OREANDA-NEWS. June 29, 2011. Scheduled Banks' Statement of Position in India as on Friday, June 17, 2011

(Amount in Rupees crore)

 

 

Scheduled Commercial Banks (SCBs) (including RRBs)

All Scheduled Banks

 

 

18.06.2010

03.06.2011

*

17.06.2011

*

18.06.2010

03.06.2011

*

17.06.2011

*

I

Liabilities to the Banking System (A)

 

 

 

 

 

 

 

 

 

 

 

a) Demand & time deposits from banks

62571.96

69718.73

 

69666.55

 

65275.87

72491.53

 

72445.00

**

 

b) Borrowings from banks

28884.72

28854.73

 

27586.75

 

28922.48

28993.89

 

27817.45

 

 

c) Other demand & time liabilities

7090.54

9983.67

 

10619.69

 

7093.42

9986.75

 

10625.58

 

II

Liabilities to Others (A)

 

 

 

 

 

 

 

 

 

 

 

a) Deposits (other than from banks)

4521352.34

5377596.98

 

5344700.99

 

4664904.63

5527304.01

 

5494611.57

 

 

i) Demand

570799.64

557295.76

 

549397.95

 

585826.37

571627.14

 

563875.86

 

 

ii) Time

3950552.70

4820301.22

 

4795303.04

 

4079078.26

4955676.87

 

4930735.71

 

 

b) Borrowings @

120511.68

141408.97

 

142792.79

 

122605.68

143085.90

 

144559.06

 

 

c) Other demand & time liabilities

321521.94

349707.28

 

359125.18

 

326773.00

355216.74

 

364612.57

 

III

Borrowings from RBI (B)

1828.68

1914.85

 

2063.85

 

1869.68

1944.85

 

2093.85

 

 

Against usance bills and / or promissory Notes

0

0

 

0

 

0

0

 

0

 

IV

Cash

27687.26

32576.84

 

33873.65

 

28440.79

33419.20

 

34720.30

 

V

Balances with RBI (B)

284957.64

337733.41

 

334795.07

 

293999.51

346911.26

 

344038.34

 

VI

Assets with Banking System

 

 

 

 

 

 

 

 

 

 

 

a) Balances with other banks

 

 

 

 

 

 

 

 

 

 

 

i) In current accounts

8923.96

9807.30

 

9417.56

 

10453.11

11323.60

 

10899.74

 

 

ii) In other accounts

41710.31

45449.32

 

43672.86

 

47823.05

51188.94

 

49662.12

 

 

b) Money at call & short notice

14771.27

15911.15

 

17323.22

 

27532.58

27424.79

 

28995.51

 

 

c) Advances to banks(i.e., due from banks)

8705.18

12669.55

 

8270.80

 

8969.12

13003.54

 

8609.37

Ј

 

d) Other assets

46765.44

65639.40

 

66367.80

 

53645.24

67914.35

 

68580.24

 

VII

Investments (at Book Value )

1415850.25

1612441.01

 

1605387.21

 

1468491.08

1663154.42

 

1656280.38

 

 

a) Central & State Govt.securities+

1409616.20

1607467.29

 

1600524.59

 

1459354.40

1656967.94

 

1650205.00

 

 

b) Other approved securities

6234.05

4973.72

 

4862.62

 

9136.68

6186.48

 

6075.38

 

VIII

Bank credit (Excluding inter­bank advance)

3315291.30

3980377.10

 

4001520.94

 

3410468.24

4102004.24

 

4123476.95

 

 

a) Loans, cash credits & overdrafts USD

3196918.53

3833291.39

 

3854168.19

 

3290209.51

3952923.43

 

3974110.41

 

 

b) Inland bills purchased

9767.13

11678.38

 

11198.48

 

10546.80

12172.45

 

11704.26

 

 

c) Inland bills discounted

61418.11

84377.52

 

83638.05

 

62197.45

85577.05

 

84848.31

 

 

d) Foreign bills purchased

15607.92

16705.79

 

17623.82

 

15674.22

16743.08

 

17651.96

 

 

e) Foreign bills discounted

31579.61

34324.02

 

34892.40

 

31840.26

34588.23

 

35162.01

 

 

Food Credit Outstanding as on

(in Crores)

Date

18.06.2010

03.06.2011

17.06.2011

Scheduled Commercial Banks

52969.75

73937.85

77328.57

State Co-operative Banks

6420.00

6325.00

6325.00

The expression ' Banking System ' or ' Banks ' means the banks and any other financial institution referred to in sub-clauses (i) to (vi) of clause (d) of the explanation below Section 42(1) of the Reserve Bank of India Act, 1934.