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5.

1 MONETARY ASSETS

Last Saturday/
Last working day

Currency
Issued
(1)

Currency
Currency
Currency in tills of
in
held by Scheduled Circulation
SBP
Banks
(1-2-3)
(2)
(3)
(4)

Scheduled
Banks'
Demand
Deposits*
(5)

Other
Deposits
with
SBP**
(6)

Money Scheduled
Supply
Banks'
(M1)
Time
(4+5+6) Deposits *
(7)
(8)

(Million Rupees)
Resident
Total
Foreign Monetary
Currency Assets(M2)
Deposits
(7+8+9)
(9)
(10)

June

1992

161,433

652

8,962

151,819

147,767

3,322

302,908

159,657

43,004

505,569

,,

1993

178,933

768

11,301

166,864

156,509

4,449

327,822

206,294

61,274

595,390

,,

1994

199,070

624

13,738

184,708

168,554

5,506

358,768

252,497

92,134

703,399

,,

1995

232,589

647

16,363

215,579

202,505

5,055

423,139

296,521

105,073

824,733

,,

1996

253,908

470

19,328

234,110

207,108

6,791

448,009

344,713

145,958

938,680

,,

1997

262,589

627

17,821

244,141

192,275

7,135

443,551

386,801

222,882

1,053,234

,,

1998

293,263

1,572

18,769

272,922

200,997

6,412

480,331

447,433

278,556

1,206,320

,,

1999

308,541

1,955

18,870

287,716

349,115

6,212

643,043

516,586

120,917

1,280,546

,,

2000

376,997

1,851

19,468

355,677

375,397

7,959

739,033

549,124

112,475

1,400,632

,,

2001p

396,548

1,905

19,198

375,445

374,987

11,292

761,724

610,138

154,154

1,526,016

Jul.
Aug.
Sep.

369,887
360,671
357,524

1,942
1,922
1,890

16,751
16,330
15,952

351,194
342,419
339,682

354,988
343,819
340,117

8,444
10,204
10,597

714,626
696,442
690,396

552,865
570,782
585,495

114,813
118,480
121,308

1,382,304
1,385,704
1,397,199

Oct.
Nov.
Dec.

375,713
401,827
432,540

1,866
1,827
1,855

16,139
13,962
20,216

357,707
386,036
410,468

336,346
405,211
367,177

10,147
10,204
7,772

704,200
801,451
785,417

579,193
503,764
568,594

119,066
121,352
122,664

1,402,459
1,426,567
1,476,675

Jan.
Feb.
Mar.

406,045
405,931
406,733

1,865
1,885
1,928

17,003
17,147
18,898

387,177
386,899
385,907

353,872
351,834
347,380

7,186
9,993
8,283

748,235
748,726
741,570

577,842
580,089
587,844

128,039
132,425
137,345

1,454,116
1,461,240
1,466,759

Apr.
May.
Jun. p

399,250
402,703
396,548

1,884
1,907
1,905

17,831
17,089
19,198

379,535
383,707
375,445

342,897
343,364
374,987

8,757
8,587
11,292

731,189
735,658
761,724

587,239
590,124
610,138

139,653
144,285
154,154

1,458,081
1,470,067
1,526,016

2000

2001

*
**

Excluding inter-bank deposits and deposits of central & provincial governments and foreign constituents
Excluding IMF A/c Nos. 1 & 2, SAF loan account, counterpart funds, deposits of foreign central banks, foreign governments , international organisations
and deposit money banks

Note 1.
2.

The quarter end data relate to last working day whereas monthly data relate to last Saturday of the month
Totals may not tally due to separate rounding off
P Provisional

29

5.2 ANALYSIS OF CAUSATIVE FACTORS FOR


1991-92 1992-93

1. Public Sector

1993-94

1994-95

1995-96

1996-97 1997-98 1998-99

1999-2000

2000-01p

68,991

75,003

28,266

53,086

68,527

80,932

56,722 (74,455)

78,049

(46,866)

62,573

65,699

23,145

36,418

51,726

72,457

48,018 (75,194) ef

39,963e

(32,957)e

Commodity operations

4,194

7,335

6,582

4,733

5,858

5,702

10,585

3,645

40,094

(12,508)

(iii)

Effect of Zakat fund etc.

2,224

1,969

(1,461)

(2,195)

(1,057)

(2,871)

(3,126)

(3,275)

(1,823)

(1,908)

(iv)

Use of Privatisation proceeds


by Govt. / WAPDA

14,130

12,000

10,304

1,223

(4,660)

(1,089)

287

824 c

369 d

(185) d

507 d

(i)

Budgetary support

(ii)

(v)

(vi)

Use of Privatisation proceeds /NDRP


fund for Debt retirement
Payment to HBL on account of HC&EB

(vii) Others
2. Non-Government Sector

31,419

60,573

39,866

69,537

63,429

61,879

83,413

118,845

26,227

68,687

1,287

3,933

(850)

3,211

3,166

(242)

(894)

13,049

3,126

7,414

60,263

(i)

Autonomous Bodies

(ii)

Net Credit to Private Sector & PSCEs

30,132

56,640

40,716

66,326

62,121

84,307

105,796

23,101

61,273

(a) Private Sector


(b) Public Sector Corporations other
than 2 (i)
(c) PSEs Special Account-Debt
Repayment with SBP

30,249

58,284

42,768

63,731 57,329 a 59,907 b

74,780

102,669

18,488

48,179

(117)

(1,644)

(2,052)

9,527

6,779

9,862

16,434

(3,652)

(5,249)

(3,340)

3. Counter - part Funds


4. Other Items (net)
5. Domestic Credit Expansion (1 thr. 4)

6. Foreign Assets (net)


7. Monetary Expansion (5+6)

179

(395)

(4,643)

(11,346)

2,214

(119)

86

61

(22)

49

6,309 (28,168) 21,136 a

5,153 b

26,761

245 f

14,456

30,862

95,946 123,835
74,599
94,379 152,940 147,845 166,982
(22.58%) (23.77%) (11.57%) (13.12%) (18.80%) (15.29%) (14.98%)

