1. Reserve Bank of India – Liabilities and Assets* |
(₹ Crore) |
Item |
2020 |
2021 |
Variation |
Feb. 14 |
Feb. 5 |
Feb. 12 |
Week |
Year |
1 |
2 |
3 |
4 |
5 |
4 Loans and Advances |
|
|
|
|
|
4.1 Central Government |
6817 |
– |
– |
– |
-6817 |
4.2 State Governments |
8401 |
9230 |
10918 |
1688 |
2517 |
* Data are provisional. |
2. Foreign Exchange Reserves |
Item |
As on February 12, 2021 |
Variation over |
Week |
End–March 2020 |
Year |
₹ Cr. |
US$ Mn. |
₹ Cr. |
US$ Mn. |
₹ Cr. |
US$ Mn. |
₹ Cr. |
US$ Mn. |
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
1 Total Reserves |
4246990 |
583697 |
-11735 |
-249 |
644834 |
105890 |
848778 |
107604 |
1.1 Foreign Currency Assets |
3935956 |
540951 |
-19341 |
-1387 |
602141 |
98739 |
781453 |
99002 |
1.2 Gold |
263585 |
36227 |
8571 |
1260 |
33058 |
5648 |
55713 |
7104 |
1.3 SDRs |
11005 |
1513 |
45 |
10 |
205 |
80 |
798 |
83 |
1.4 Reserve Position in the IMF |
36444 |
5006 |
-1010 |
-132 |
9431 |
1423 |
10814 |
1416 |
* Difference, if any, is due to rounding off |
4. Scheduled Commercial Banks – Business in India |
(₹ Crore) |
Item |
Outstanding as on Jan. 29, 2021 |
Variation over |
Fortnight |
Financial year so far |
Year-on-year |
2019-20 |
2020-21 |
2020 |
2021 |
1 |
2 |
3 |
4 |
5 |
6 |
2 Liabilities to Others |
|
|
|
|
|
|
2.1 Aggregate Deposits |
14797709 |
172319 |
750229 |
1230217 |
1201301 |
1473708 |
2.1a Growth (Per cent) |
|
1.2 |
6.0 |
9.1 |
9.9 |
11.1 |
2.1.1 Demand |
1691529 |
117711 |
-80276 |
74526 |
187103 |
260518 |
2.1.2 Time |
13106180 |
54609 |
830506 |
1155691 |
1014199 |
1213190 |
2.2 Borrowings |
243117 |
-593 |
-66951 |
-66322 |
-48249 |
-68185 |
2.3 Other Demand and Time Liabilities |
615608 |
46673 |
84 |
11932 |
35171 |
71878 |
7 Bank Credit |
10704669 |
61776 |
333454 |
333808 |
675648 |
599493 |
7.1a Growth (Per cent) |
|
0.6 |
3.4 |
3.2 |
7.2 |
5.9 |
7a.1 Food Credit |
87110 |
159 |
37289 |
35346 |
11170 |
8211 |
7a.2 Non-food credit |
10617559 |
61617 |
296165 |
298463 |
664478 |
591283 |
6. Money Stock: Components and Sources |
(₹ Crore) |
Item |
Outstanding as on |
Variation over |
2020 |
2021 |
Fortnight |
Financial Year so far |
Year-on-Year |
2019-20 |
2020-21 |
2020 |
2021 |
Mar. 31 |
Jan. 29 |
Amount |
% |
Amount |
% |
Amount |
% |
Amount |
% |
Amount |
% |
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 |
11 |
12 |
M3 |
16799963 |
18401481 |
161813 |
0.9 |
986558 |
6.4 |
1601518 |
9.5 |
1524090 |
10.2 |
1982857 |
12.1 |
1 Components (1.1.+1.2+1.3+1.4) |
|
|
|
|
|
|
|
|
|
|
|
|
1.1 Currency with the Public |
2349748 |
2707084 |
-9876 |
-0.4 |
166567 |
8.1 |
357336 |
15.2 |
234663 |
11.8 |
488308 |
22.0 |
1.2 Demand Deposits with Banks |
1737692 |
1814239 |
118055 |
7.0 |
-77329 |
-4.8 |
76547 |
4.4 |
191873 |
14.1 |
265056 |
17.1 |
1.3 Time Deposits with Banks |
12674016 |
13836935 |
53003 |
0.4 |
895206 |
7.6 |
1162920 |
9.2 |
1090235 |
