(Amount in Rupees crore)
|
|
|
Scheduled Commercial Banks (SCBs) (including RRBs)
|
All Scheduled Banks
|
|
|
25.09.2009
|
10.09.2010
|
*
|
24.09.2010
|
*
|
25.09.2009
|
10.09.2010
|
*
|
24.09.2010
|
*
|
I
|
Liabilities to the Banking System (A)
|
|
|
|
|
|
|
|
|
|
|
|
a) Demand & time deposits from banks |
54304.12
|
62504.03
|
|
65736.85
|
|
58897.98
|
65322.03
|
|
68543.55
|
**
|
|
b) Borrowings from banks |
19898.38
|
23141.26
|
|
21702.08
|
|
19924.35
|
23271.11
|
|
21839.98
|
|
|
c) Other demand & time liabilities |
6209.21
|
7852.15
|
|
8839.25
|
|
6213.69
|
7857.05
|
|
8844.16
|
|
II
|
Liabilities to Others (A)
|
|
|
|
|
|
|
|
|
|
|
|
a) Deposits (other than from banks) |
4118603.21
|
4690703.28
|
|
4707293.04
|
|
4249067.35
|
4834533.67
|
|
4851213.08
|
|
|
i) Demand
|
554659.86
|
589787.39
|
|
613446.14
|
|
567089.83
|
604850.41
|
|
628687.19
|
|
|
ii) Time
|
3563943.35
|
4100915.89
|
|
4093846.90
|
|
3681977.52
|
4229683.26
|
|
4222525.89
|
|
|
b) Borrowings @
|
94441.70
|
135173.46
|
|
119954.97
|
|
95823.31
|
136378.02
|
|
121389.18
|
|
|
c) Other demand & time liabilities
|
319155.77
|
332525.34
|
|
329168.06
|
|
323633.82
|
337634.89
|
|
334397.94
|
|
III
|
Borrowings from RBI (B)
|
0.00
|
877.00
|
|
2315.60
|
|
0.00
|
877.00
|
|
2345.60
|
|
|
Against usance bills and / or promissory Notes
|
0
|
0
|
|
0
|
|
0
|
0
|
|
0
|
|
IV
|
Cash
|
24798.43
|
29737.87
|
|
29859.72
|
|
25449.25
|
30462.94
|
|
30551.59
|
|
V
|
Balances with RBI (B)
|
225681.07
|
317349.38
|
|
291764.64
|
|
232619.84
|
326877.59
|
|
300357.08
|
|
VI
|
Assets with Banking System
|
|
|
|
|
|
|
|
|
|
|
|
a) Balances with other banks |
|
|
|
|
|
|
|
|
|
|
|
i) In current accounts
|
11051.67
|
9355.92
|
|
9267.08
|
|
12342.27
|
10773.36
|
|
10680.04
|
|
|
ii) In other accounts
|
39758.65
|
35896.03
|
|
39031.09
|
|
47888.65
|
41982.10
|
|
45331.80
|
|
|
b) Money at call & short notice |
9906.42
|
12109.91
|
|
13404.31
|
|
21047.24
|
23052.34
|
|
23813.12
|
|
|
c) Advances to banks(i.e., due from banks) |
2384.08
|
5003.96
|
|
4591.30
|
|
2662.46
|
5271.97
|
|
4843.38
|
£
|
|
d) Other assets |
30218.13
|
50845.16
|
|
53333.71
|
|
40769.68
|
56129.56
|
|
58027.40
|
|
VII
|
Investments
(at Book Value )
|
1372085.02
|
1458819.36
|
|
1472510.80
|
|
1418247.47
|
1511298.24
|
|
1524676.88
|
|
|
a) Central & State Govt.securities+ |
1364082.50
|
1453334.88
|
|
1467094.80
|
|
1408431.06
|
1504274.00
|
|
1517772.08
|
|
|
b) Other approved securities |
8002.52
|
5484.48
|
|
5416.00
|
|
9816.41
|
7024.24
|
|
6904.80
|
|
VIII
|
Bank credit (Excluding inter-bank advance)
|
2874670.48
|
3382927.80
|
|
3422291.32
|
|
2957034.84
|
3484443.31
|
|
3524528.08
|
|
|
a) Loans, cash credits & overdrafts $ |
2771417.02
|
3262823.61
|
|
3298895.07
|
|
2851806.72
|
3361891.40
|
|
3398579.93
|
|
|
b) Inland bills purchased |
10386.81
|
10278.81
|
|
10165.69
|
|
11418.30
|
11382.91
|
|
11331.00
|
|
|
c) Inland bills discounted |
49296.39
|
60802.85
|
|
62105.70
|
|
49884.11
|
61848.30
|
|
63170.75
|
|
|
d) Foreign bills purchased |
17269.97
|
16650.73
|
|
17149.62
|
|
17309.94
|
16706.22
|
|
17221.94
|
|
|
e) Foreign bills discounted |
26300.29
|
32371.80
|
|
33975.24
|
|
26615.77
|
32614.48
|
|
34224.46
|
|
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.