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RESERVE BANK OF INDIA BULLETIN WEEKLY STATISTICAL SUPPLEMENT

4. Scheduled Commercial Banks - Business in India


(` Billion)

Outstanding
as on Jan. 9,
2015
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

Variation over
Financial year so far
2013-14
2014-15
3
4

Fortnight
2

Year-on-Year
2014
2015
5
6

1,065.1
365.9
57.4

3.8
17.0
2.8

130.6
96.4
0.5

287.9
16.2
77.6

75.9
11.7
21.4

349.1
68.7
33.0

84,157.3

795.5
1.0
318.2
1,113.8
6.5
156.9
79.5
93.6
52.8
40.8

7,723.8
11.4
39.5
7,684.2
132.4
50.6
198.4
410.5
28.0
382.5

7,101.7
9.2
254.0
6,847.7
187.8
164.1
425.1
303.4
49.1
254.3

9,905.0
15.2
631.3
9,273.7
193.9
204.3
197.3
257.3
32.6
224.7

8,929.0
11.9
730.8
8,198.3
326.5
153.5
427.0
287.5
74.9
212.6

41.9
25.1
11.0
52.9
559.0
2.3
559.0
0.1
443.3
0.7
9.1
434.3
370.4
22.1
19.1
28.5
3.3

43.0
78.5
6.9
404.6
2,194.2
10.9
2,201.7
7.5
5,114.1
9.7
172.9
4,941.3
4,960.1
150.3
71.8
43.5
32.0

242.5
86.8
2.1
102.7
2,828.5
12.8
2,824.7
3.8
3,969.3
6.6
107.5
3,861.8
3,972.6
35.5
70.7
1.1
39.6

110.6
7.1
39.1
285.2
2,476.3
12.5
2,482.3
6.0
7,305.4
14.5
72.9
7,232.5
7,023.0
170.4
33.4
44.1
34.6

387.0
26.3
35.8
71.1
2,701.4
12.1
2,698.4
3.0
6,191.5
10.7
44.8
6,236.3
6,111.5
50.1
153.7
5.6
29.2

7,393.3
76,764.1
2,022.6
4,219.2
841.2
3,925.5
507.8
3,417.7
1,304.8
191.3
169.5
340.0
24,956.7
24,936.6
20.0
63,910.3
1,092.3
62,818.0
61,663.4
348.9
1,176.5
264.0
457.5

5. Ratios and Rates


(Per cent)
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

2014
Jan. 17
1

2014
Dec. 19
2

Dec. 26
3

Jan. 2
4

2015
Jan. 9
5

Jan. 16
6

4.00
23.00
..
..
..
..
..

4.00
22.00
..
..
..
..
..

4.00
22.00
4.82
76.13
55.91
29.27
35.99

4.00
22.00
..
..
..
..
..

4.00
22.00
4.66
75.94
55.89
29.65
39.83

4.00
22.00
..
..
..
..
..

7.75
6.75
8.75
8.75
10.00/10.25
8.00/9.10
4.00
8.57
8.73
8.71
..
8.66

8.00
7.00
9.00
9.00
10.00/10.25
8.00/9.00
4.00
8.33
8.35
8.38
..
7.99

8.00
7.00
9.00
9.00
10.00/10.25
8.00/9.00
4.00
8.10
8.35
..
8.22
8.01

8.00
7.00
9.00
9.00
10.00/10.25
8.00/9.00
4.00
8.22
8.31
8.36
..
7.90

8.00
7.00
9.00
9.00
10.00/10.25
8.00/8.75
4.00
8.03
8.39
..
8.18
7.89

7.75
6.75
8.75
8.75
10.00/10.25
8.00/8.75
4.00
7.94
8.39
8.25
..
7.75

61.35
83.52
8.80
8.74
8.25

63.07
77.46
8.09
7.33
7.17

63.64
77.74
7.92
7.23
7.13

63.29
76.31
7.96
7.58
7.39

62.40
73.61
8.08
7.76
7.50

61.89
72.01
7.95
7.63
7.21

January 23, 2015