ALM - Annexures I, II & III - RBI - Reserve Bank of India
ALM - Annexures I, II & III
Annexure I
Name of the FI :
Statement of Structural Liquidity as on :
(Amt. in crore of rupees)
A. Outflows | 1 to 14 days | 15 t0 28 days | 29 days to 3 mths | Over 3 to 6 mths | Over 6 mths to 1 year | Over 1 year to 3 years | Over 3 to 5 years | Over 5 to 7 years | Over 7 to 10 years | Over 10 years | Total |
1. Capital | |||||||||||
b) Non-perpetual preference shares | |||||||||||
2. Reserves & surplus | |||||||||||
3. Gifts, grants, donations & benefactions | |||||||||||
4. Notes, bonds & debentures | |||||||||||
b)Bonds/debe-ntures with embedded options | |||||||||||
c) Fixed rate notes | |||||||||||
5. Deposits | |||||||||||
b) ICDs | |||||||||||
c) CDs | |||||||||||
6.Borrowings | |||||||||||
b) From RBI,Govt, & others | |||||||||||
7. Current Liabilities & provisions: | |||||||||||
b) Expenses payable | |||||||||||
c) Advance income received | |||||||||||
d) Interest payable on bonds/ | |||||||||||
e) Provisions (other than for NPAs) | |||||||||||
8. Contingent Liabilities | |||||||||||
a) Letters of credit/guarantees | |||||||||||
b) Loan commitments pending disbursal (outflows) | |||||||||||
c) Lines of credit committed to other institutions (outflows) | |||||||||||
d) Outflows on account of forward exchange contracts, rupee/dollar swap & bills rediscounted | |||||||||||
9. Others (specify) | |||||||||||
A. TOTAL OUTFLOWS (A) | |||||||||||
B. Inflows | |||||||||||
1. Cash | |||||||||||
2. Remittance in transit | |||||||||||
3. Balances with RBI | |||||||||||
4. Balances with other banks | |||||||||||
5. Investments (net of provisions) | |||||||||||
6. Advances (performing) | |||||||||||
7. Non-performing loans | |||||||||||
8. Inflows from assets on lease | |||||||||||
9. fixed assets (excluding assets on lease) | |||||||||||
10. Other assets :
| |||||||||||
11. Lines of credit committed by other institutions (inflows) | |||||||||||
12. Bills rediscounted (inflow) | |||||||||||
13. Inflows on account of forward exchange contracts, dollar/rupee swaps (sell/buy) | |||||||||||
14. Others | |||||||||||
B. TOTAL INFLOWS (B) | |||||||||||
C. Mismatch | |||||||||||
D. Cumulative mismatch | |||||||||||
E. C as percentage |
Annexure II
Name of the FI :
Statement of Interest Rate Sensitivity as on :
(Amt. in crore of rupees)
A. Outflows | 1 to 28 days | 29 days & upto 3 mths | Over 3 mths & upto 6 mths | Over 6 mths & upto 1 year | Over 1 year & upto 3 years | Over 3 years and upto 5 years | Over 5 years & upto 7 years | Over 7 years & upto 10 years | Over 10 years | Non-Sensitive | Total |
1. Capital | |||||||||||
b) Non-perpetual preference shares | |||||||||||
2. Reserves & surplus | |||||||||||
3. Gifts, grants, donations & benefactions | |||||||||||
4. Notes, bonds & debentures | |||||||||||
b)Bonds/debe-ntures with embedded options | |||||||||||
c) Fixed rate notes | |||||||||||
5. Deposits | |||||||||||
b) ICDs | |||||||||||
c) CDs | |||||||||||
6.Borrowings | |||||||||||
b) From RBI,Govt, & others | |||||||||||
7. Current Liabilities & provisions: | |||||||||||
b) Expenses payable | |||||||||||
c) Advance income received | |||||||||||
d) Interest payable on bonds/deposits | |||||||||||
e) Provisions (other than for NPAs) | |||||||||||
8. Contingent Liabilities | |||||||||||
a) Letters of credit/guarantees | |||||||||||
b) Loan commitments pending disbursal (outflows) | |||||||||||
c) Lines of credit committed to other institutions (outflows) | |||||||||||
d) Outflows on account of forward exchange contracts, rupee/dollar swap & bills rediscounted | |||||||||||
9. Others (specify) | |||||||||||
A. TOTAL OUTFLOWS (A) | |||||||||||
B. Inflows | |||||||||||
1. Cash | |||||||||||
2. Remittance in transit | |||||||||||
3. Balances with RBI | |||||||||||
4. Balances with other banks | |||||||||||
5. Investments (net of provisions) | |||||||||||
6. Advances (performing) | |||||||||||
7. Non-performing loans | |||||||||||
8. Inflows from assets on lease | |||||||||||
9. fixed assets (excluding assets on lease) | |||||||||||
10. Other assets :
| |||||||||||
11. Lines of credit committed by other institutions (inflows) | |||||||||||
12. Bills rediscounted (inflow) | |||||||||||
13. Inflows on account of forward exchange contracts, dollar/rupee swaps (sell/buy) | |||||||||||
14. Others | |||||||||||
B. TOTAL INFLOWS (B) | |||||||||||
C. Mismatch | |||||||||||
D. Cumulative mismatch | |||||||||||
E. C as percentage |
Annexure III
Name of the FI
Statement of short-term Dynamic Liquidity as on
Outflows | (Rs. in crore) | ||||
1 - 14 | 15 days to | 29 days to | 3 - 6 | ||
TOTAL OUTFLOWS (a)
Advances TOTAL INFLOWS (B) C. Mismatch (B - A) D. Cumulative mismatch E. C as percentage to |