The RBI has released business data of scheduled commercial banks as on 15 November 2024. You can check business data and download PDF via link given below.
(Amount in ₹ crore) | |||||||
SCHEDULED COMMERCIAL BANKS (Including RRBs, SFBs and PBs) | ALL SCHEDULED BANKS | ||||||
17-Nov-2023 | 01-Nov-2024* | 15-Nov-2024* | 17-Nov-2023 | 01-Nov-2024* | 15-Nov-2024* | ||
I | LIABILITIES TO THE BKG.SYSTEM (A) | ||||||
a) Demand & Time deposits from banks | 241123.09 | 289863.65 | 285900.51 | 244489.67 | 294354.23 | 291084.89** | |
b) Borrowings from banks | 187366.53 | 135897.86 | 136118.41 | 187461.76 | 136048.36 | 136192.88 | |
c) Other demand & time liabilities | 71762.95 | 24969.58 | 24937.38 | 72490.30 | 25304.29 | 25293.90 | |
II | LIABILITIES TO OTHERS (A) | ||||||
a) Deposits (other than from banks) | 19651859.88 | 22027535.25 | 21854018.01 | 20084396.52 | 22485707.90 | 22312127.35 | |
i) Demand | 2307178.46 | 2562741.50 | 2513659.59 | 2353850.30 | 2612509.06 | 2562807.41 | |
ii) Time | 17344681.42 | 19464793.74 | 19340358.42 | 17730546.21 | 19873198.84 | 19749319.94 | |
b) Borrowings @ | 842516.65 | 863454.33 | 917362.05 | 847012.91 | 868464.48 | 922247.88 | |
c) Other demand & time liabilities | 887232.99 | 950234.91 | 945519.83 | 899313.34 | 962659.07 | 958179.84 | |
III | BORROWINGS FROM R.B.I. (B) | 131042.10 | 9032.00 | 6623.00 | 131042.10 | 9032.00 | 6623.00 |
Against usance bills and / or prom. Notes | |||||||
IV | CASH | 88878.57 | 92956.20 | 93798.83 | 91650.01 | 95909.18 | 96623.97 |
V | BALANCES WITH R.B.I. (B) | 910823.43 | 991969.56 | 1008450.08 | 930224.97 | 1012089.70 | 1028476.42 |
VI | ASSETS WITH BANKING SYSTEM | ||||||
a) Balances with other banks | |||||||
i) In current accounts | 8918.49 | 10710.60 | 10362.85 | 11593.77 | 14068.51 | 12744.67 | |
ii) In other accounts | 177651.01 | 195798.37 | 200948.07 | 214779.66 | 245033.52 | 253090.89 | |
b) Money at call & short notice | 23041.10 | 21934.57 | 21727.57 | 35201.73 | 33817.98 | 32614.66 | |
c) Advances to banks (i.e. due from bks.) | 51737.59 | 43604.81 | 41436.93 | 52329.00 | 44224.65 | 42057.16£ | |
d) Other assets | 97657.55 | 60757.56 | 61143.74 | 99973.25 | 63882.41 | 64357.45 | |
VII | INVESTMENTS (At book value) | 6069867.70 | 6557352.83 | 6489938.80 | 6218992.00 | 6710041.31 | 6642739.27 |
a) Central & State Govt. securities+ | 6069047.27 | 6556790.22 | 6489359.19 | 6212356.70 | 6701767.47 | 6634609.09 | |
b) Other approved securities | 820.43 | 562.60 | 579.61 | 6635.30 | 8273.84 | 8130.18 | |
VIII | BANK CREDIT (Excluding Inter-Bank Advances) | 15620807.10 | 17437891.98 | 17362301.36 | 16028416.31 | 17891551.87 | 17818204.08 |
a) Loans, cash credits & Overdrafts $ | 15350651.96 | 17124164.37 | 17056094.85 | 15755358.82 | 17574559.03 | 17508866.19 | |
b) Inland Bills purchased | 47391.72 | 67918.02 | 66847.24 | 47402.69 | 69410.19 | 68281.68 | |
c) Inland Bills discounted | 184705.88 | 207786.28 | 202787.69 | 187001.06 | 208928.97 | 203878.90 | |
d) Foreign Bills purchased | 15807.16 | 15457.39 | 15011.36 | 16030.47 | 15702.63 | 15257.10 | |
e) Foreign Bills discounted | 22250.37 | 22565.92 | 21560.23 | 22623.28 | 22951.04 | 21920.20 |