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RESERVE BANK OF INDIA BULLETIN WEEKLY STATISTICAL SUPPLEMENT

4. Scheduled Commercial Banks - Business in India


(? Billion)

Outstanding
as on Mar. 22,
2013
1

Item
1 Liabilities to the Banking System
1.1 Demand and Time Deposits from Banks
1.2 Borrowings from Banks
1.3 Other Demand and Time Liabilities
2 Liabilities to Others
2.1 Aggregate Deposits
2.1a Growth (Per cent)
2.1.1 Demand
2.1.2 Time
2.2 Borrowings
2.3 Other Demand and Time Liabilities
3. Borrowings from Reserve Bank
4 Cash in Hand and Balances with Reserve Bank
4.1 Cash in hand
4.2 Balances with Reserve Bank
5 Assets with the Banking System
5.1 Balances with Other Banks
5.2 Money at Call and Short Notice
5.3 Advances to Banks
5.4 Other Assets
6 Investments
6.1a Growth (Per cent)
6.1 Government Securities
6.2 Other Approved Securities
7 Bank Credit
7.1a Growth (Per cent)
7a. 1 Food Credit
7a.2 Non-food credit
7b. 1 Loans, Cash credit and Overdrafts
7b.2 Inland Bills - Purchased
7b.3 Discounted
7b.4 Foreign Bills - Purchased
7b.5 Discounted

Fortnight
2

Variation over
Financial rear so far
2011-12
2012-13
4
3

Year-on-Year
2012
2013
5
6

842.0
393.6
91.0

45.8
-85.0
-36.6

105.1
22.0
-9.8

-0.6
74.4
29.5

105.1
22.0
-9.8

-0.6
74.4
29.5

67,514.2

912.5
1.4
447.2
465.3
13.4
82.0
40.1
67.4
6.2
61.3

7,011.1
13.5
-163.8
7,174.9
751.1
315.8
37.2
98.9
57.8
41.1

8,423.4
14.3
365.9
8,057.5
156.4
391.5
128.3
-366.2
43.8
^UO.O

7,011.1
13.5
-163.8
7,174.9
751.1
315.8
37.2
98.9
57.8
41.1

8,423.4
14.3
365.9
8,057.5
156.4
391.5
128.3
-366.2
43.8
^110.0

93.4
-30.1
35.1
73.2
11.8
0.1
8.6
3.2
820.2
1.6
-75.8
896.0
751.8
10.4
29.4
17.1
11.6

145.2
66.7
10.2
13.2
2,361.7
15.7
2,378.7
-17.0
6,697.7
17.0
170.2
6,527.5
6,419.7
29.0
181.1
25.9
42.0

242.7
63.6
-9.2
112.2
2,682.5
15.4
2,684.4
-1.9
6,509.8
14.1
151.2
6,358.6
6,255.4
84.7
116.6
3.9
49.3

145.2
66.7
10.2
13.2
2,361.7
15.7
2,378.7
-17.0
6,697.7
17.0
170.2
6,527.5
6,419.7
29.0
181.1
25.9
42.0

242.7
63.6
-9.2
112.2
2,682.5
15.4
2,684.4
-1.9
6,509.8
14.1
151.2
6,358.6
6,255.4
84.7
116.6
3.9
49.3

6,619.2
60,895.0
2,220.9
4,125.4
215.9
3,227.8
405.1
2,822.7
949.2
296.4
126.7
816.1
20,060.4
20,034.6
25.8
52,6283
964.2
51,664.1
50,615.1
248.1
1,096.4
215.6
453.2

5. Ratios and Rates


Item/Week Ended
Ratios
Cash Reserve Ratio
Statutory Liquidity Ratio
Cash-Deposit Ratio
Credit-Deposit Ratio
Incremental Credit-Deposit Ratio
Investment-Deposit Ratio
Incremental Investment-Deposit Ratio
Rates
Policy Repo Rate
Reverse Repo Rate
Marginal Standing Facility (MSF) Rate
Bank Rate
Base Rate
Term Deposit Rate >1 Year
Savings Deposit Rate
Call Money Rate (Weighted Average)
91-Day Treasury Bill (Primary) Yield
182-Day Treasury Bill (Primary) Yield
364-Day Treasury Bill (Primary) Yield
10-Year Government Securities Yield
RBI Reference Rate and Forward Premia
INR-US$ Spot Rate ( ? Per Foreign Currency)
INR-Euro Spot Rate ( ? Per Foreign Currency)
Forward Premia of US$ 1-month
3-month
6-month

2012
Mar. 30
1

Mar. 1
2

2013
Mar. 15
4

Mar. 8
3

Mar. 22
5

Mar. 29
6

4.75
24.00

4.00
23.00

4.00
23.00
4.75
77.79
75.75
30.10
35.56

4.00
23.00

4.00
23.00
4.78
77.95
77.28
29.71
31.85

4.00
23.00

8.50
7.50
9.50
9.50
10.00/10.75
8.50/9.25
4.00
9.95
9.02
8.66

7.75
6.75
8.75
8.75
9.70/10.25
7.50/9.00
4.00
7.84
8.10
8.03

7.75
6.75
8.75
8.75
9.70/10.25
7.50/9.00
4.00
7.72
8.10

7.75
6.75
8.75
8.75
9.70/10.25
7.50/9.00
4.00
7.80
8.10
8.05

7.50
6.50
8.50
8.50
9.70/10.25
7.50/9.00
4.00
7.65
8.02

7.50
6.50
8.50
8.50
9.70/10.25
7.50/9.00
4.00
7.77
8.19
8.01

8.57

7.91

7.88
7.84

7.86

7.79
7.96

7.95

51.16
68.34
8.68
7.66
6.80

54.48
71.27
8.48
7.89
7.34

54.40
71.24
8.60
7.79
7.13

54.16
70.50
9.64
7.90
7.24

54.34
70.10
9.05
7.95
7.40

54.39
69.54
7.72
7.57
7.28
April 5, 2013