3.1 : Bank group-wise Liabilities and Assets of scheduled commercial banks in India: 2002 and 2003 - આરબીઆઈ - Reserve Bank of India
3.1 : Bank group-wise Liabilities and Assets of scheduled commercial banks in India: 2002 and 2003
(Amount in Rs. crore) |
||||||||||||||
As on March 31 |
||||||||||||||
State Bank of India and its Associates |
Nationalised Banks |
Regional Rural Banks |
Foreign Banks |
Other Scheduled |
All Scheduled Commercial |
|||||||||
Items |
Commercial Banks |
Banks |
||||||||||||
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
|||
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
|||
|
||||||||||||||
Number of reporting banks |
8 |
8 |
19 |
19 |
196 |
196 |
40 |
38 |
30 |
29 |
291 |
288 |
||
Liabilities |
||||||||||||||
1. Capital |
1036 |
1036 |
14142 |
13140 |
2143 |
2111 |
3576 |
4498 |
2719 |
2862 |
23616 |
23646 |
||
2. Reserves and Surplus |
19023 |
22097 |
23253 |
29310 |
1883 |
2385 |
6939 |
8889 |
13472 |
15499 |
64570 |
78180 |
||
2.1. Statutory Reserves |
11448 |
12964 |
6507 |
8456 |
561 |
790 |
2023 |
2544 |
2574 |
3297 |
23113 |
28052 |
||
(i) Opening balance |
9247 |
11464 |
5282 |
6507 |
435 |
634 |
1657 |
1787 |
2042 |
2560 |
18663 |
22951 |
||
(ii) Additions during the year |
2219 |
1500 |
1225 |
1950 |
126 |
156 |
366 |
757 |
532 |
862 |
4468 |
5225 |
||
(iii) Deductions during the year |
18 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
125 |
18 |
125 |
||
2.2. Capital Reserves |
143 |
1017 |
2898 |
2614 |
64 |
38 |
977 |
1254 |
300 |
573 |
4383 |
5495 |
||
(i) Opening balance |
124 |
837 |
2742 |
2589 |
61 |
47 |
938 |
936 |
222 |
294 |
4086 |
4704 |
||
(ii) Additions during the year |
19 |
209 |
229 |
148 |
3 |
5 |
40 |
317 |
82 |
288 |
373 |
967 |
||
(iii) Deductions during the year |
0 |
29 |
72 |
123 |
0 |
15 |
0 |
0 |
4 |
8 |
76 |
176 |
||
2.3. Share Premium |
3863 |
3863 |
2406 |
3083 |
35 |
10 |
0 |
0 |
3083 |
3253 |
9387 |
10209 |
||
(i) Opening balance |
3863 |
3863 |
1982 |
2975 |
30 |
9 |
0 |
0 |
2187 |
3071 |
8062 |
9919 |
||
(ii) Additions during the year |
0 |
0 |
438 |
159 |
5 |
0 |
0 |
0 |
938 |
210 |
1380 |
369 |
||
(iii) Deductions during the year |
0 |
0 |
14 |
51 |
0 |
0 |
0 |
0 |
41 |
28 |
55 |
79 |
||
2.4. Revenue and other Reserves |
3560 |
4244 |
10974 |
14871 |
687 |
874 |
3656 |
3752 |
7142 |
7808 |
26019 |
31549 |
||
(i) Opening balance |
2998 |
2850 |
8675 |
11410 |
550 |
729 |
3083 |
2924 |
2048 |
7072 |
17354 |
24984 |
||
(ii) Additions during the year |
962 |
2176 |
2665 |
4360 |
138 |
154 |
779 |
927 |
5460 |
1021 |
10003 |
8638 |
||
(iii) Deductions during the year |
400 |
781 |
366 |
899 |
1 |
9 |
205 |
99 |
367 |
286 |
1339 |
2074 |
||
2.5. Balance of Profit |
8 |
8 |
469 |
285 |
536 |
674 |
282 |
1339 |
373 |
568 |
1668 |
2875 |
||
3. Deposits (3.1+3.2+3.3) |
351077 |
391033 |
617673 |
688361 |
44539 |
48867 |
64511 |
69313 |
169440 |
206917 |
1247239 |
1404490 |
||
3.1. Demand deposits [(i)+(ii)] |
53269 |
56626 |
65783 |
70248 |
1962 |
2271 |
13614 |
14441 |
20404 |
23225 |
155033 |
166811 |
||
(i) From banks |
8454 |
8426 |
2470 |
2319 |
29 |
10 |
455 |
394 |
1013 |
1122 |
12421 |
12270 |
||
(ii) From others |
44815 |
48200 |
63313 |
67930 |
1934 |
2261 |
13159 |
14047 |
19392 |
22103 |
142612 |
154541 |
||
3.2. Savings bank deposits |
74893 |
87923 |
153246 |