44,696
(3.49%)

118,710
(8.95%)

52,732
(3.65%)

26,957 (38,998) (33,288) (13,897)

29,529

1,375

72,654

104,925
89,822 108,008 121,336 113,942 114,557 153,085
(26.19%) (17.77%) (18.14%) (17.25%) (13.82%) (12.20%) (14.53%)

74,225
(6.15%)

120,085
(9.38%)

125,386
(8.95%)

33,409

(76)

2,934

(152)

8,979 (34,013)

158

2,595

p Provisional
a Adjusted for Rs.5,278 million being mark-up debited to borrowers account
b Adjusted for Rs.8,207 million being mark up debited to borrowers account
c Credit extended to NHA by commercial banks
d Credit extended to NHA & CAA by commercial banks
e Adjusted for funds placed in special debt repayment account
f Adjusted for Rs. 28.5 billion on account of Adhoc Treasury Bills created to offset the govt. losses due to the unification of exchange rate
Note : Totals may not tally due to separate rounding off

30

CHANGES IN MONETARY ASSETS


(Million Rupees)
Jul.

1.

Aug.

Nov.

Dec.

Jan.

2001
Mar.
Apr.

Feb.

Jun.p

14,061

7,151

2,665 (15,166)

(768) (35,520)

14,047

8,083

14,796 (43,573)

(i)

Budgetary support (net) e

33,438

7,651 (5,097) (14,203)

2,161 (33,312)

17,508

12,532

(7,639)

7,807

288 (54,091)

(ii)

Commodity operations

(iii)

Effect of Zakat fund etc.

(iv)

Use of Privatisation proceeds

(v)

(18,931)

(559)

7,936

(684)

(3,022)

(1,060)

(3,404)

(9,554)

(7,841)

(509)

14,556

10,564

(437)

(58)

(235)

(265)

93

(1,162)

(43)

(618)

273

667

(76)

(47)

HC&EB

Others d

(9)

117

61

(14)

14

(14)

205

118

28

(3,005) 12,289

23,962

22,575

44,057

(7,210)

2,976

(711) (6,369) (16,142)

14,390

(2,435)

306

1,976

(3,362)

(260)

(694)

457

21,453

(17) (6,104) (16,599)

(7,063)

Use of Privatisation proceeds


for Debt retirement

(vi)

(viii)

2,360 (15,002)

May

Public Sector

by Govt. / WAPDA

2.

2000
Sep.
Oct.

Payment to HBL on account of

Non-Government Sector

(18,125)

(i)

Autonomous Bodies

(10,057)

(ii)

Net Credit to Private Sector &

295

PSCEs

(8,068)

(3,300) 12,289

26,397

22,269

42,081

(3,848)

3,236

(a) Private Sector

(4,021)

(4,999)

9,377

20,133

24,249

38,363

(471)

1,808

(1,829)

1,726

2,459

5,525

(1,340)

4,248

(2,053)

1,212

(2,218)

(27)

453

739

(640)

(530)

(1,324)

216

204

(4)

(14)

110

(5)

(7)

(1)

(3)

(9)

(735)

(4,335)

5,321

(8,778)

(336)

34,607

(26,093)

(3,762)

(4,799)

(193) 20,261

128

21,466

43,137

(19,257)

(13,529)

3,592 (8,765)

5,131

2,642

6,971

(3,301)

(18,328)

3,399 11,496

5,259

24,108

50,108

(22,558)

(265)

(1,575) (4,553) (16,394) (13,738)

(b) Public Sector Corporations


other than 2 (i)

1,354 (1,718)

54

6,796

167

(259)

(121)

(5)

(6)

(7)

(2,030) (2,557)

1,963

37,597

(848)

611

8,407

5,553

23,271 (7,829)

11,374

47,544

7,124

5,519 (8,678)

11,986

55,951

(c) PSEs Special Account Debt


repayment with SBP
3.

Counter-part Funds

4.

Other Items (net)

5.

Domestic Credit Expansion (+) /


Contraction (-) (1 thr. 4)

6.

Foreign Assets (net)

7.

Monetary Expansion (+) /


Contraction (-) (5+6)

1,571 (17,752)

31

5.3 LIABILITIES AND ASSETS OF THE


ISSUE
L I AB I L I T I E S

AS S ET S
Gold and Foreign Assets

Last Thursday /

Notes held in

Saturday/

the Banking
Department

Last working day

Total

Gold Coins

Approved

India

Notes in

Liabilities /

Circulation

Assets

and Bullion

Foreign

Notes

(i)

Exchange

(ii)

Total

11,949.0

418.6

29,520.8

June,

1992

150.3

158,505.1

158,655.4

17,153.3

,,

1993

423.5

175,296.0

175,719.5

20,499.4

3,619.7

373.1

24,492.2

,,

1994

169.3

195,860.1

196,029.4

23,897.4

54,147.3

421.3

78,466.0

,,

1995

233.2

229,080.0

229,313.2

24,260.1

70,008.9

425.6

94,694.6

,,

1996

164.7

250,455.6

250,620.3

27,116.6

32,381.5

431.0

59,929.1

,,

1997

219.3

259,144.7

259,363.9

27,515.9

21,332.6

487.1

49,335.6

,,

1998

153.4

289,844.4

289,997.8

27,833.5

18,718.6

468.2

47,020.4

,,

1999

120.0

305,206.4

305,326.4

27,614.7

75,279.2

511.9

103,405.9

,,

2000

99.7

373,639.0

373,738.7

31,002.0

60,152.3

498.6

91,652.9

,,

2001

177.6

392,936.5

393,114.1

35,617.7

111,027.2

580.7

147,225.5

2000 Jul.

199.7

366,429.7

366,629.4

31,002.0

45,609.0

498.6

77,109.7

Aug.

196.8

357,216.1

357,412.9

31,002.0

50,756.7

498.6

82,257.4

Sep.

146.5

354,085.2

354,231.7

31,002.0

49,693.1

498.6

81,193.8

Oct.

133.3

372,286.3

372,419.6

31,002.0

48,655.8

498.6

80,156.4

Nov.

99.3

398,415.3

398,514.6

31,002.0

45,471.0

498.6

76,971.6

Dec.

127.8

429,087.4

429,215.2

31,002.0

57,567.0

498.6

89,067.7

2001 Jan.

146.8

402,558.7

402,705.5

31,002.0

45,625.6

498.6

77,126.2

Feb.

181.4

402,410.5

402,591.9

31,002.0

45,451.1

498.6

76,951.7

Mar.

229.8

403,155.6

403,385.5

31,002.0

62,033.4

498.6

93,534.1

Apr.

178.0

395,715.6

395,893.6

31,002.0

52,641.3

498.6

84,142.0

May

181.6

399,131.3

399,312.9

31,002.0

63,760.2

498.6

95,260.9

Jun.

177.6

392,936.5

393,114.1

35,617.7

111,027.2

580.7

147,225.5

(i)

Gold is valued at the end of financial year on the basis of closing London Bullion Market Rate.

(ii)

Receivable from Reserve Bank of India.

32

STATE BANK OF PAKISTAN


DEPARTMENT
(Million Rupees)
AS S ET S
Domestic Assets
Rupee
Coins/Notes
501.7

Govt. of

Internal Bills of

Pakistan

Exchange & Other

Securities Commercial Papers

With Reserve Bank of India pending transfer to Pakistan


Gold Coins
and
Total

Govt. of
Sterling

Last Thursday /

India

Rupee

Bullion Securities Securities

Coin

Saturday /
Total Last working day

113,093.9

15,078.5

128,674.1

289.8

157.8

9.8

2.9

460.4

June,

1992

344.1 135,319.2

15,078.5

150,741.8

342.4

131.7

8.8

2.6

485.5

,,

1993

454.0 101,463.1

15,078.5

116,995.6

399.1

155.8

9.9

3.0

567.8

,,

1994

413.4

118,547.3

15,078.5

134,039.2

403.1

163.4

10.0

3.0

579.5

,,

1995

305.5 174,664.0

15,078.5

190,048.0

450.3

179.7

10.1

3.0

643.2

,,

1996

407.8 193,850.0

15,078.5

209,336.3

454.6

222.6

11.4

3.4

692.0

,,

1997

1,417.5 225,757.1

15,078.5

242,253.1

457.7

252.3

11.0

3.3

724.3

,,

1998

1,835.5 184,270.0

15,078.5

201,184.0

452.3

268.7

12.0

3.6

736.6

,,

1999

1,751.2 264,472.6

15,078.5

281,302.4

506.1

262.0

11.7

3.5

783.3

,,

2000

1,726.7 243,187.2

78.5

244,992.4

581.5

297.1

13.6

4.0

896.2

,,

2001

1,742.0 271,915.9

15,078.5

288,736.4

506.1

262.0

11.7

3.5

783.3

1,725.5 257,568.2

15,078.5

274,372.2

506.1

262.0

11.7

3.5

783.3

Aug.

1,744.2 255,431.8

15,078.5

272,254.6

506.1

262.0

11.7

3.5

783.3

Sep.

1,732.2 274,669.1

15,078.5

291,479.8

506.1

262.0

11.7

3.5

783.3

Oct.

1,727.2 303,954.0

15,078.5

320,759.7

506.1

262.0

11.7

3.5

783.3

Nov.

1,727.8 322,557.9

15,078.5

339,364.2

506.1

262.0

11.7

3.5

783.3

Dec.

1,718.0 307,999.4

15,078.5

324,495.9

506.1

262.0

11.7

3.5

783.3

Jan. 2001

1,704.5 308,073.8

15,078.5

324,856.8

506.1

262.0

11.7

3.5

783.3

Feb.

1,698.0 292,291.5

15,078.5

309,068.1

506.1

262.0

11.7

3.5

783.3

Mar.

1,706.2 294,183.6

15,078.5

310,968.3

506.1

262.0

11.7

3.5

783.3

Apr.

1,725.4 286,464.7

15,078.5

303,268.7

506.1

262.0

11.7

3.5

783.3

May

1,726.7 243,187.2

78.5

244,992.4

581.5

297.1

13.6

4.0

896.2

Jun.

Jul. 2000

33

5.4 LIABILITIES AND ASSETS OF THE


BANKING
L I A B I L I T I E S
D E POS ITS
AllocaIndusLast Thursday /

Loans

tion of

Rural

trial

Export

Saturday /

Capital

Reserve

Credit

Credit

Credit

rantee

Gua- Housing
Credit

Federal

Provincial

Special

Last Working day

Paid-up

Fund

Fund

Fund

Fund

Fund

Fund

Govt.

Govts.

Drawing
Banks

Other

Total

Rights

June,

1992

100.0

2,500.0

1,900.0

1,000.0

850.0

300.0

700.0

27,150.6

4,635.2

43,773.1

33,315.7

108,874.7

6,129.0

,,

1993

100.0

2,500.0

1,900.0

1,000.0

850.0

300.0

700.0

23,270.9

3,036.9

41,243.2

45,038.1

112,589.1

6,457.3

,,

1994

100.0

2,500.0

1,900.0

1,000.0

850.0

300.0

700.0

30,920.6

4,182.7

54,404.0

54,315.5

143,822.8

7,555.4

,,

1995

100.0

3,650.0

2,500.0

1,500.0

1,350.0

500.0

700.0

29,362.7

7,134.7

68,991.8

43,374.6

148,863.8

8,290.2

,,

1996

100.0

4,000.0

2,600.0

1,600.0

1,500.0

500.0

700.0

26,732.6

2,444.9

49,851.6

52,309.9

131,339.0

8,618.6

,,

1997

100.0

4,000.0

2,600.0

1,600.0

1,500.0

500.0

700.0

29,911.7

8,591.2

77,949.3

51,366.9

167,819.1

9,571.2

,,

1998

100.0

4,000.0

2,600.0

1,600.0

1,500.0

500.0

700.0

9,184.7

1,136.7

71,374.9

89,072.9

170,769.2

10,464.0

,,

1999

100.0

9,000.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

4,587.8

9,001.9

85,184.9

213,851.4

312,626.0

11,718.1

,,

2000

100.0

14,000.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

4,325.4

20,481.8

114,702.8

299,184.4

438,694.4

11,773.4

,,

2001

100.0

8,400.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

7,031.4

18,318.6

127,265.6

473,263.1

625,878.7

1,526.0

2000 Jul.

100.0

14,000.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

3,706.3

3,681.6

96,219.8

304,812.1

408,419.8

11,589.1

Aug.

