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Table 3.1 : Bank group-wise liabilities and assets of Scheduled Commercial Banks in India - 2006 and 2007

(Amount in Rs. crore)

 

As on March 31

 

State Bank of

Nationalised

Foreign

Other Scheduled

All Scheduled

Items

India & its

Banks $

Banks

Commercial

Commercial

 

Associates

 

 

Banks

Banks

 

2006

2007

2006

2007

2006

2007

2006

2007

2006

2007

 

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

Number of reporting banks

8

8

20

20

29

29

28

25

85

82

Liabilities

 

 

 

 

 

 

 

 

 

 

1.

Capital

1036

1036

11294

11381

8940

12999

3937

4144

25207

29559

2.

Reserves and Surplus

36623

41905

66090

81303

15374

20076

39887

46329

157972

189612

 

2.1.

Statutory Reserves

20869

24916

16786

20346

5006

6199

6769

8444

49430

59905

 

 

(i)

Opening balance

17395

20870

13938

16785

3587

5006

5266

6616

40187

49277

 

 

(ii)

Additions during the Year

3474

4046

2848

3561

1419

1193

1503

1828

9243

10628

 

 

(iii)

Deductions during the Year

 

2.2.

Capital Reserves

614

632

5208

8195

2611

3071

1168

1373

9599

13270

 

 

(i)

Opening balance

463

614

4752

5309

1832

2611

1020

1165

8066

9698

 

 

(ii)

Additions during the Year

151

18

664

3116

779

460

156

222

1749

3816

 

 

(iii)

Deductions during the Year

208

230

8

14

216

244

 

2.3.

Share Premium

3863

3863

12095

12793

18559

20281

34517

36938

 

 

(i)

Opening balance

3863

3863

8007

12095

9496

18510

21366

34468

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

(ii)

Additions during the Year

4088

698

9421

1820

13509

2518

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

(iii)

Deductions during the Year

358

49

358

48

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

2.5.

Investment Fluctuations Reserves

789

166

294

98

418

191

1501

455

 

 

(i)

Opening balance

7284

10948

789

1573

287

2309

367

22113

1443

 

 

(ii)

Additions during the Year

68

25

39

22

873

18

980

65

 

 

(iii)

Deductions during the Year

7284

10227

648

1318

211

2764

194

21592

1053

 

2.6.

Revenue and other Reserves

11275

12492

28376

36386

6160

8427

10072

11326

55883

68631

 

 

(i)

Opening balance

2721

11272

14162

27832

3899

6290

7773

9866

28555

55259

 

 

(ii)

Additions during the Year

8583

1249

14286

9348

2317

2305

2690

1591

27876

14492

 

 

(iii)

Deductions during the Year

29

29

72

794

56

168

391

131

548

1120

 

2.5.

Balance of Profit

2

2

2836

3417

1303

2281

2901

4714

7042

10413

3.

Deposits (3.1 + 3.2 + 3.3)

542410

633475

1080072

1360724

113746

150792

428457

551987

2164679

2696977

 

3.1.

Demand Deposits [(i)+(ii)]

85355

99635

111999

135766

38697

43256

56896

73340

292944

351997

 

 

(i)

From banks

9151

13337

4560

4855

875

982

1840

2262

16425

21436

 

 

(ii)

From others

76204

86298

107439

130911

37822

42274

55056

71078

276519

330561

 

3.2.

Savings bank deposits

150051

172082

300737

346389

18783

21839

73304

91342

542874

631651

 

3.3.

Term Deposits [(i)+(ii)]

307004

361758

667336

878569

56266

85697

298257

387305

1328861

1713329

 

 

(i)

From banks

5640

5457

26319

45117

2575

4744

34156

37913

68690

93230

 

 

(ii)

From others

301364

356301

641017

833452

53691

80953

264101

349392

1260171

1620099

 

3.A.

Deposits of branches in India

528592

617891

1037460

1294022

113745

150794

419527

542966

2099324

2605672

 

3.B.

Deposits of branches outside India

13818

15584

42612

66702

8928

9021

65357

91307

 

Total (3.A + 3.B)

542410

633475

1080072

1360724

113745

150794

428455

551987

2164681

2696979

Note :  $ Includes IDBI Ltd.
Source : Annual accounts of banks of respective years.



