|
|
|
No. of Reporting Banks |
28 |
28 |
29 |
30 |
30 |
31 |
I. Liabilities to the banking system |
46463 |
48691 |
32706 |
28219 |
31392 |
27865 |
(a) Demand and time deposits from banks |
1601 |
1981 |
1669 |
1614 |
1289 |
1052 |
(b) Borrowings from banks |
9406 |
8435 |
7506 |
6342 |
7244 |
10460 |
(c) Other demand and time liabilities |
35456 |
38275 |
23531 |
20263 |
22859 |
16353 |
II. Liabilities to others in India |
270760 |
268058 |
269653 |
268122 |
268163 |
271329 |
(a) Aggregate deposits |
196765 |
198325 |
202095 |
200493 |
201110 |
202767 |
(i) Demand deposits |
64679 |
61650 |
60226 |
60502 |
60711 |
63756 |
(ii) Time Deposits |
132086 |
136675 |
141869 |
139991 |
140399 |
139011 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
27697 |
24730 |
23925 |
31552 |
32117 |
32797 |
(c) Other demand and time liabilities |
46298 |
45003 |
43633 |
36077 |
34936 |
35765 |
III. Assets with the banking system |
49846 |
52250 |
35524 |
35348 |
40496 |
36251 |
Money at call and short notice |
423 |
679 |
301 |
1376 |
968 |
793 |
IV. Cash in hand |
626 |
698 |
656 |
679 |
644 |
618 |
V. Investment in India |
81753 |
86790 |
85011 |
91102 |
90882 |
87198 |
(a) Government securities |
81740 |
86778 |
84999 |
91090 |
90870 |
87189 |
(b) Other approved securities |
13 |
12 |
12 |
12 |
12 |
9 |
VI. Bank Credit |
186856 |
182102 |
175570 |
171527 |
169708 |
169334 |
(a) Loans, cash credit and overdrafts |
169165 |
165062 |
160903 |
158385 |
156723 |
154947 |
(b) Inland bills purchased |
1193 |
1046 |
976 |
986 |
1043 |
904 |
(c) Inland bills discounted |
5400 |
5065 |
4498 |
3747 |
3643 |
3504 |
(d) Foreign bills purchased |
2265 |
2263 |
2230 |
2050 |
2063 |
3077 |
(e) Foreign bills discounted |
8833 |
8666 |
6963 |
6359 |
6236 |
6902 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP - 2008-09 (Contd.) |
|||||||
(Amount in Rs. crore) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Scheduled Urban Co-operative Banks |
|
|
|
|
|
|
|
No. of Reporting Banks |
53 |
53 |
53 |
53 |
53 |
53 |
53 |
I. Liabilities to the banking system |
2079 |
2118 |
1818 |
1862 |
1874 |
1856 |
1882 |
(a) Demand and time deposits from banks |
2037 |
2113 |
1802 |
1846 |
1848 |
1849 |
1854 |
(b) Borrowings from banks |
37 |
3 |
14 |
15 |
24 |
5 |
26 |
(c) Other demand and time liabilities |
5 |
2 |
2 |
1 |
2 |
2 |
2 |
II. Liabilities to others in India |
60738 |
61977 |
61973 |
62253 |
63574 |
64380 |
65169 |
(a) Aggregate deposits |
57738 |
58821 |
59420 |
59670 |
60632 |
61462 |
62053 |
(i) Demand deposits |
8428 |
8339 |
8804 |
8657 |
8658 |
8702 |
8730 |
(ii) Time Deposits |
49310 |
50482 |
50616 |
51013 |
51974 |
52760 |
53323 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
1008 |
1405 |
743 |
801 |
1115 |
1010 |
963 |
(c) Other demand and time liabilities |
1992 |
1751 |
1810 |
1782 |
1827 |
1908 |
2153 |
III. Assets with the banking system |
5820 |
5726 |
5497 |
5483 |
5800 |
5805 |
6163 |
Money at call and short notice |
678 |
846 |
1012 |
999 |
1203 |
1026 |
1118 |
IV. Cash in hand |
464 |
486 |
498 |
496 |
529 |
536 |
513 |
V. Investment in India |
18465 |
18887 |
19364 |
19614 |
19338 |
20030 |
19972 |
(a) Government securities |
18137 |
18560 |
19005 |
19263 |
19001 |
19685 |