9.5 |
1220126 |
9.7 |
1.4 ‘Other’ Deposits with Reserve Bank |
38507 |
43222 |
631 |
1.5 |
2114 |
6.7 |
4715 |
12.2 |
7319 |
27.6 |
9366 |
27.7 |
2 Sources (2.1+2.2+2.3+2.4-2.5) |
|
|
|
|
|
|
|
|
|
|
|
|
2.1 Net Bank Credit to Government |
4960362 |
5735483 |
17317 |
0.3 |
626105 |
14.3 |
775121 |
15.6 |
552215 |
12.4 |
720888 |
14.4 |
2.1.1 Reserve Bank |
992192 |
1058048 |
6383 |
|
255086 |
|
65856 |
|
158208 |
|
1011 |
|
2.1.2 Other Banks |
3968170 |
4677435 |
10934 |
0.2 |
371019 |
10.3 |
709265 |
17.9 |
394007 |
11.1 |
719878 |
18.2 |
2.2 Bank Credit to Commercial Sector |
11038644 |
11362407 |
61425 |
0.5 |
373905 |
3.6 |
323762 |
2.9 |
728367 |
7.3 |
605783 |
5.6 |
2.2.1 Reserve Bank |
13166 |
8601 |
-740 |
|
-8983 |
|
-4565 |
|
-1898 |
|
2221 |
|
2.2.2 Other Banks |
11025478 |
11353806 |
62165 |
0.6 |
382888 |
3.7 |
328327 |
3.0 |
730265 |
7.3 |
603562 |
5.6 |
8. Liquidity Operations by RBI |
(₹ Crore) |
Date |
Liquidity Adjustment Facility |
MSF* |
Standing Liquidity Facilities |
Market Stabili sation Sche me |
OMO (Outright) |
Long Term Repo Opera tions & |
Targeted Long Term Repo Operat ions# |
Special Liquidity Facility for Mutual Funds |
Special Liquidity Scheme for NBFCs/ HFCs** |
Net Injection (+)/ Absorption (-) (1+3+5+6+9+ 10+11+12+13- 2-4-7-8) |
Repo |
Reverse Repo* |
Variable Rate Repo |
Variable Rate Reverse Repo |
Sale |
Purchase |
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 |
11 |
12 |
13 |
14 |
Feb. 8, 2021 |
– |
486594 |
– |
– |
0 |
– |
– |
– |
2025 |
– |
– |
– |
– |
-484569 |
Feb. 9, 2021 |
– |
505265 |
– |
– |
38 |
– |
– |
– |
1150 |
– |
– |
– |
– |
-504077 |
Feb. 10, 2021 |
– |
499903 |
– |
– |
9 |
– |
– |
– |
1020 |
– |
– |
– |
– |
-498874 |
Feb. 11, 2021 |
– |
528043 |
– |
– |
30 |
220 |
– |
– |
20000 |
– |
– |
– |
– |
-507793 |
Feb. 12, 2021 |
– |
524304 |
– |
– |
12 |
– |
– |
– |
25974 |
– |
– |
– |
– |
-498318 |
Feb. 13, 2021 |
– |
6198 |
– |
– |
1781 |
– |
– |
– |
– |
– |
– |
– |
– |
-4417 |
Feb. 14, 2021 |
– |
10070 |
– |
– |
52 |
– |
– |
– |
– |
– |
– |
– |
– |
-10018 |
*Includes additional Reverse Repo and additional MSF operations (for the period December 16, 2019 to February 13, 2020) #Includes Targeted Long Term Repo Operations (TLTRO) and Targeted Long Term Repo Operations 2.0 (TLTRO 2.0). Negative (-) sign indicates repayments done by Banks. **As per RBI Notification No. 2020-21/01 dated July 01, 2020. Negative (-) sign indicates maturity proceeds received for RBI’s investment in the Special Liquidity Scheme. & Negative (-) sign indicates repayments done by Banks. |
The above information can be accessed on Internet at https://wss.rbi.org.in/
The concepts and methodologies for WSS are available in Handbook on WSS (https://rbi.org.in/scripts/PublicationsView.aspx?id=15762).
Time series data are available at https://dbie.rbi.org.in
Rupambara Director
Press Release: 2020-2021/1129
|