179251 |
17821 |
20496 |
7339 |
8969 |
20120 |
26160 |
273418 |
322799 |
||
3.3. Term deposits [(i)+(ii)] |
222915 |
246484 |
398644 |
438862 |
24756 |
26100 |
43558 |
45902 |
128915 |
157532 |
818788 |
914880 |
||
(i) From banks |
8091 |
6944 |
22501 |
16438 |
87 |
512 |
9170 |
11784 |
17035 |
18823 |
56883 |
54501 |
||
(ii) From others |
214824 |
239540 |
376142 |
422424 |
24669 |
25588 |
34388 |
34118 |
111880 |
138709 |
761904 |
860378 |
||
3.A. Deposits of branches in India |
343065 |
383775 |
592953 |
665846 |
44539 |
48867 |
64511 |
69297 |
169214 |
206657 |
1214282 |
1374444 |
||
3.B. Deposits of branches outside India |
8011 |
7257 |
24720 |
22515 |
0 |
0 |
0 |
15 |
226 |
259 |
32957 |
30047 |
||
Total (3.A.+3.B.) |
351077 |
391033 |
617673 |
688361 |
44539 |
48867 |
64511 |
69313 |
169440 |
206917 |
1247239 |
1404490 |
||
|
As on March 31 |
||||||||||||
|
State Bank of India and its Associates |
Nationalised Banks |
Regional Rural Banks |
Foreign Banks |
Other Scheduled |
All Scheduled Commercial |
||||||
Items |
|
|
|
|
|
|
|
Commercial Banks |
Banks |
|||
|
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
|
||||||||||||
4. Borrowings |
10052 |
11593 |
10516 |
10838 |
4524 |
4684 |
29755 |
22904 |
56858 |
41200 |
111705 |
91219 |
4.1. Borrowings in India |
2663 |
2434 |
8659 |
6932 |
4524 |
4522 |
28721 |
16027 |
49414 |
34999 |
93982 |
64913 |
(i) From Reserve Bank of India |
75 |
0 |
1432 |
25 |
97 |
57 |
965 |
875 |
803 |
52 |
3371 |
1008 |
(ii) From other banks |
188 |
700 |
1901 |
1784 |
1047 |
943 |
24267 |
13272 |
5934 |
5960 |
33337 |
22658 |
(iii) From other institutions and agencies |
2400 |
1734 |
5326 |
5123 |
3381 |
3523 |
3489 |
1879 |
42678 |
28988 |
57274 |
41247 |
4.2. Borrowings outside India |
7389 |
9159 |
1856 |
3907 |
0 |
162 |
1034 |
6878 |
7443 |
6200 |
17723 |
26306 |
5. Other liabilities and provisions |
68321 |
68196 |
40645 |
49632 |
3712 |
3561 |
7316 |
10780 |
25192 |
28649 |
145186 |
160818 |
(i) Bills Payable |
18178 |
18098 |
9538 |
10938 |
359 |
302 |
1581 |
1787 |
3101 |
3605 |
32757 |
34730 |
(ii) Inter-office adjustments |
5539 |
4975 |
2147 |
3617 |
235 |
346 |
161 |
96 |
582 |
464 |
8663 |
9498 |
(iii) Interest accrued |
24022 |
24864 |
3921 |
2959 |
1460 |
1260 |
1555 |
1298 |
3679 |
3074 |
34637 |
33454 |
(iv) Others (including provisions) |
20583 |
20259 |
25039 |
32119 |
1659 |
1653 |
4019 |
7599 |
17830 |
21507 |
69129 |
83137 |
Total Liabilities |
449509 |
493954 |
706228 |
791281 |
56802 |
61608 |
112096 |
116384 |
267680 |
295127 |
1592315 |
1758354 |
6. Cash and balances with RBI |
27287 |
19112 |
44120 |
46054 |
3146 |
3085 |
4047 |
4557 |
11306 |
16340 |
89907 |
89149 |
6.1. Cash in hand |
1362 |
1422 |
4396 |
4635 |
647 |
653 |
240 |
418 |
1372 |
1643 |
8016 |
8772 |
6.2. Balances with RBI |
25925 |
17690 |
39725 |
41419 |
2492 |
2431 |
3807 |
4139 |
9934 |
14697 |
81884 |
80377 |
(i) in current account |
25925 |
17690 |
39725 |
35472 |
2361 |
2234 |
3807 |
4129 |
9934 |
14697 |
81752 |
74222 |
(ii) in other account |
0 |
0 |
0 |
5947 |
132 |
197 |
0 |
10 |
0 |
0 |
132 |
6155 |
7. Balances with banks and money at |
47597 |
35268 |
31877 |
21889 |
21018 |
15506 |
15618 |
6345 |
22426 |
11029 |
138537 |
90037 |
call and short notice (7.1+7.2) |
0 |
|||||||||||
7.1. In India (7.1.1+7.1.2) |
