Table 12: Components and Sources of Broad Money (M2)
        (End of Period)                (Rs million)
  Jun-99 Sep-99 Dec-99 Mar-00 Jun-00 Sep-00 Oct-00 Nov-00 Dec-00 Jan-01 Feb-01
                       
Components of Broad Money                      
                       
1. Currency with Public 4,876 4,322 6,127 5,132 5,172 5,407 5,407 5,379 6,648 5,828 5,639
2. Demand Deposits with the Banking System 6,030 5,833 5,877 5,867 5,894 6,140 5,744 5,989 6,651 6,370 5,943
I. Narrow Money, M1 (1+2) 10,906 10,155 12,004 10,999 11,065 11,548 11,151 11,368 13,299 12,198 11,582
                       
1. Savings Deposits 31,830 34,085 34,525 36,107 35,702 36,369 36,308 36,616 37,887 38,069 39,121
2. Time Deposits 30,239 31,638 33,094 33,607 33,939 35,271 35,468 36,459 34,801 34,772 34,902
3.  Foreign Currency Deposits 7,229 7,282 7,276 7,252 8,228 8,290 8,377 9,271 9,001 9,276 10,303
II. Quasi-Money (1+2+3) 69,298 73,005 74,895 76,966 77,869 79,930 80,152 82,345 81,689 82,117 84,325
                       
Broad Money, M2 (I+II) 80,204 83,160 86,899 87,965 88,935 91,478 91,303 93,713 94,988 94,315 95,907
                       
Sources of Broad Money                      
                       
1. Bank of Mauritius 15,315 15,696 18,425 18,214 17,455 16,895 16,986 24,395 24,840 21,658 21,259
2. Commercial Banks 6,772 6,526 7,120 6,537 7,254 6,428 6,693 7,328 8,188 7,418 8,446
I. Net Foreign Assets (1+2) 22,087 22,222 25,545 24,751 24,709 23,323 23,679 31,723 33,028 29,076 29,705
                       
1. Bank of Mauritius 4,576 4,384 2,281 2,298 3,002 4,373 4,103 (1,865) (1,135) 1,652 1,945
2. Commercial Banks 11,437 13,009 15,416 15,929 15,464 15,255 14,823 14,520 14,766 15,020 14,852
A. Net Credit to the Central Government (1+2) 16,013 17,393 17,697 18,226 18,466 19,628 18,926 12,655 13,631 16,672 16,797
                       
1. Bank of Mauritius Claims on Non-bank Financial Institutions 575 541 506 475 435 396 382 368 356 342 329
2. Commercial Banks' Claims on Private Sector 60,106 61,896 62,521 64,137 67,271 69,323 69,423 70,066 70,570 71,402 72,090
3. Commercial Banks' Claims on Other Bank-like Institutions 33 284 284 284 284 284 284 284 284 284 284
B. Credit to the Private Sector (1+2+3) 60,714 62,721 63,311 64,895 67,990 70,003 70,089 70,718 71,210 72,028 72,703
                       
II. Domestic Credit (A+B) 76,727 80,113 81,008 83,121 86,456 89,631 89,015 83,373 84,841 88,700 89,501
                       
III. Net Non-Monetary Liabilities 18,610 19,175 19,654 19,907 22,230 21,476 21,391 21,383 22,881 23,461 23,299
                       
Broad Money, M2 (I+II-III) 80,204 83,160 86,899 87,965 88,935 91,478 91,303 93,713 94,988 94,315 95,907
                       
Note: Figures may not add up to totals due to rounding.