19639 |
(b) Other approved securities |
328 |
327 |
359 |
351 |
337 |
345 |
333 |
VI. Bank Credit |
38846 |
39019 |
38995 |
37882 |
38416 |
39113 |
39604 |
(a) Loans, cash credit and overdrafts |
37013 |
37145 |
37182 |
36185 |
36606 |
37042 |
37375 |
(b) Inland bills purchased |
392 |
378 |
446 |
353 |
396 |
524 |
752 |
(c) Inland bills discounted |
846 |
927 |
805 |
783 |
864 |
985 |
898 |
(d) Foreign bills purchased |
33 |
37 |
43 |
40 |
38 |
27 |
30 |
(e) Foreign bills discounted |
562 |
532 |
519 |
521 |
512 |
535 |
549 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP - 2008-09 (Contd.) |
||||||
(Amount in Rs. crore) |
||||||
Items |
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Scheduled Urban Co-operative Banks |
|
|
|
|
|
|
No. of Reporting Banks |
53 |
53 |
53 |
53 |
53 |
53 |
I. Liabilities to the banking system |
2161 |
2152 |
2138 |
1859 |
1971 |
2019 |
(a) Demand and time deposits from banks |
1803 |
1794 |
1787 |
1811 |
1941 |
1997 |
(b) Borrowings from banks |
357 |
356 |
349 |
45 |
26 |
15 |
(c) Other demand and time liabilities |
1 |
2 |
2 |
3 |
4 |
7 |
II. Liabilities to others in India |
65335 |
65015 |
64576 |
66926 |
67811 |
69602 |
(a) Aggregate deposits |
62341 |
62116 |
62334 |
63830 |
64617 |
65926 |
(i) Demand deposits |
8561 |
8164 |
7819 |
7749 |
7810 |
8104 |
(ii) Time Deposits |
53780 |
53952 |
54515 |
56081 |
56807 |
57822 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
832 |
872 |
332 |
1079 |
1251 |
1419 |
(c) Other demand and time liabilities |
2162 |
2027 |
1910 |
2017 |
1943 |
2257 |
III. Assets with the banking system |
6160 |
5932 |
5743 |
5647 |
6690 |
6497 |
Money at call and short notice |
1285 |
1062 |
845 |
792 |
1444 |
1133 |
IV. Cash in hand |
600 |
560 |
519 |
533 |
512 |
459 |
V. Investment in India |
19933 |
19803 |
20077 |
22048 |
21386 |
21956 |
(a) Government securities |
19591 |
19475 |
19745 |
21677 |
21017 |
21596 |
(b) Other approved securities |
342 |
328 |
332 |
371 |
369 |
360 |
VI. Bank Credit |
40738 |
41068 |
41293 |
41508 |
41912 |
41632 |
(a) Loans, cash credit and overdrafts |
38534 |
38786 |
39019 |
39469 |
39876 |
39536 |
(b) Inland bills purchased |
633 |
634 |
726 |
756 |
723 |
753 |
(c) Inland bills discounted |
967 |
1067 |
991 |
806 |
892 |
830 |
(d) Foreign bills purchased |
29 |
43 |
24 |
25 |
26 |
124 |
(e) Foreign bills discounted |
575 |
538 |
533 |
452 |
395 |
389 |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP - 2008-09 (Contd.) |
|||||||
Items |
As on the last reporting Friday of |
||||||
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
|
Scheduled State Co-operative Banks |
|
|
|
|
|
|
|
No. of Reporting Banks |
16 |
16 |
16 |
16 |
16 |
16 |
16 |
I. Liabilities to the banking system |
1491 |
2116 |
2111 |
2078 |
1989 |
1880 |
1865 |
(a) Demand and time deposits from banks |
1490 |
2116 |
2111 |
2051 |
1988 |
1879 |
1865 |
(b) Borrowings from banks |
1 |
- |
- |
27 |
1 |
1 |
- |
(c) Other demand and time liabilities |
- |
- |
- |
- |
- |
- |
- |
II. Liabilities to others in India |
43866 |
46060 |
45787 |
45824 |
46079 |
47760 |
46399 |
(a) Aggregate deposits |
42396 |
44414 |
44387 |
44356 |
44461 |
45583 |
43771 |
(i) Demand deposits |
3192 |
3468 |
2769 |
2772 |
