Table 12: Components and Sources of Broad Money (M2)
(End of Period) (Rs million)
  Jun-99 Sep-99 Dec-99 Mar-00 Apr-00 May-00 Jun-00 Jul-00 Aug-00 Sep-00
                     
Components of Broad Money                    
                     
1. Currency with Public 4,876 4,322 6,127 5,132 5,139 5,050 5,172 5,267 5,255 5,407
2. Demand Deposits with the Banking System 6,030 5,833 5,877 5,867 5,535 5,503 5,894 6,504 5,803 6,140
I. Narrow Money, M1 (1+2) 10,906 10,155 12,004 10,999 10,674 10,553 11,065 11,771 11,058 11,548
                     
1. Savings Deposits 31,830 34,085 34,525 36,107 36,241 35,664 35,702 35,814 36,437 36,369
2. Time Deposits 30,239 31,638 33,094 33,607 33,637 33,883 33,939 33,742 34,569 35,271
3.  Foreign Currency Deposits 7,229 7,282 7,276 7,252 7,162 7,722 8,228 8,316 8,118 8,290
II. Quasi-Money (1+2+3) 69,298 73,005 74,895 76,966 77,039 77,269 77,869 77,872 79,124 79,930
                     
Broad Money, M2 (I+II) 80,204 83,160 86,899 87,965 87,713 87,822 88,935 89,643 90,182 91,478
                     
Sources of Broad Money                    
                     
1. Bank of Mauritius 15,315 15,696 18,425 18,214 17,728 17,222 17,455 17,067 16,925 16,895
2. Commercial Banks 6,772 6,526 7,120 6,537 6,226 6,499 7,254 6,554 5,964 6,428
I. Net Foreign Assets (1+2) 22,087 22,222 25,545 24,751 23,954 23,721 24,709 23,621 22,889 23,323
                     
1. Bank of Mauritius 4,576 4,384 2,281 2,298 2,495 2,699 3,002 3,615 4,023 4,373
2. Commercial Banks 11,437 13,009 15,416 15,929 15,775 15,961 15,464 15,054 15,072 15,255
A. Net Credit to the Central Government (1+2) 16,013 17,393 17,697 18,226 18,270 18,660 18,466 18,669 19,095 19,628
                     
1. Bank of Mauritius Claims on Non-bank Financial Institutions 575 541 506 475 463 448 435 422 408 396
2. Commercial Banks' Claims on Private Sector 60,106 61,896 62,521 64,137 65,107 65,668 67,271 68,435 69,077 69,323
3. Commercial Banks' Claims on Other Bank-like Institutions 33 284 284 284 284 284 284 284 284 284
B. Credit to the Private Sector (1+2+3) 60,714 62,721 63,311 64,895 65,854 66,400 67,990 69,140 69,769 70,003
                     
II. Domestic Credit (A+B) 76,727 80,113 81,008 83,121 84,124 85,060 86,456 87,809 88,864 89,631
                     
III. Net Non-Monetary Liabilities 18,610 19,175 19,654 19,907 20,365 20,959 22,230 21,787 21,571 21,476
                     
Broad Money, M2 (I+II-III) 80,204 83,160 86,899 87,965 87,713 87,822 88,935 89,643 90,182 91,478
                     
Note: Figures may not add up to totals due to rounding.