100.0

14,000.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

3,936.0

6,779.1

100,447.6

315,266.2

426,428.9

11,815.4

Sep.

100.0

14,000.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

3,521.4

10,824.5

102,505.5

325,997.2

442,848.8

11,426.6

Oct.

100.0

14,000.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

5,371.9

5,684.5

122,909.7

327,751.3

461,717.4

12,361.2

Nov.

100.0

14,000.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

5,569.1

7,507.9

123,056.8

331,128.8

467,262.6

12,186.2

Dec.

100.0

14,000.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

6,068.6

13,657.1

20,385.5

334,613.8

374,725.0

12,852.3

2001 Jan.

100.0

14,000.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

6,927.8

10,905.5

98,948.2

335,819.4

452,600.9

13,040.4

Feb.

100.0

14,000.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

12,376.4

8,150.1

108,033.7

341,712.6

470,272.8

13,160.5

Mar.

100.0

14,000.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

3,998.8

13,106.4

74,521.2

346,568.4

438,194.8

13,056.5

Apr.

100.0

14,000.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

5,639.2

10,688.5

112,591.2

347,174.2

476,093.1

13,246.9

May

100.0

14,000.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

5,918.8

9,281.5

114,552.4

352,120.3

481,872.9

13,151.0

Jun.

100.0

14,000.0

2,600.0

1,600.0

1,500.0

900.0

4,700.0

7,031.4

18,318.6

127,265.6

473,263.1

625,878.7

1,526.0

34

STATE BANK OF PAKISTAN


DEPARTEMENT
(Million Rupees)
L I AB I L I T I E S

A S S E T S
BILLS PURCHASED AND DISCOUNTED

Internal
Total

Notes

Re-

Other

Liabili-

and

Agri-

Indust-

Bills

valuation

Liabi-

ties/

Coins

cultural

rial

Export

Housing

Govt.

Payable

Account

lities

Assets

Sector

Sector

Sector

Sector

Other

Total

46.8

15,339.0

16,691.6

154,431.0

150.5

3.6

33.4

37.0

375.1

18,515.9

24,713.9

170,151.1

423.8

3.6

33.4

1,857.
7
37.0 4,090.2

81.9

21,970.6

24,742.6

205,673.3

169.6

250.0

3.6

33.4

287.0 2,390.8

103.7

22,212.8

39,765.8

229,536.3

233.5

3,66.0

3.6

33.4

127.9

25,101.6

69,328.6

245,515.7

165.2

3.6

33.4

355.2

25,363.9

57,459.0

271,568.3

219.5

3.6

113.8

25,560.6

36,762.7

254,670.3

153.7

3.6

251.5

25,225.6

89,213.8

459,435.0

120.1

3.6

412.5

28,570.3

87,864.8

592,715.4

99.6

3.6

434.2

33,261.2

91,409.5

772,309.7

177.6

110.0

28,570.3

78,656.2

552,745.4

199.8

58.9

28,570.3

84,860.2

576,836.6

196.9

38.7

28,570.3

95,675.9

603,960.3

146.5

102.6

28,570.3

95,182.9

623,334.4

350.3

28,570.3

96,267.2

153.7

28,570.3

89,961.6

103.6

28,570.3

Treasury
Bills

Last Thursday /
Saturday /
Last Working day

June,

1992

,,

1993

,,

1994

3,697.0 2,695.7

,,

1995

37.0 3,030.3

,,

1996

33.4

37.0 3,431.7

,,

1997

33.4

37.0 3,431.7

,,

1998

33.4

37.0 3,241.9

,,

1999

33.4

37.0 16,921.9

,,

2000

3.6

33.4

37.0 3,241.9

,,

2001

3.6

33.4

37.0 3,241.9

Jul.

3.6

33.4

37.0 3,241.9

Aug.

3.6

33.4

37.0 3,241.9

Sep.

133.6

3.6

33.4

37.0 8,906.9

Oct.

630,036.5

99.6

3.6

33.4

37.0 6,201.9

Nov.

531,662.9

127.8

3.6

33.4

37.0 9,246.9

Dec.

103,826.5

623,541.6

146.9

3.6

33.4

37.0 3,241.9

Jan.

48.0

28,570.3

104,337.5

641,789.0

181.5

3.6

33.4

37.0 3,241.9

Feb.

364.9

28,570.3

122,685.3

628,271.7

229.8

3.6

33.4

37.0 3,241.9

Mar.

565.9

28,570.3

96,639.8

640,515.9

178.0

3.6

33.4

37.0 3,241.9

Apr.

334.1

28,570.3

92,323.6

641,651.9

181.6

3.6

33.4

37.0 3,241.9

May

434.2

33,261.2

91,409.5

772,309.7

177.6

3.6

33.4

37.0 3,241.9

Jun.

# Includes one rupee coins, one rupee notes and subsidiary coins.

2000

2001

(Contd.)

35

5.4 LIABILITIES AND ASSETS OF THE


BANKING
AS S E T S

LOANS AND ADVANCES TO SCHEDULED BANKS

Balances
Last Thursday /

S.D.R.

Loans

held

held

Govt.

and

Agri-

Saturday /

outside

with

Debtor

Advances

cultural

Industrial

Export

Housing

Last working day

Pakistan

I.M.F.

Balance

to Govts.

