(` Billion)
Last Reporting Friday (in case of March)/Last Friday/ Reporting Friday
1990-91
2009-10
2010-11
2011
2012
Jan.
Jun.
Jul.
Aug.
Sep.
Oct.
Nov.
Dec.
Jan.13
Jan.27
1
2
3
4
5
6
7
8
9
10
11
12
13
Number of Reporting Banks
28
31
Demand and Time Liabilities
Aggregate Deposits (1)
21.53
268.96
285.59
282.02
284.72
288.45
287.40
288.47
292.36
294.37
300.65
303.76
304.41
Demand Liabilities
18.32
97.46
116.72
107.08
111.07
110.86
109.79
118.42
108.60
107.91
109.00
110.57
107.53
Inter-Bank
7.18
20.21
16.56
14.04
14.23
13.83
14.74
17.69
13.05
13.27
13.95
14.99
12.97
Others
7.94
48.87
62.34
59.07
63.89
61.70
60.85
62.28
61.73
63.53
62.92
64.03
63.85
Borrowings from Banks
1.81
9.05
10.88
10.12
11.85
13.09
10.58
14.79
9.47
9.07
10.38
7.98
7.89
1.39
19.33
26.94
23.85
21.11
22.25
23.62
23.66
24.35
22.05
21.74
23.58
22.82
Time Liabilities
39.63
714.85
659.05
655.70
650.68
653.16
655.36
662.10
666.68
670.84
682.67
689.95
693.69
25.45
484.89
427.24
425.54
422.33
419.30
421.70
430.24
430.10
434.02
438.50
444.17
446.82
13.59
220.10
223.25
222.94
220.83
226.75
226.55
226.19
230.63
230.85
237.73
239.73
240.56
-
2.05
3.15
1.78
2.04
2.12
0.04
0.10
0.31
0.59
7.80
5.41
5.44
5.47
4.98
5.07
5.63
5.90
5.97
6.34
6.05
6.00
Borrowing from Reserve Bank
0.15
Borrowings from the State Bank and/or a Notified bank (2) and State Government
18.61
135.05
172.93
160.39
163.18
161.28
163.72
173.71
196.76
198.87
197.37
205.14
243.15
Demand
1.16
36.87
81.13
78.61
74.55
66.45
73.12
78.70
99.99
100.56
95.93
97.20
99.34
Time
17.45
98.17
91.80
81.78
88.63
94.82
90.60
95.02
96.76
98.31
101.44
107.94
143.81
Assets
Cash in Hand and Balances with Reserve Bank
3.34
41.40
37.50
36.77
39.65
39.52
38.58
40.37
39.60
40.74
42.23
42.37
40.71
Cash in Hand
0.24
1.51
1.72
1.63
1.82
2.00
1.84
1.94
1.87
1.89
1.86
Balance with Reserve Bank
3.10
39.88
35.78
35.14
37.83
37.52
36.75
38.55
37.66
38.88
40.34
40.51
38.93
Balances with Other Banks in Current Account
0.93
6.83
6.12
7.31
4.84
5.11
4.88
6.38
6.23
5.86
5.25
5.10
Investments in Government Securities (3)
248.96
245.08
248.64
252.38
252.70
247.78
248.66
249.84
250.03
249.39
249.22
250.21
Money at Call and Short Notice
190.10
131.05
141.40
153.30
145.79
151.34
144.26
148.49
147.00
139.93
149.97
157.62
Bank Credit (4)
25.53
194.49
243.31
220.74
248.48
245.88
245.02
241.65
236.62
234.35
278.91
286.39
290.69
Advances
Loans, Cash-Credits and Overdrafts
25.28
194.36
243.18
220.58
248.37
245.82
244.85
241.55
236.49
234.19
278.71
286.21
290.52
Due from Banks (5)
55.60
282.88
401.79
381.96
407.59
427.38
438.72
457.39
472.27
471.85
438.52
438.64
441.42
Bills Purchased and Discounted
0.25
0.13
0.16
0.12
0.07
0.17
0.19
0.18
Cash – Deposit Ratio
15.5
15.4
13.1
13.0
13.9
13.7
13.4
14.0
13.5
13.8
Investment – Deposit Ratio
49.1
92.6
85.8
88.2
88.6
87.6
86.2
85.5
84.9
82.9
82.0
82.2
Credit – Deposit Ratio
118.6
72.3
85.2
78.3
87.3
85.3
83.8
80.9
79.6
92.8
94.3
95.5