(Amount in Crore of ₹) |
|
SCHEDULED COMMERCIAL BANKS
(Including RRBs and SFBs) |
ALL SCHEDULED BANKS |
29-Mar-19 |
13-MAR-2020 * |
27-MAR-2020 * |
29-Mar-19 |
13-MAR-2020 * |
27-MAR-2020 * |
I |
LIABILITIES TO THE BKG.SYSTEM (A) |
|
|
|
|
|
|
|
a) Demand & Time deposits from bks. |
176827.73 |
225264.96 |
230769.71 |
181651.43 |
230353.78 |
236043.19 ** |
|
b) Borrowings from banks |
79459.13 |
51594.1 |
80950.71 |
79486.67 |
51707.45 |
80966.61 |
|
c) Other demand & time liabilities |
15139.32 |
14926.77 |
16311.61 |
15212.07 |
15077.17 |
16462.01 |
II |
LIABILITIES TO OTHERS (A) |
|
|
|
|
|
|
|
a) Deposits (other than from banks) |
12573771.75 |
13339149.43 |
13571032.76 |
12901578.82 |
13744236.13 |
13979593.78 |
|
i) Demand |
1511287.34 |
1457567.92 |
1616969.77 |
1542553.51 |
1491383.12 |
1653723.39 |
|
ii) Time |
11062484.41 |
11881581.49 |
11954062.92 |
11359025.31 |
12252852.99 |
12325870.32 |
|
b) Borrowings @ |
378253.6 |
312512.4 |
309472.44 |
381863.9 |
317069.8 |
313946.09 |
|
c) Other demand & time liabilities |
543646.17 |
676170.55 |
603945.29 |
552532.82 |
688739.52 |
616690.24 |
III |
BORROWINGS FROM R.B.I. (B) |
180688 |
105035 |
286442.99 |
180688 |
105035 |
286442.99 |
|
Against usance bills and / or prom. Notes |
0 |
|
|
0 |
|
|
IV |
CASH |
74876.68 |
79561.86 |
87154.11 |
76554.41 |
81700.2 |
89450.14 |
V |
BALANCES WITH R.B.I. (B) |
565707.29 |
551020.37 |
505130.9 |
581001.73 |
567006.88 |
519410.78 |
VI |
ASSETS WITH BANKING SYSTEM |
|
|
|
|
|
|
|
a) Balances with other banks |
|
|
|
|
|
|
|
i) In current accounts |
13329.18 |
14502.1 |
14401.06 |
17216.27 |
17073.07 |
17044.17 |
|
ii) In other accounts |
209718.82 |
132633.4 |
141794.55 |
228663.44 |
161490.39 |
165143.81 |
|
b) Money at call & short notice |
32252.06 |
14790.75 |
20222.08 |
47046.64 |
33998.23 |
44096.61 |
|
c) Advances to banks(i.e. due from bks.) |
29635.13 |
28965.4 |
30531.49 |
32950.25 |
30260.89 |
38434.92 £ |
|
d) Other assets |
42878.87 |
52203.29 |
53240.76 |
46792.93 |
58616.73 |
59661.93 |
VII |
INVESTMENTS (At book value) |
3381056.15 |
3795013.27 |
3693395.78 |
3475606.66 |
3910585.39 |
3810423.69 |
|
a) Central & State Govt. securities+ |
3379001.47 |
3787015.87 |
3684742.8 |
3467844.56 |
3896178.52 |
3795522.47 |
|
b) Other approved securities |
2054.68 |
7997.43 |
8653 |
7762.1 |
14406.9 |
14901.23 |
VIII |
BANK CREDIT (Excluding Inter Bank Advance) |
9771722.44 |
10140472.54 |
10371912.96 |
10047124.85 |
10472050.55 |
10707690.81 |
|
a) Loans, cash credits & Overdrafts $ |
9521993.67 |
9921609.01 |
10150691.78 |
9792287.22 |
10249923.68 |
10483305.06 |
|
b) Inland Bills purchased |
26223.31 |
26204.82 |
25657.53 |
27641.33 |
26783.66 |
26212.64 |
|
c) Inland Bills discounted |
158296.04 |
141863.58 |
145682.82 |
160983.69 |
143437.31 |
147253.36 |
|
d) Foreign Bills purchased |
24587.53 |
20982.76 |
20457.61 |
24913.56 |
21459.12 |
20932.06 |
|
e) Foreign Bills discounted |
40621.88 |
29812.43 |
29423.17 |
41299.05 |
30446.85 |
29987.64 |