Sector

Sector

Sector

Sector

Others

(a)

Total

June,

1992

13,909.8

82.9

5,131.7

396.2

29,594.4

8,252.5

20,380.9

0.7

460.2

58,688.6

,,

1993

8,835.3

133.2

10,507.5

396.2

34,104.5

9,353.1

22,715.5

0.7

463.9

66,637.7

,,

1994

15,933.9

48.8

3,725.9

326.7

35,528.9

9,580.6

25,364.2

0.7

2,111.7

72,586.1

,,

1995

15,245.9

130.7

2,852.0

300.0

40,141.0

9,205.6

27,809.8

0.7

4,471.4

81,627.8

,,

1996

39,547.5

55.0

7,464.4

300.0

43,000.0

9,054.9

83.9

4,475.1

56,614.8

,,

1997

24,679.7

35.7

7,680.1

300.0

44,852.4

8,476.9

22,412.0

4,678.9

80,420.2

,,

1998

23,893.7

114.7

5,930.4

300.0

47,383.1

7,633.6

53,944.0

9,594.6

118,555.4

,,

1999

14,015.7

35.6

7,623.7

300.0

49,383.3

6,728.5

81,345.9

9,785.6

147,243.3

,,

2000

10,537.4

23.8

24,538.5

50,327.2

5,307.1

75,453.6

66.9

22,070.3

153,225.1

,,

2001

21,934.2

281.4

982.4

54,607.1

4,242.4

75,472.2

66.9

15,674.5

150,063.0

2000 Jul.

11,437.5

811.1

18,574.0

49,672.9

5,203.8

75,831.3

66.9

18,070.3

148,845.2

Aug.

14,591.2

51.5

15,905.0

48,929.4

5,043.5

70,272.9

66.9

18,070.3

142,383.0

Sep.

10,253.4

51.1

6,041.3

49,057.5

4,960.1

74,444.4

66.9

18,482.5

147,011.4

Oct.

11,916.4

927.9

7,341.2

53,861.8

4,879.2

77,247.9

66.9

27,555.7

163,611.5

Nov.

19,585.1

95.0

5,594.4

53,919.3

4,843.9

78,323.7

66.9

26,502.4

163,656.2

Dec.

24,870.1

825.3

2,508.4

55,297.8

4,709.0

79,201.1

66.9

16,193.5

155,468.3

2001 Jan.

19,873.4

1,067.5

2,053.0

54,851.0

4,584.3

77,716.9

66.9

16,193.5

153,412.6

Feb.

17,385.9

158.5

2,405.9

54,064.3

4,555.2

77,859.0

66.9

15,393.5

151,938.8

Mar.

16,852.3

8,198.7

1,018.2

55,055.0

4,483.4

79,470.6

66.9

15,692.6

154,768.6

Apr.

15,298.2

1,072.7

3,219.5

54,057.5

4,397.2

79,722.6

66.9

15,692.6

153,936.8

May

17,316.9

220.0

5,330.5

54,537.0

4,359.2

75,820.9

66.9

15,692.6

150,476.6

Jun.

21,934.2

281.4

982.4

54,607.1

4,242.4

75,472.2

66.9

15,674.5

150,063.0

36

(Concld.)

STATE BANK OF PAKISTAN


DEPARTMENT

(Million Rupees)
AS S E T S
LOANS AND ADVANCES TO NONBANK FINANCIAL INSTITUTIONS

I NVE STM E NTS

Indus-

Other

Non-

Loans

Bank

and Ad-

Schedu-

Finan-

Govt.

Last Thursday /

trial

Housing

Total

vances

led

cial Ins-

Securi-

Sector

Sector

Others

(b)

(a+b)

Banks

titutions

ties

Other

5,618.3

5,996.3

1,592.6

13,207.2

71,895.8

8,214.6

1,912.3

43,748.4

53,873.5

6,027.4

6,296.3

4,073.0

16,396.7

83,034.4

8,721.4

1,998.6

44,025.2

6,651.6

6,496.3

5,883.5

19,031.4

91,617.5

8,653.3

2,151.1

69,783.2

6,481.3

6,496.3

10,084.1

23,061.7

104,689.5

9,237.9

2,151.1

76,241.7

6,655.2

6,496.3

12,447.1

25,598.7

81,913.5

9,312.0

2,151.1

47,677.2

6,015.8

6,496.3

11,971.8

24,483.9

104,904.2

9,329.5

2,067.6

4,640.2

6,496.3

12,630.6

23,767.0

142,322.4

39,802.8

2,067.6

4,106.5

6,496.3

32,059.0

42,661.8

189,905.1

39,829.2

2,067.6

3,414.2

6,496.3

32,955.4

42,865.9

196,091.0

40,001.4

2,067.6

7,897.1

16,496.3

25,816.8

50,210.2

200,273.2

47,727.7

3,369.9

6,496.3

32,919.5

42,785.7

191,630.9

3,355.2

6,496.3

32,986.0

42,837.6

3,281.3

6,496.3

41,150.2

50,927.9

3,212.5

6,496.3

41,615.8

3,153.3

6,496.3

3,120.3

6,496.3

3,095.5

Others

Total

Saturday /

Assets Last working day

7,076.2

June,

1992

54,745.2

7,948.3

,,

1993

80,587.6

10,585.4

,,

1994

87,630.7

12,061.4

,,

1995

59,161.1

53,541.9

,,

1996

76,136.0

87,533.0

42,747.4

,,

1997

8,922.6

50,793.0

27,693.8

,,

1998

179,323.1

221,219.9

22,936.0

,,

1999

276,898.2

386.5

319,353.7

25,112.4

,,

2000

1,989.5

372,382.9

361.5

422,461.6

122,920.4

,,

2001

40,001.4

2,067.6

271,023.6

386.5

313,479.1

13,334.1

Jul.

185,220.6

40,001.4

2,067.6

301,484.3

386.5

343,939.8

13,652.7

Aug.

197,939.3

40,001.4

2,067.6

322,329.8

386.5

364,785.3

21,464.5

Sep.

51,324.6

214,936.1

40,001.4

2,067.6

316,810.8

386.5

359,266.3

19,868.9

Oct.

