(Amount in Crore of ₹) |
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I |
LIABILITIES TO THE BKG.SYSTEM (A) |
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a) Demand & Time deposits from bks. |
181589.45 |
217475.79 |
218943.55 |
186621.57 |
222515.24 |
223997.94 ** |
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b) Borrowings from banks |
66444.3 |
49329.61 |
47901.7 |
66476.6 |
49329.61 |
47907.23 |
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c) Other demand & time liabilities |
11792.66 |
15823.59 |
15844.6 |
11944.68 |
16018 |
16033.43 |
II |
LIABILITIES TO OTHERS (A) |
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a) Deposits (other than from banks) |
12722856.91 |
14176818.54 |
14248235.14 |
13069411.34 |
14589410.61 |
14661999.5 |
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i) Demand |
1312209.57 |
1541080.84 |
1516279.82 |
1343835.34 |
1576870.37 |
1552428.83 |
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ii) Time |
11410647.34 |
12635737.71 |
12731955.34 |
11725576 |
13012540.25 |
13109570.69 |
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b) Borrowings @ |
334208.37 |
272668.43 |
258556.83 |
337907.12 |
277263.85 |
263022.99 |
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c) Other demand & time liabilities |
625148.36 |
567394.86 |
549883.65 |
635520.55 |
580763.36 |
562842.55 |
III |
BORROWINGS FROM R.B.I. (B) |
33667 |
253644.61 |
239017 |
33667 |
253644.61 |
239017 |
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Against usance bills and / or prom. Notes |
0 |
0 |
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0 |
0 |
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IV |
CASH |
84766.15 |
87251.45 |
85179 |
86600.26 |
89429.25 |
87249.53 |
V |
BALANCES WITH R.B.I. (B) |
519670.04 |
439410.75 |
434586.76 |
532989.05 |
451811.12 |
446933.94 |
VI |
ASSETS WITH BANKING SYSTEM |
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a) Balances with other banks |
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i) In current accounts |
15271.71 |
12611.22 |
12703.57 |
17883.06 |
14500.21 |
14633.42 |
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ii) In other accounts |
225742.19 |
135648.24 |
137247.03 |
249721.83 |
165635.49 |
168786.5 |
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b) Money at call & short notice |
26589.29 |
13347.77 |
11833.89 |
42340.65 |
35136.57 |
35897.59 |
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c) Advances to banks(i.e. due from bks.) |
26668.25 |
24490.05 |
24907.85 |
29453.81 |
25018.32 |
25378.02 £ |
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d) Other assets |
38613.83 |
34290.09 |
34188.59 |
47029.26 |
40080.32 |
39857.28 |
VII |
INVESTMENTS (At book value) |
3605280.79 |
4361222.03 |
4401728.37 |
3701977.23 |
4488300.04 |
4530975.62 |
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a) Central & State Govt. securities+ |
3599355.23 |
4359335.84 |
4399703.78 |
3689708.32 |
4479898.92 |
4522324.87 |
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b) Other approved securities |
5925.56 |
1886.19 |
2024.55 |
12268.91 |
8401.14 |
8650.71 |
VIII |
BANK CREDIT (Excluding Inter Bank Advance) |
9713657.7 |
10216227.32 |
10224927.8 |
9997681.58 |
10548168.67 |
10557279.89 |
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a) Loans, cash credits & Overdrafts $ |
9505998.7 |
10050902.85 |
10065417.65 |
9786108.51 |
10380860.63 |
10395748.52 |
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b) Inland Bills purchased |
23587.49 |
19153.27 |
19761.04 |
24464.79 |
19423.76 |
20033.68 |
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c) Inland Bills discounted |
128897.42 |
103201.1 |
95685.29 |
131034.8 |
104510.29 |
96729.69 |
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d) Foreign Bills purchased |
23484.14 |
16320.6 |
16780.97 |
23931.36 |
16562.67 |
17023.4 |
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e) Foreign Bills discounted |
31689.96 |
26649.45 |
27282.79 |
32142.13 |
26811.28 |
27744.54 |