(Amount in Rs. crore)

 

As on March 31

 

State Bank of

Nationalised

Foreign

Other Scheduled

All Scheduled

Items

India & its

Banks $

Banks

Commercial

Commercial

 

Associates

 

 

Banks

Banks

 

2006

2007

2006

2007

2006

2007

2006

2007

2006

2007

 

-1

-2

-3

-4

-5

-6

-7

-8

-9

-10

4

Borrowings

37085

48323

78166

73449

38412

50966

49487

70131

203145

242869

 

4.1.

Borrowings in India

8995

12108

59826

57160

20628

35373

23797

24906

113242

129547

 

 

(i)

From Reserve Bank of India

165

2455

5518

4445

588

6290

82

2071

6352

15261

 

 

(ii)

From other banks

1383

1731

2803

2650

14214

22141

7937

9331

26336

35853

 

 

(iii)

From other institutions and agencies

7447

7922

51505

50065

5826

6942

15778

13504

80554

78433

 

4.2.

Borrowings outside India

28090

36215

18340

16289

17784

15593

25690

45225

89903

113322

5

Other liabilities and provisions

74693

81055

87406

107331

22888

43180

49867

72813

234848

304378

 

 

(i)

Bills Payable

21565

24876

15986

14502

3332

3735

8710

11983

49592

55096

 

 

(ii)

Inter-office adjustments

13452

1423

2445

4620

6

92

993

508

16897

6643

 

 

(iii)

Interest accured

4923

5968

5784

7109

1389

1768

3054

4980

15149

19825

 

 

(iv)

Subordinate debt

1995

3410

18920

33143

2695

3063

14267

27396

37876

67012

 

 

(v)

Deferred Tax Liabilities

484

330

736

2

4

194

203

525

1426

 

 

(vi)

Others (including provisions)

32758

44894

43941

47221

15464

34518

22649

27743

114809

154376

 

Total Liabilities

691847

805794

1323028

1634188

199360

278013

571635

745404

2785851

3463395

6

Cash and balances with RBI

31029

44828

81741

97384

8108

12145

23597

41017

144474

195371

 

6.1.

Cash in hand

2441

2941

5713

6998

335

396

3627

5265

12116

15599

 

6.2.

Balances with RBI

28588

41887

76028

90386

7773

11749

19970

35752

132358

179772

 

 

(i)

In current account

28588

41887

75620

90228

7441

11747

19870

35652

131518

179513

 

 

(ii)

In other account

408

158

332

2

100

100

840

259

 

 

 

 

 

 

 

 

 

 

 

 

 

 

7

Balances with banks and money at call and short notice (7.1 + 7.2)

28227

29111

46189

65339

18751

26673

23274

37288

116440

158409

 

7.1.

In India (7.1.1 + 7.2.2)

12753

11441

24129

27833

9014

14768

14077

15528

59973

69569

 

7.1.1.

Balances with Banks

1773

2520

16526

16256

8633

13711

11668

11970

38601

44457

 

 

(i)

In current account

1181

1608

5512

6228

602

1024

2516

3142

9812

12002

 

 

(ii)

In other deposit account

592

912

11014

10028

8031

12687

9152

8828

28789

32455

 

7.1.2

Money at call and short notice

10980

8921

7603

11577

381

1057

2409

3558

21372

25112

 

 

(i)

with Banks

10276

8353

6645

10784

380

989

2129

3168

19430

23294

 

 

(ii)

with other institutions

704

568

958

793

1

68

280

390

1942

1818

 

7.2

Outside India (7.2.1 + 7.2.2)

15474

17670

22060

37506

9737

11905

9197

21760

56467

88840

 

7.2.1

Balances with Banks

6379

6485

18478

29180

3708

3673

6633

15828

35197

55165

 

 

(i)

In current account

2599

2654

1642

2364

669

1462

1565

2735

6474

9215

 

 

(ii)

In other deposit account

3780

3831

16836

26816

3039

2211

5068

13093

28723

45950

 

7.2.2

Money at call and short notice

9095

11185

3582

8326

6029

8232

2564

5932

21270

33675

Note :
$ Includes IDBI Ltd.
Source : Annual accounts of banks of respective years.

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