41,498.7

51,148.2

214,804.4

40,001.5

2,067.6

321,319.8

386.5

363,775.3

19,843.8

Nov.

41,553.1

51,169.7

206,638.0

40,001.4

2,067.6

212,149.9

386.5

254,605.4

32,804.0

Dec.

6,496.3

41,553.1

51,144.9

204,557.5

40,001.5

2,067.5

320,460.5

386.5

362,916.0

29,648.5

Jan.

3,083.2

6,496.3

41,553.1

51,132.6

203,071.4

40,001.5

1,989.5

341,902.1

386.5

384,279.5

31,027.4

Feb.

3,030.8

6,496.3

33,179.7

42,706.8

197,475.4

47,970.3

1,989.5

303,432.6

386.5

353,778.8

47,439.7

Mar.

2,956.0

6,496.3

33,179.7

42,632.1

196,568.9

47,970.3

1,989.5

321,128.2

386.5

371,474.4

49,425.2

Apr.

2,922.0

6,496.3

33,179.7

42,598.0

193,074.6

47,970.3

1,989.5

324,683.6

361.5

375,004.9

47,244.6

May

7,897.1

16,496.3

25,816.8

50,210.2

200,273.2

47,727.7

1,989.5

372,382.9

361.5

422,461.6

122,920.4

Jun.

2000

2001

37

5.5 SCHEDULED BANKS' POSITION


LIABI

DEMAND LIABILITIES IN PAKISTAN


Inter-Bank

TIME LIABILITIES IN

Others

Inter-Bank

Others

Capital
Last Thursday/
Saturday /
Last working day

(Paid-up)
and

Borrow-

Reserves

ings

Deposits

Borrow-

Deposits

Deposits

(General)

Others

Total

ings

Deposits

(General)

Others

June,

1992

31,227

5,740

7,700

186,353

7,665

207,458

4,695

364

219,980

4,348

,,

1993

36,011

1,436

11,386

217,711

9,112

239,645

3,976

961

270,343

3,920

,,

1994

43,770

2,878

11,654

256,188

12,578

283,298

3,333

3,848

342,368

4,812

,,

1995

50,533

5,104

11,683

296,739

16,500

330,026

5,998

3,061

405,882

3,388

,,

1996

56,255

115

13,166

339,408

19,224

371,913

2,965

2,544

495,677

4,737

,,

1997

60,935

407

13,315

358,457

21,654

393,833

3,618

1,804

571,574

5,369

,,

1998

91,060

78

10,913

411,361

25,120

447,472

7,744

2,914

628,076

7,141

,,

1999

75,632

61

7,907

454,072

38,491

500,531

5,845

2,788

661,401

8,329

,,

2000

79,648

43

8,537

475,281

47,420

531,281

5,674

626

652,279

10,759

,,

2001

88,581

34

12,248

527,672

42,870

582,824

3,668

1,037

712,978

9,494

2000 Jul.

78,533

47

6,566

462,160

42,090

510,863

5,027

524

656,085

10,009

Aug.

80,954

53

4,884

456,221

40,564

501,722

4,212

606

674,583

9,825

Sep.

83,936

76

4,375

460,921

41,519

506,891

4,321

458

690,227

9,386

Oct.

82,881

75

5,019

457,420

39,882

502,396

4,324

1,054

681,660

9,406

Nov.

82,338

56

5,465

522,503

45,264

573,288

3,352

917

606,754

9,633

Dec.

78,399

40

10,019

482,128

48,485

537,672

4,942

1,434

674,187

8,741

2001 Jan.

84,414

40

8,092

479,747

37,743

525,622

3,880

1,236

681,268

8,354

Feb.

88,582

47

7,563

481,521

37,835

526,966

3,092

798

683,415

8,097

Mar.

89,068

45

8,802

485,382

39,875

534,104

3,508

847

687,721

8,252

Apr.

89,978

34

8,193

482,232

38,063

528,522

3,242

880

686,935

8,264

May

88,399

33

9,456

488,607

39,085

537,181

3,710

900

690,578

8,388

Jun.

88,581

34

12,248

527,672

42,870

582,824

3,668

1,037

712,978

9,494

38

BASED ON WEEKLY RETURNS


LITIES
(Million Rupees)
PAKISTAN

STATUTORY RESERVES*
Total
Demand

Borrow-

and

ings from

Borrow-

at Call

**

Time

State

ings From

and Short

Other

Total

On

On

Liabilities

Bank of

Banks

Notice in

Lia-

Lia-

Demand

Time

Total

Total

(a)

Pakistan

Abroad

Pakistan

bilities

bilities

Liabilities

Liabilities

(b)

229,387

436,845

57,267

13,471

6,405

418,012

963,227

10,693

11,469

22,163

June,

1992

279,200

518,845

64,577

14,614

6,584

505,570

1,146,201

12,311

13,960

26,271

,,

1993

354,361

637,659

70,583

14,217

6,721

640,164

1,413,114

14,501

17,718

32,219

,,

1994

418,329

748,355

82,668

14,280

8,350

743,430

1,647,616

16,919

20,916

37,835

,,

1995

505,923

877,836

56,914

13,424

8,070

897,892

1,910,391

18,999

25,296

44,295

,,

1996

582,365

976,198

77,999

14,622

5,370

993,960

2,129,084

19,960

29,118

49,078

,,

1997

645875

1,093,347

113,919

16,518

7,768

264,981

1,587,593

22,762

32,294

55,056

,,

1998

678,363

1,178,894

142,147

22,089

17528

289,019

1,734,309

25,903

33,918

59,821

,,

1999

669,338

1,200,619

141,016

22,907

42,469

319,914

1,806,573

28,688

33,467

62,155

,,

2000

727,177

1,310,001

139,367

15,169

30,293

400,517

1,983,928

42,918

50,902

93,820

,,

2001

671,645

1,182,508

136,827

17,590

42,659

323,016

1,781,133

27,676

33,582

61,258

Jul.

689,226

1,190,948

130,159

17,287

38,602

331,528

1,789,478

27,016

34,461

61,477

Aug.

