Monetary Aggregates: M1, M2 and M3
& nbsp; (Million Rupees)
End of Period M3 M2 Deposits held with Non-Bank Financial Companies (NBFCs)5 (8) National Saving Schemes - Outstanding Amount (CDNS)6 (9) Deposits held with Post Offices (10) Total (7)+(8)+(9)+(10) M1 Other Deposits2 (4) Securities Other than Shares3 (5) Coins in Circulation4 (6) Total (3)+(4)+(5)+(6)=( 7) Notes In Circulation (1) Transferable Deposits1 (2) Total (1)+(2)=(3) June - 2006 June - 2007 2007 - 2008 July August September October November December January Februaruy March April May June 7 2008-2009 July August September October November December January Februaruy March April May June 2009-2010 July August September October November December January February 736,838 835,541 831,950 834,912 870,322 903,196 934,176 1,003,022 973,801 983,645 976,869 980,924 992,836 1,979,336 2,315,217 2,261,693 2,301,527 2,293,674 2,286,471 2,318,590 2,395,461 2,347,291 2,366,257 2,383,559 2,377,274 2,415,856 2,716,174 3,150,758 3,093,643 3,136,439 3,163,996 3,189,667 3,252,766 3,398,483 3,321,092 3,349,902 3,360,428 3,358,198 3,408,692 687,109 897,351 892,006 920,578 945,999 932,320 962,352 984,293 977,859 1,001,994 1,032,460 1,033,642 1,056,898 - 4,511 4,877 4,880 4,965 5,026 5,092 5,124 5,164 5,218 5,229 5,237 5,280 5,316 3,407,794 4,052,986 3,990,529 4,061,982 4,115,021 4,127,079 4,220,242 4,387,940 4,304,169 4,357,125 4,398,125 4,397,120 4,470,906 21,182 19,567 22,029 21,937 21,905 21,330 21,812 21,095 17,811 13,744 16,885 17,934 16,411 891,380 947,980 964,428 970,467 978,602 981,915 986,134 989,791 998,400 1,005,881 1,016,730 1,022,981 1,026,316 54,779 67,081 64,712 64,712 64,816 64,320 61,605 61,518 63,002 65,178 66,509 69,888 70,721 4,375,135 5,087,614 5,041,698 5,119,098 5,180,344 5,194,644 5,289,793 5,460,344 5,383,382 5,441,928 5,498,249 5,507,923 5,584,354 976,781 2,320,177 3,296,958 1,232,568 1,887 5,386 4,536,799 1,027,635 78,956 5,643,390 989,375 1,012,814 1,102,591 1,103,663 1,116,321 1,127,591 1,122,436 1,126,552 1,109,390 1,115,781 1,166,722 2,215,453 2,177,482 2,119,358 2,065,185 2,118,329 2,191,921 2,163,074 2,200,981 2,234,730 2,243,723 2,337,460 3,204,828 3,190,296 3,221,949 3,168,848 3,234,650 3,319,512 3,285,510 3,327,533 3,344,120 3,359,504 3,504,182 1,219,160 1,242,799 1,290,729 1,284,228 1,286,553 1,310,964 1,293,330 1,292,710 1,292,867 1,306,118 1,334,908 1,931 1,981 1,930 1,875 2,321 1,816 1,710 481 363 338 324 5,583 5,437 5,472 5,440 5,428 5,494 5,516 5,532 5,554 5,570 5,597 4,431,502 4,440,513 4,520,080 4,460,391 4,528,952 4,637,786 4,586,066 4,626,256 4,642,904 4,671,530 4,845,011 1,037,415 1,043,804 1,048,888 1,061,067 1,068,241 1,078,554 1,102,362 1,127,143 1,197,642 1,232,512 1,270,832 79,537 79,727 78,571 77,601 78,815 77,803 79,979 83,775 85,556 84,322 85,502 5,548,454 5,564,044 5,647,539 5,599,059 5,676,008 5,794,143 5,768,407 5,837,174 5,926,102 5,988,364 6,201,345 1,146,082 2,475,134 3,621,216 1,342,782 308 5,591 4,969,897 1,288,710 89,727 6,348,334 1,161,365 1,178,662 1,255,367 1,237,682 1,348,581 1,292,190 1,294,018 1,302,977 2,403,352 2,394,851 2,429,331 2,439,794 2,443,177 2,566,930 2,545,261 2,553,312 3,564,717 3,573,513 3,684,698 3,677,476 3,791,758 3,859,120 3,839,279 3,856,289 1,362,362 1,335,726 1,343,815 1,363,638 1,395,226 1,456,625 1,417,986 1,423,879 307 555 273 256 248 233 223 205 5,595 5,650 5,696 5,744 5,162 5,747 5,697 5,683 4,932,981 4,915,444 5,034,482 5,047,114 5,192,394 5,321,725 5,263,185 5,286,056 1,324,351 1,345,104 1,350,755 1,375,376 1,384,625 1,400,304 1,418,604 1,432,369 89,727 88,933 90,173 91,135 91,639 92,466 93,064 94,140 6,347,059 6,349,481 6,475,410 6,513,625 6,668,658 6,814,495 6,774,853 6,812,565
1. Transferable Deposits comprise all deposits that are exchangeable on demand at par without penalty/restriction
2. These represent all claims other than transferable deposits in national currency or in foreign currency that are represented by evidence of deposits
3. Securities Other than Shares are short term negotiable instrumrnts that qualify for inclusion in broad money liabilities
4. Coins in circulation issued by Central Government are outside scope of Depository Corporations Survey. Therefore, they are not included in Broad Money Liabilities published through Depository
Corporations Survey on SBP website and Statistical Bulletin table 2.1
5. Prior to June 2008, the deposits in Non Bank Financial Companies were not part of Broad Money Liabilities. Following the MFSM guidelines the data of these companies is now covered under Other
Depository Corporations Survey. From June 2008 onward these deposits are now part of transferable and other deposits. These companies include Depository NBFCs, DFIs and MFIs
6. These are basically savings made by public through government schemes including SSCs, DSCs, Prize Bonds, National Saving accounts etc.
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