(Amount in Rupees crore)
|
|
|
Scheduled Commercial Banks (SCBs)
(including RRBs)
|
All Scheduled Banks
|
|
|
08-OCT-2010
|
23-SEP-2011 *
|
07-OCT-2011 *
|
08-OCT-2010
|
23-SEP-2011 *
|
07-OCT-2011 *
|
I
|
Liabilities to the Banking System (A)
|
|
|
|
|
|
|
|
a) Demand & time deposits from banks
|
63006.5
|
68852.43
|
70059.93
|
65810.93
|
71732.52
|
72965.42 **
|
|
b) Borrowings from banks
|
23146.02
|
24582.95
|
28144.52
|
23398.13
|
25032.41
|
28751.71
|
|
c) Other demand & time liabilities
|
6940.22
|
9918.43
|
9964.69
|
6946.92
|
9923.55
|
9970.4
|
II
|
Liabilities to Others (A)
|
|
|
|
|
|
|
|
a) Deposits (other than from banks)
|
4792852.22
|
5530267.28
|
5624931.8
|
4938006.94
|
5685898.08
|
5782025.01
|
|
i) Demand
|
602090.07
|
559002.3
|
572679.05
|
617407.58
|
573200.52
|
587298.64
|
|
ii) Time
|
4190762.15
|
4971265.02
|
5052252.79
|
4320599.36
|
5112697.59
|
5194726.4
|
|
b) Borrowings @
|
119435.53
|
172129.31
|
167190.45
|
120375.27
|
173316.92
|
168525.7
|
|
c) Other demand & time liabilities
|
323990.78
|
360420.74
|
364514.88
|
329259.21
|
366107.06
|
371895.22
|
III
|
Borrowings from RBI (B)
|
2534.6
|
2697.83
|
3324.33
|
2594.6
|
2702.16
|
3328.16
|
|
Against usance bills and / or promissory Notes
|
0
|
0
|
0
|
0
|
0
|
0
|
IV
|
Cash
|
27560.28
|
35938.34
|
39058.42
|
28266.84
|
36835.46
|
39979.44
|
V
|
Balances with RBI (B)
|
275558.58
|
350166.34
|
325962.39
|
284240.37
|
359638.09
|
335198.97
|
VI
|
Assets with Banking System
|
|
|
|
|
|
|
|
a) Balances with other banks
|
|
|
|
|
|
|
|
i) In current accounts
|
9071.34
|
9508.21
|
10341.7
|
10490.49
|
10995.69
|
11940.21
|
|
ii) In other accounts
|
37144.85
|
45171.62
|
47770.98
|
43528.97
|
51497.1
|
54129.9
|
|
b) Money at call & short notice
|
14197.1
|
17504.94
|
22676.67
|
24242.92
|
28913.57
|
33996.52
|
|
c) Advances to banks(i.e., due from banks)
|
5360.78
|
8452.23
|
8428.09
|
5634.34
|
8792.19
|
8798.04 £
|
|
d) Other assets
|
50951.35
|
73242.85
|
73736.21
|
55750.62
|
76635.46
|
77174.43
|
VII
|
Investments (at Book Value )
|
1477093.33
|
1700198.58
|
1734777.95
|
1529343.77
|
1752258.68
|
1786762.1
|
|
a) Central & State Govt.securities+
|
1471725.83
|
1696018.13
|
1730778.38
|
1522475.8
|
1746895.82
|
1781571.09
|
|
b) Other approved securities
|
5367.5
|
4180.49
|
3999.59
|
6867.97
|
5362.91
|
5191.04
|
VIII
|
Bank credit (Excluding inter-bank advance)
|
4093154.97
|
4148597.55
|
3576628.98
|
4221429.4
|
4278824.28
|
|
a) Loans, cash credits & overdrafts $
|
3345731.75
|
3946320.39
|
3998234.17
|
3446864.61
|
4072542.96
|
4126410.11
|
|
b) Inland bills purchased
|
10472.04
|
11868.49
|
13341.19
|
11584.95
|
12319.43
|
13758.06
|
|
c) Inland bills discounted
|
68767.86
|
79243.7
|
80238.73
|
69785.34
|
80553.18
|
81602.47
|
|
d) Foreign bills purchased
|
16848.59
|
18533.37
|
18852.26
|
16912.73
|
18559.74
|
18878.41
|
|
e) Foreign bills discounted
|
31238.82
|
37189.02
|
37931.26
|
31481.35
|
37454.1
|
38175.29
|