704,392

1,211,283

135,137

30,674

37,234

340,825

1,839,089

27,206

35,220

62,426

Sep.

696,444

1,198,840

152,564

31,500

34,794

342,146

1,842,725

37603

48,751

86,354

Oct.

620,656

1,193,944

153,539

19,344

37,297

355,777

1,842,239

42,741

43,446

86,187

Nov.

689,304

1,226,976

144,758

35,798

30,885

384,297

1,901,113

39,799

48,251

88,050

Dec.

694,738

1,220,360

143,431

32,550

40,119

327,120

1,847,994

39,602

48,632

88,234

Jan.

695,402

1,222,368

142,018

15,372

44,976

332,384

1,845,700

40,036

48,678

88,714

Feb.

700,328

1,234,432

144,608

14,284

38,108

344,038

1,864,538

40,055

49,023

89,078

Mar.

699,321

1,227,843

143,732

14,336

30,325

355,955

1,862,169

39,119

48,952

80,071

Apr.

703,576

1,240,757

140,297

14,340

27,308

367,255

1,878,356

39,514

49,250

88,764

May

727,177

1,310,001

139,367

15,169

30,293

400,517

1,983,928

42,918

50,902

93,820

Jun.

*
**

Money
Last Thursday/

The Statutory Reserves requirements w.e.f 7th Oct.2000 stood as 7% of the Demand and Time Liabilities
Other Liabilities (Excluding contra items introduced w.e.f. 20-06-1998)

Saturday /
Last working day

2000

2001

(Contd.)

39

5.5 SCHEDULED BANKS' POSITION


ASS
BALANCES

Last Thursday/

FOREIGN CURRENCY

With

Money at

ADVANCES

State

Call and

(c+d+

Saturday /

Cash in

Bank of

Short

e+f)

Balances

Last working day

Pakistan

Pakistan

Others

Notice in

as %

Held in

Banks

To

To

(c)

(d)

(e)

Pakistan(f)

of (a)

Pakistan

Abroad

Total

Banks

Others

Total (i)

with

June,

1992

8,962

48,827

5,325

6,719

16.0

909

10,844

11,753

13,314

227,000

240,314

,,

1993

11,301

48,745

8,920

7,002

14.6

2,194

6,190

8,384

7,830

308,992

316,822

,,

1994

13,959

63,746

14,814

7,062

15.6

4,261

7,899

12,160

8,616

347,868

356,484

,,

1995

16,363

78,503

11,012

8,814

15.3

3,017

8,163

11,180

13,482

413,811

427,293

,,

1996

19,328

63,502

14,516

8,989

12.1

3,667

16,545

20,212

5,449

474,731

480,180

,,

1997

17,821

89,756

16,854

5,772

13.3

4,647

10,918

15,565

3,690

552,522

556,212

,,

1998

18,769

84,740

18,218

8,903

12.0

2,706

21,798

24,504

5,687

644,049

649,736

,,

1999

18,870

100,335

19,116

18,095

13.3

2,981

39,019

42,000

4,402

725,852

730,254

,,

2000

19,468

153,371

18,250

43,509

19.5

2,222

46,619

48,841

5,788

801,154

806,942

,,

2001

19,178

147,962

18,033

31,179

16.5

4,788

70,856

75,644

3,657

866,490

870,147

2000 Jul.

16,751

133,923

15,021

43,534

17.7

2,722

51,584

54,306

5,049

768,613

773,662

Aug.

16,330

141,382

11,838

39,295

17.5

3,005

51,761

54,766

4,301

765,663

769,964

Sep.

15,932

143,199

10,859

39,292

17.3

2,722

60,279

63,001

4,464

781,531

785,995

Oct.

16,119

160,175

8,766

35,713

18.4

2,726

63,129

65,855

4,346

800,173

804,519

Nov.

13,942

162,389

8,471

38,138

18.7

2,340

57,873

60,213

3,518

821,230

824,748

Dec.

20,196

68,418

19,351

32,222

11.4

3,594

54,901

58,495

4,841

869,336

874,177

2001 Jan.

16,983

146,304

15,658

40,483

18.0

3,385

59,883

63,268

3,987

858,150

862,137

Feb.

17,127

153,345

13,361

45,020

18.7

3,167

56,074

59,241

3,127

852,885

856,012

Mar.

18,878

119,782

13,483

38,847

15.5

3,449

57,498

60,947

4,119

848,429

852,548

Apr.

17,811

137,886

13,016

30,687

16.2

3,646

65,250

68,896

3,164

840,278

843,442

May

17,069

136,935

15,009

27,896

15.9

3,649

66,237

69,886

3,635

840,061

843,696

Jun.

19,178

147,962

18,033

31,179

16.5

4,788

70,856

75,644

3,657

866,490

870,147

40

BASED ON WEEKLY RETURNS


(Concld.)

ETS
(Million Rupees)
BANK CREDIT

INVESTMENTS IN
SECURITIES AND SHARES

Bills

Provin-

Purchased

Total

Federal

and dis-

i+ii

(g) as

cial

Govt.

Govts.

Treasury

counted(ii)

(g)

% of(a)

46,631

286,945

65.7

102,535

3,892

44,149

360,971

69.6

140,124

3,727

52,483

408,967

64.1

147,076

59,649

486,942

65.1

62,511

542,691

70,675

(h) as

Securities Securities

Bills

Excess

Total

% of

Fixed @

Total

Reserves

(h)

(a)

Assets

Assets

Assets

(d-b)

