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ভারতীয় রিজার্ভ ব্যাঙ্কের মধ্যে বিভিন্ন ফাংশন সম্পর্কে আরও জানুন
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(Amount in Rs. crore)
As on March 31
State Bank of
Nationalised
Foreign
Other Scheduled
All Scheduled
Items
India & its
Banks $
Banks
Commercial
Associates
2006
2007
(1)
(2)
(3)
(4)
(5)
(6)
(7)
(8)
(9)
(10)
Number of reporting banks
8
20
29
28
25
85
82
Liabilities
1.
Capital
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
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
463
4752
5309
1832
1020
1165
8066
9698
151
18
664
3116
779
460
156
222
1749
3816
208
230
14
216
244
2.3.
Share Premium
3863
12095
12793
18559
20281
34517
36938
8007
9496
18510
21366
34468
4088
698
9421
1820
13509
2518
358
49
48
2.5.
Investment Fluctuations Reserves
789
166
294
98
418
191
1501
455
7284
10948
1573
287
2309
367
22113
1443
68
39
22
873
980
65
10227
648
1318
211
2764
194
21592
1053
2.6.
Revenue and other Reserves
11275
12492
28376
36386
6160
8427
10072
11326
55883
68631
2721
11272
14162
27832
3899
6290
7773
9866
28555
55259
8583
1249
14286
9348
2317
2305
2690
1591
27876
14492
72
794
56
168
391
131
548
1120
Balance of Profit
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
From banks
9151
13337
4560
4855
875
982
1840
2262
16425
21436
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
5640
5457
26319
45117
2575
4744
34156
37913
68690
93230
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)
428455
2164681
2696979
Note : $ Includes IDBI Ltd. Source : Annual accounts of banks of respective years.
-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
From Reserve Bank of India
165
2455
5518
4445
588
2071
6352
15261
From other banks
1383
1731
2803
2650
14214
22141
7937
9331
26336
35853
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
Bills Payable
21565
24876
15986
14502
3332
3735
8710
11983
49592
55096
Inter-office adjustments
13452
1423
2445
4620
6
92
993
508
16897
6643
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
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
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
11749
19970
35752
132358
179772
In current account
75620
90228
7441
11747
19870
35652
131518
179513
In other account
408
158
332
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
1181
1608
5512
6228
602
1024
2516
3142
9812
12002
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
with Banks
10276
8353
6645
10784
380
989
2129
3168
19430
23294
with other institutions
704
568
958
793
1
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
6379
6485
18478
29180
3708
3673
6633
15828
35197
55165
2599
2654
1642
2364
669
1462
1565
2735
6474
9215
3780
3831
16836
26816
3039
2211
5068
13093
28723
45950
7.2.2
9095
11185
3582
8326
6029
8232
2564
5932
21270
33675
রিজার্ভ ব্যাঙ্ক অফ ইন্ডিয়া মোবাইল অ্যাপ্লিকেশন ইনস্টল করুন এবং সাম্প্রতিক সংবাদগুলিতে দ্রুত অ্যাক্সেস পান!
আপনি এই পেজটি সম্পর্কে কি চিন্তা করেছিলেন?* (সর্বাধিক 2000 ক্যারেক্টার)
ক্যাপচা কোড লিখুন*: