MUMBAI, India, Jan. 30 -- Reserve Bank of India issued the following press release:

(Amount in ₹ crore) SCHEDULED COMMERCIAL BANKS

(Including RRBs, SFBs and PBs) ALL SCHEDULED BANKS 10-Jan-2025# 31-Dec-2025 15-Jan-2026 10-Jan-2025# 31-Dec-2025 15-Jan-2026 I LIABILITIES TO THE BKG.SYSTEM (A) a) Demand & Time deposits from banks 271703.78 340111.14 334594.98 276454.35 347493.56 342296.21** b) Borrowings from banks 143463.79 84009.60 80440.83 143532.02 84135.04 80507.15 c) Other demand & time liabilities 28059.87 32819.70 33028.55 28374.42 33298.98 33578.04 II LIABILITIES TO OTHERS (A) a) Deposits (other than from banks) 22151174.72 24857492.98 24499894.23 22618068.06 25374431.04 25018665.67 i) Demand 2478179.94 3274722.02 2990791.67 2526145.68 3327804.47 3044298.01 ii) Time 19672994.78 21582770.96 21509102.56 20091922.38 22046626.58 21974367.66 b) Borrowings @ 923447.75 825578.41 921543.17 927676.29 830784.11 926514.86 c) Other demand & time liabilities 982850.90 1068023.00 1062922.31 995569.04 1083928.31 1079080.70 III BORROWINGS FROM R.B.I. (B) 292649.00 168974.00 32336.00 292649.00 168974.00 32336.00 Against usance bills and / or prom. Notes IV CASH 81184.53 83461.84 78478.82 83451.51 85865.18 80881.73 V BALANCES WITH R.B.I. (B) 930601.58 712616.84 717833.96 949009.83 727333.84 732861.37 VI ASSETS WITH BANKING SYSTEM a) Balances with other banks i) In current accounts 10289.07 14383.10 15371.10 12445.35 17232.21 17370.50 ii) In other accounts 193812.38 257279.17 264880.59 245053.92 319113.49 327107.25 b) Money at call & short notice 11968.02 36096.91 32228.87 29194.71 54656.93 50077.28 c) Advances to banks (i.e. due from bks.) 39185.34 35292.90 32218.48 41511.32 37201.00 35114.85A£ d) Other assets 56108.82 69207.73 67909.21 59310.35 75299.11 74032.33 VII INVESTMENTS (At book value) 6628425.87 6884983.10 6807967.35 6781344.20 7054973.71 6977983.66 a) Central & State Govt. securities+ 6627913.28 6884483.14 6807466.71 6772961.72 7044429.11 6967578.98 b) Other approved securities 512.59 499.96 500.64 8382.48 10544.60 10404.68 VIII BANK CREDIT (Excluding Inter-Bank Advances 17799393.73 20320787.62 20132364.93 18253465.95 20811789.57 20623406.13 a) Loans, cash credits & Overdrafts $ 17475442.83 19915121.83 19734276.31 17926218.48 20404211.13 20223454.60 b) Inland Bills purchased 74406.36 96940.01 95390.89 75984.67 97113.48 95401.29 c) Inland Bills discounted 211624.88 271626.65 266853.17 212741.92 272764.15 268135.24 d) Foreign Bills purchased 15700.80 13616.06 12778.64 15924.12 13826.93 12849.53 e) Foreign Bills discounted 22218.86 23483.07 23065.91 22596.76 23873.88 23565.47 NOTE # These figures relates to corresponding reporting Friday of previous year (as per old 'Fortnight' definition) and it shall continue till the publication of Press Communique as on November 30th, 2026. (A) Demand and Time Liabilities do not include borrowings of any Scheduled State Co-operative Bank from State Government and any reserve fund deposits maintained with such banks by any co-operative society within the areas of operation of such banks. ** This excludes deposits of Co-operative Banks with Scheduled State Co-operative Banks. These are included under item II (a). @ Other than from Reserve Bank, National Bank for Agriculture and Rural Development and Export Import Bank of India. (B) The figures relating to Scheduled Commercial Banks' Borrowings in India from Reserve Bank and balances with Reserve Bank are those shown in the statement of affairs of the Reserve Bank. Borrowings against usance bills and/ or promissory notes are under Section 17(4)(c) of the Reserve Bank of India Act, 1934. Following a change in the accounting practise for LAF transactions with effect from July 11, 2014, as per the recommendations of Malegam Committee formed to Review the Format of Balance Sheet and the Profit and Loss Account of the Bank, the transactions in case of Repo / Term Repo / MSF are reflected under 'Borrowings from RBI'. A£ This excludes advances granted by Scheduled State Co-operative Banks to Co-operative banks. These are included under item VIII (a). + Includes Treasury Bills, Treasury Deposits, Treasury Savings Certificates and postal obligations. $ Includes advances granted by Scheduled Commercial Banks and Scheduled Cooperative Banks to Public Food Procurement Agencies (viz. Food Corporation of India, State Government and their agencies under the Food consortium).

Food Credit Outstanding as on (Amount in ₹ crore) Date 10-Jan-2025# 31-Dec-2025 15-Jan-2026 Scheduled Commercial Banks 57723.06 87972.45 88169.21 Scheduled Co-operative Banks 50615.51 51974.00 51974.00

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.

No. of Scheduled Commercial Banks as on Current Fortnight: 121

No. of Scheduled State Co-operative Banks as on Current Fortnight: 24

No. of Scheduled Primary(Urban) Co-operative Banks as on Current Fortnight: 52

Ajit Prasad

Deputy General Manager

(Communications)

Press Release: 2025-2026/2014

Disclaimer: Curated by HT Syndication.