38,768

51,873 197,068

45.1

397,628

35,660

31,331 210,842

40.6

490,036

963,227

26,665

1,146,201

3,345

83,443

32,632 266,496

41.8

625,910

22,474

1,413,114

166,687

3,340

90,059

35,210 295,296

39.4

31,527

739,506

1,647,616

61.8

144,922

3,338

137,110

42,512 327,882

40,668

37.4

913,271

1,910,391

626,887

64.2

134,417

2,399

167,945

19,207

39,023 343,784

35.2

1,012,645

2,129,084

63,073

712,809

65.2

123,647

2,184

40,678

235,388

40,900 402,119

36.8

254,970*

49,332

13,237

1,587,593

29,684

63,774

794,028

67.4

115,671

69,554

876,496

73.0

115,536

1,969

204,160

69,069 390,869

33.2

255,378

69,564

26,054

1,734,309

40,514

1,730

103,790

65,993 287,049

23.9

257,054

72,941

29,594

1,806,573

75,504

945,651

72.2

91,216

101,161

1,836

123,889

70,048 296,934

22.7

340,220

78,205

30,922

1,983,928

54,142

66,886

840,548

71.1

115,485

1,730

137,037

64,061 318,313

26.9

254,592

73,135

31,010

1,781,133

72,665

65,747
68,505

835,711

70.2

115,298

1,836

138,892

64,594 320,620

26.9

264,813

73,673

31,050

1,789,478

79,905

854,500

70.6

115,212

1,836

139,193

66,533 322,774

26.7

284,956

73,592

30,984

1,839,089

80,773

69,608
70,819

874,127

72.9

108,641

1,836

111,570

68,686 290,733

24.3

284,907

74,702

31,628

1,842,725

73,821

895,567

75.0

109,520

1,836

87,118

68,748 267,222

22.4

289,460

75,237

31,600

1,842,239

76,202

71,089

945,266

77.0

117,127

1,836

135,711

65,377 320,051

26.1

331,575

75,239

30,300

1,901,113

-19,632

71,160

933,297

76.5

114,034

1,836

75,188

66,771 257,829

21.1

267,730

75,865

30,577

1,847,994

58,070

71,070

927,082

75.8

120,999

1,861

65,621

68,544 257,025

21.0

266,431

76,624

30,444

1,845,700

64,631

70,970

923,518

74.8

109,298

2,037

126,519

65,207 303,061

24.6

278,286

77,146

30,590

1,864,538

30,704

71,757

915,199

74.5

110,422

1,836

111,599

65,567 289,424

23.6

280,665

77,880

30,705

1,862,169

57,815

73,519

917,215

73.9

104,765

1,836

122,786

64,811 294,198

23.7

290,803

78,354

30,991

1,878,356

48,171

75,504

945,651

72.2

101,161

1,836

123,889

70,048 296,934

22.7

340,220

78,205

30,922

1,983,928

54,142

*
@

Others

Other * Advance @
Taxpaid

Other Assets (Excluding contra items introduced w.e.f. 20-06-1998)


Introduced w.e.f. 20-06-1998

41

5.6 CALL MONEY RATE


(Percent per annum)

MONTH

1994-95

1995-96

1996-97

1997-98

1998-99

1999-2000

2000-01

July

12.40

9.62

9.50

11.03

9.21

9.21

5.63

August

5.65

11.25

9.50

10.45

3.90

8.23

7.63

September

6.88

11.78

9.50

7.30

2.56

7.93

6.82

October

5.95

11.49

13.63

9.61

12.71

10.64

12.30

November

10.69

8.05

9.63

7.50

4.93

9.16

12.93

December

10.74

14.44

17.79

13.19

7.60

1-6

10.54

January

14.69

13.79

18.37

15.84

14.14

8.15

9.12

February

11.73

11.89

16.34

13.23

8.19

6.31

6.63

March

9.01

12.71

11.56

13.29

5.77

6.66

6.71

April

13.50

14.30

15.94

17.41

13.40

5.61

10.53

May

11.03

5.54

11.37

13.25

8.89

9.33

9.36

June

11.69

9.02

12.50

14.64

2.83

10.94

9.28

Average of
the period

10.33

11.16

12.97

12.23

7.84

8.52

8.96

42

5.7CURRENCYINCIRCULATION
(MillionRupees)
END
OF
PERIOD

Heldby
Banking

Heldby
Issue

Currency
intillsof

Currency
in

TwoRupee

OneRupee

Billsand

Bills/

Subsidiary

Total

Department

Department

Scheduled

Circulation

above

Coins

Coins

(1+2+3)

ofSBP

ofSBP

Banks

(4567)

June,

1992

158,655

2,187

591

161,433

150

502

8,962

151,819

1993

175,719

2,587

627

178,933

424

344

11,301

166,864

1994

195,809

2,607

654

199,070

170

454

13,738

184,708

1995

229,313

2,604

672

232,589

234

413

16,363

215,579

1996

250,620

2,604

684

253,908

165

305

19,328

234,110

1997

259,364

2,528

697

262,589

219

408

17,821

244,141

1998

289,998

2,564

701

293,263

154

1,418

18,769

272,922

1999

305,326

2,514

702

308,542

120

1,835

18,870

287,716

2000

373,739

2,558

700

376,997

100

1,751

19,468

355,677

2001p

393,114

2,726

708

396,548

178

1,727

19,198

375,445

Jul.
Aug.
Sep.

366,629
357,413
354,231

2,558
2,558
2,593

700
700
700

369,887
360,671
357,524

200
197
146

1,742
1,726
1,744

16,751
16,330
15,952

351,194
342,419
339,682

Oct.
Nov.
Dec.

372,420
398,515
429,215

2,593
2,612
2,623

700
700
702

375,713
401,827
432,540

134
100
127

1,732
1,727
1,728

16,139
13,962
20,216

357,707
386,038
410,468

Jan.
Feb.
Mar.

402,706
402,592
403,386

2,630
2,630
2,638

709
709
709

406,045
405,931
406,733

147
181
230

1,718
1,704
1,698

17,003
17,147
18,898

387,177
386,899
385,907

Apr.
May
Jun.p

395,894
399,313
393,114

2,650
2,684
2,726

706
706
708

399,250
402,703
396,548

178
182
178

1,706
1,725
1,727

17,831
17,089
19,198

379,535
383,707
375,445

2000

2001

Note

1.
2.
P

ThequarterenddatarelatetolastworkingdaywhereasmonthlydatarelatetolastSaturdayofthemonth
Totalsmaynottallyduetoseparateroundingoff
Provisional

43

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