Month-wise Business of Foreign Banks in India (March to September, 2003) | |||||||
(Amount : Rs. in Crore) | |||||||
Items | As on the last reporting Friday of | ||||||
Mar. | Apr. | May | Jun. | July | Aug. | Sept. | |
No. of reporting banks | |||||||
I. Liabilities to the banking system | |||||||
Demand and time deposits from banks | |||||||
Borrowings from banks | |||||||
Other demand and time liabilities | |||||||
II. Liabilities to others in India | |||||||
Aggregate deposits | |||||||
(i) Demand deposits | |||||||
(ii) Time deposits | |||||||
Borrowings (other than from RBI, IDBI, NABARD, EXIM Bank) | |||||||
Other demand and time liabilities | |||||||
III. Assets with the banking system | |||||||
of which: | |||||||
Money at call and short notice | |||||||
IV. Cash in hand | |||||||
V. Investments in India | |||||||
Government securities | |||||||
Other approved securities | |||||||
VI. Bank credit | |||||||
Loans, cash credit and overdrafts | |||||||
Inland bills purchased | |||||||
Inland bills discounted | |||||||
Foreign bills purchased | |||||||
Foreign bills discounted |