RBI Announced Scheduled Banks Statement of Position in India
OREANDA-NEWS. June 29, 2011. Scheduled Banks' Statement of Position in
(Amount in Rupees crore) | |||||||||||
|
|
Scheduled Commercial Banks (SCBs) (including RRBs) |
All Scheduled Banks | ||||||||
|
|
18.06.2010 |
03.06.2011 |
* |
17.06.2011 |
* |
18.06.2010 |
03.06.2011 |
* |
17.06.2011 |
* |
I |
Liabilities to the Banking System (A) |
|
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|
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|
|
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a) Demand & time deposits from banks |
62571.96 |
69718.73 |
|
69666.55 |
|
65275.87 |
72491.53 |
|
72445.00 |
** |
|
b) Borrowings from banks |
28884.72 |
28854.73 |
|
27586.75 |
|
28922.48 |
28993.89 |
|
27817.45 |
|
|
c) Other demand & time liabilities |
7090.54 |
9983.67 |
|
10619.69 |
|
7093.42 |
9986.75 |
|
10625.58 |
|
II |
Liabilities to Others (A) |
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|
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a) Deposits (other than from banks) |
4521352.34 |
5377596.98 |
|
5344700.99 |
|
4664904.63 |
5527304.01 |
|
5494611.57 |
|
|
i) Demand |
570799.64 |
557295.76 |
|
549397.95 |
|
585826.37 |
571627.14 |
|
563875.86 |
|
|
ii) Time |
3950552.70 |
4820301.22 |
|
4795303.04 |
|
4079078.26 |
4955676.87 |
|
4930735.71 |
|
|
b) Borrowings @ |
120511.68 |
141408.97 |
|
142792.79 |
|
122605.68 |
143085.90 |
|
144559.06 |
|
|
c) Other demand & time liabilities |
321521.94 |
349707.28 |
|
359125.18 |
|
326773.00 |
355216.74 |
|
364612.57 |
|
III |
Borrowings from RBI (B) |
1828.68 |
1914.85 |
|
2063.85 |
|
1869.68 |
1944.85 |
|
2093.85 |
|
|
Against usance bills and / or promissory Notes |
0 |
0 |
|
0 |
|
0 |
0 |
|
0 |
|
IV |
Cash |
27687.26 |
32576.84 |
|
33873.65 |
|
28440.79 |
33419.20 |
|
34720.30 |
|
V |
Balances with RBI (B) |
284957.64 |
337733.41 |
|
334795.07 |
|
293999.51 |
346911.26 |
|
344038.34 |
|
VI |
Assets with Banking System |
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a) Balances with other banks |
|
|
|
|
|
|
|
|
|
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i) In current accounts |
8923.96 |
9807.30 |
|
9417.56 |
|
10453.11 |
11323.60 |
|
10899.74 |
|
|
ii) In other accounts |
41710.31 |
45449.32 |
|
43672.86 |
|
47823.05 |
51188.94 |
|
49662.12 |
|
|
b) Money at call & short notice |
14771.27 |
15911.15 |
|
17323.22 |
|
27532.58 |
27424.79 |
|
28995.51 |
|
|
c) Advances to banks(i.e., due from banks) |
8705.18 |
12669.55 |
|
8270.80 |
|
8969.12 |
13003.54 |
|
8609.37 |
Ј |
|
d) Other assets |
46765.44 |
65639.40 |
|
66367.80 |
|
53645.24 |
67914.35 |
|
68580.24 |
|
VII |
Investments (at Book Value ) |
1415850.25 |
1612441.01 |
|
1605387.21 |
|
1468491.08 |
1663154.42 |
|
1656280.38 |
|
|
a) Central & State Govt.securities+ |
1409616.20 |
1607467.29 |
|
1600524.59 |
|
1459354.40 |
1656967.94 |
|
1650205.00 |
|
|
b) Other approved securities |
6234.05 |
4973.72 |
|
4862.62 |
|
9136.68 |
6186.48 |
|
6075.38 |
|
VIII |
Bank credit (Excluding interbank advance) |
3315291.30 |
3980377.10 |
|
4001520.94 |
|
3410468.24 |
4102004.24 |
|
4123476.95 |
|
|
a) Loans, cash credits & overdrafts USD |
3196918.53 |
3833291.39 |
|
3854168.19 |
|
3290209.51 |
3952923.43 |
|
3974110.41 |
|
|
b) Inland bills purchased |
9767.13 |
11678.38 |
|
11198.48 |
|
10546.80 |
12172.45 |
|
11704.26 |
|
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c) Inland bills discounted |
61418.11 |
84377.52 |
|
83638.05 |
|
62197.45 |
85577.05 |
|
84848.31 |
|
|
d) Foreign bills purchased |
15607.92 |
16705.79 |
|
17623.82 |
|
15674.22 |
16743.08 |
|
17651.96 |
|
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e) Foreign bills discounted |
31579.61 |
34324.02 |
|
34892.40 |
|
31840.26 |
34588.23 |
|
35162.01 |
|
Food Credit Outstanding as on |
(in Crores) | ||
Date |
18.06.2010 |
03.06.2011 |
17.06.2011 |
Scheduled Commercial Banks |
52969.75 |
73937.85 |
77328.57 |
State Co-operative Banks |
6420.00 |
6325.00 |
6325.00 |
The expression ' Banking System ' or ' Banks ' means the banks and any other financial institution referred to in sub-clauses (i) to (vi) of clause (d) of the explanation below Section 42(1) of the Reserve Bank of India Act, 1934.
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