(Amount in Rupees crore)
|
|
|
Scheduled Commercial Banks (SCBs)
(including RRBs)
|
All Scheduled Banks
|
|
|
30-Jul-10
|
15-JUL-2011*
|
29-JUL-2011*
|
30-Jul-10*
|
15-JUL-2011*
|
29-JUL-2011*
|
I
|
Liabilities to the Banking System (A)
|
|
|
|
|
|
|
|
a) Demand & time deposits from banks |
63048.3
|
69188.79
|
69579.99
|
65828.72
|
71963.07
|
72409.81 **
|
|
b) Borrowings from banks |
29943.68
|
34984.79
|
26150.16
|
30029.97
|
35147.06
|
26401.36
|
|
c) Other demand & time liabilities |
7436.2
|
9911.5
|
9882.61
|
7440.84
|
9915.87
|
9887.77
|
II
|
Liabilities to Others (A)
|
|
|
|
|
|
|
|
a) Deposits (other than from banks) |
4674742.51
|
5417243.86
|
5481132.15
|
4819511.4
|
5569345.58
|
5634281.03
|
|
i) Demand
|
621634.32
|
544961.13
|
566875.39
|
636860.01
|
559630.48
|
581419.06
|
|
ii) Time
|
4053108.19
|
4872282.71
|
4914256.77
|
4182651.3
|
5009715.08
|
5052861.99
|
|
b) Borrowings @
|
128832.42
|
147435.02
|
152274.68
|
130259.14
|
149345.61
|
153563.39
|
|
c) Other demand & time liabilities
|
337374.3
|
351310.19
|
351674.3
|
342883.05
|
356888.33
|
357339.22
|
III
|
Borrowings from RBI (B)
|
2041.19
|
3956.69
|
2396.19
|
2041.19
|
3986.69
|
2396.19
|
|
Against usance bills and / or promissory Notes
|
0
|
0
|
0
|
0
|
0
|
0
|
IV
|
Cash
|
28970.28
|
34146.96
|
35340.3
|
29789.87
|
35003.77
|
36235.04
|
V
|
Balances with RBI (B)
|
300304.56
|
349038.22
|
359820.66
|
309093.35
|
358308.05
|
369249.64
|
VI
|
Assets with Banking System
|
|
|
|
|
|
|
|
a) Balances with other banks |
|
|
|
|
|
|
|
i) In current accounts
|
9287.84
|
10280.36
|
9434.19
|
10780.71
|
12028.94
|
10971.19
|
|
ii) In other accounts
|
38667.25
|
39402.19
|
40736.48
|
44995.57
|
45366.19
|
46817.77
|
|
b) Money at call & short notice |
19380.92
|
22554.77
|
15076.79
|
31592.26
|
33576.31
|
26324.43
|
|
c) Advances to banks(i.e., due from banks) |
5720.78
|
9227.23
|
7589.25
|
5985.22
|
9562.29
|
7925.07 £
|
|
d) Other assets |
50842.99
|
64965.22
|
66085.9
|
57089.48
|
67156.85
|
68265.24
|
VII
|
Investments
(at Book Value)
|
1454603.78
|
1672122.66
|
1681256.88
|
1506939.6
|
1723271.87
|
1732686.36
|
|
a) Central & State Govt.securities+ |
1448907.03
|
1667277.3
|
1676750.35
|
1499622.9
|
1717218.56
|
1726972.2
|
|
b) Other approved securities |
5696.75
|
4845.41
|
4506.54
|
7316.69
|
6053.36
|
5714.17
|
VIII
|
Bank credit (Excluding inter-bank advance)
|
3379999.39
|
4014555.68
|
4005365.83
|
3478733.6
|
4138130.86
|
4129719.67
|
|
a) Loans, cash credits & overdrafts $ |
3256184.23
|
3867855
|
3860267.52
|
3352637.4
|
3989477.26
|
3982582.44
|
|
b) Inland bills purchased |
9774.72
|
10681.36
|
10356.7
|
10714.11
|
11210.04
|
10898.98
|
|
c) Inland bills discounted |
65747.59
|
84108.82
|
83282.59
|
66762.23
|
85262.76
|
84487.14
|
|
d) Foreign bills purchased |
17143.41
|
17683.06
|
17663.9
|
17215.02
|
17709.91
|
17694.74
|
|
e) Foreign bills discounted |
31149.45
|
34227.47
|
33795.03
|
31404.78
|
34470.93
|
34056.27
|