2873 |
3183 |
2926 |
(ii) Time Deposits |
39204 |
40946 |
41618 |
41584 |
41588 |
42400 |
40845 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
200 |
150 |
- |
- |
- |
527 |
1036 |
(c) Other demand and time liabilities |
1270 |
1496 |
1400 |
1468 |
1618 |
1650 |
1592 |
III. Assets with the banking system |
6712 |
7536 |
7042 |
6648 |
8133 |
8453 |
9430 |
Money at call and short notice |
5162 |
5873 |
5208 |
4860 |
4394 |
4242 |
4302 |
IV. Cash in hand |
84 |
88 |
86 |
90 |
93 |
92 |
95 |
V. Investment in India |
15773 |
16640 |
17133 |
17917 |
17830 |
17697 |
16139 |
(a) Government securities |
15101 |
15947 |
16424 |
17248 |
17157 |
16940 |
15430 |
(b) Other approved securities |
672 |
693 |
709 |
669 |
673 |
757 |
709 |
VI. Bank Credit |
46886 |
46364 |
45417 |
45561 |
45256 |
45822 |
47002 |
(a) Loans, cash credit and overdrafts |
46881 |
46336 |
45408 |
45554 |
45251 |
45817 |
46996 |
(b) Inland bills purchased |
2 |
25 |
5 |
3 |
2 |
2 |
3 |
(c) Inland bills discounted |
- |
- |
- |
- |
- |
- |
- |
(d) Foreign bills purchased |
3 |
3 |
4 |
4 |
3 |
3 |
3 |
(e) Foreign bills discounted |
- |
- |
- |
- |
- |
- |
- |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
TABLE 2.2 : BUSINESS OF SCHEDULED BANKS IN INDIA ACCORDING TO BANK GROUP - 2008-09 (Concld.) |
||||||
(Amount in Rs. crore) |
||||||
Items |
Oct |
Nov |
Dec |
Jan |
Feb |
Mar |
(8) |
(9) |
(10) |
(11) |
(12) |
(13) |
|
Scheduled State Co-operative Banks |
|
|
|
|
|
|
No. of Reporting Banks |
16 |
16 |
16 |
16 |
16 |
16 |
I. Liabilities to the banking system |
1818 |
2385 |
2376 |
2410 |
2242 |
2285 |
(a) Demand and time deposits from banks |
1817 |
2385 |
2374 |
2409 |
2241 |
2282 |
(b) Borrowings from banks |
1 |
- |
2 |
1 |
1 |
3 |
(c) Other demand and time liabilities |
- |
- |
- |
- |
- |
- |
II. Liabilities to others in India |
46663 |
46615 |
47076 |
49071 |
51221 |
54500 |
(a) Aggregate deposits |
44919 |
45101 |
45502 |
47467 |
49499 |
52568 |
(i) Demand deposits |
3197 |
2962 |
3114 |
2988 |
3006 |
3602 |
(ii) Time Deposits |
41722 |
42139 |
42388 |
44479 |
46493 |
48966 |
(b) Borrowings (other than from RBI, NABARD,EXIM Bank) |
- |
- |
- |
- |
- |
- |
(c) Other demand and time liabilities |
1744 |
1514 |
1574 |
1604 |
1722 |
1932 |
III. Assets with the banking system |
11386 |
12579 |
12382 |
12352 |
16000 |
18480 |
Money at call and short notice |
6474 |
7140 |
6996 |
6638 |
8334 |
10125 |
IV. Cash in hand |
91 |
90 |
93 |
80 |
83 |
85 |
V. Investment in India |
16722 |
17199 |
16790 |
17231 |
17343 |
17179 |
(a) Government securities |
15989 |
16395 |
16007 |
16431 |
16520 |
16074 |
(b) Other approved securities |
733 |
804 |
783 |
800 |
823 |
1105 |
VI. Bank Credit |
43668 |
42055 |
42144 |
42772 |
42707 |
42371 |
(a) Loans, cash credit and overdrafts |
43663 |
42051 |
42141 |
42766 |
42700 |
42365 |
(b) Inland bills purchased |
2 |
2 |
2 |
4 |
3 |
2 |
(c) Inland bills discounted |
- |
- |
- |
- |
- |
- |
(d) Foreign bills purchased |
3 |
2 |
1 |
2 |
4 |
4 |
(e) Foreign bills discounted |
- |
- |
- |
- |
- |
- |
Source : Form 'A' / 'B' Return under Section 42(2) of RBI Act, 1934, Department of Statistics and Information Management, RBI. |
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