29217 |
29415 |
15004 |
15736 |
21018 |
15506 |
6885 |
3374 |
14256 |
9336 |
86380 |
73367 |
7.1.1. Balances with banks |
4852 |
4531 |
11806 |
12667 |
18548 |
13559 |
4793 |
2768 |
8797 |
7463 |
48795 |
40989 |
(i) in current account |
424 |
777 |
3231 |
4262 |
1507 |
2108 |
601 |
516 |
1955 |
1365 |
7718 |
9029 |
(ii) in other deposit account |
4428 |
3754 |
8575 |
8404 |
17041 |
11451 |
4191 |
2252 |
6842 |
6098 |
41077 |
31960 |
7.1.2. Money at call and short notice |
24365 |
24883 |
3198 |
3070 |
2470 |
1947 |
2093 |
606 |
5458 |
1873 |
37585 |
32378 |
(i) with banks |
24365 |
24883 |
2773 |
2503 |
2376 |
951 |
1957 |
386 |
5220 |
1515 |
36691 |
30239 |
(ii) with other institutions |
0 |
0 |
425 |
566 |
94 |
996 |
136 |
219 |
238 |
357 |
894 |
2139 |
7.2. Outside India (7.2.1+7.2.2) |
18380 |
5853 |
16873 |
6152 |
0 |
0 |
8733 |
2971 |
8170 |
1693 |
52157 |
16670 |
7.2.1. Balances with banks |
10520 |
3187 |
13189 |
4542 |
0 |
0 |
6660 |
2793 |
3477 |
1540 |
33846 |
12062 |
(i) in current account |
7683 |
2721 |
2450 |
1445 |
0 |
0 |
1033 |
483 |
538 |
654 |
11703 |
5303 |
(ii) in other deposit account |
2838 |
466 |
10739 |
3097 |
0 |
0 |
5626 |
2310 |
2939 |
886 |
22143 |
6759 |
7.2.2. Money at call and short notice |
7860 |
2666 |
3684 |
1610 |
0 |
0 |
2074 |
178 |
4694 |
154 |
18311 |
4609 |
|
As on March 31 |
||||||||||||||
State Bank of India and its Associates |
Nationalised Banks |
Regional Rural Banks |
Foreign Banks |
Other Scheduled |
All Scheduled Commercial |
|||||||||
Items |
|
|
|
|
|
|
|
|
Commercial Banks |
Banks |
||||
|
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
||
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
||
|
||||||||||||||
8. Investments (8.1+8.2) |
185587 |
223367 |
268421 |
322302 |
9471 |
16946 |
35094 |
40796 |
98957 |
106621 |
597529 |
710031 |
||
8.1 In India in |
180918 |
218904 |
259300 |
312134 |
9471 |
16920 |
35094 |
40796 |
98860 |
106528 |
583643 |
695282 |
||
(i) Government securities |
151217 |
187687 |
190180 |
241387 |
1296 |
9439 |
13450 |
30808 |
55514 |
72652 |
411658 |
541972 |
||
(ii)Other approved securities |
6646 |
5797 |
13815 |
12368 |
690 |
916 |
119 |
151 |
1092 |
961 |
22362 |
20192 |
||
(iii) Shares |
1201 |
1283 |
2431 |
2399 |
72 |
59 |
16 |
349 |
2473 |
2685 |
6194 |
6774 |
||
(iv) Debentures and Bonds |
16457 |
19626 |
46727 |
49168 |
6118 |
5467 |
5319 |
9127 |
20719 |
22916 |
95340 |
106304 |
||
(v) Subsidiaries and/or joint ventures |
1214 |
1221 |
1144 |
1048 |
3 |
38 |
0 |
1 |
917 |
803 |
3279 |
3111 |
||
(vi) Others |
4183 |
3289 |
5002 |
5766 |
1292 |
1001 |
77 |
360 |
6476 |
6512 |
17030 |
16928 |
||
8.2 Outside India in |
4669 |
4462 |
9120 |
10167 |
0 |
26 |
0 |
0 |
97 |
93 |
13886 |
14749 |
||
(i) Government securities |
294 |
381 |
2999 |
2772 |
0 |
25 |
0 |
0 |
84 |
84 |
3378 |
3263 |
||
(ii) Subsidiaries and/or joint ventures |
159 |
216 |
196 |
391 |
0 |
0 |
0 |
0 |
1 |
1 |
357 |
609 |
||
(iii) Others |
4216 |
3865 |
5924 |
7003 |
0 |
1 |
0 |
0 |
11 |
7 |
10152 |
10876 |
||
9. Advances |
164589 |
189204 |
316091 |
360147 |
17710 |
20715 |
48632 |
52171 |
116430 |
137711 |
663453 |
759948 |
||
9A. (i) Bills Purchased and discounted |
15750 |
17625 |
21087 |
24273 |
286 |
448 |
6621 |
5801 |
10405 |
11070 |
54148 |
59217 |
||
(ii) Cash credits, overdrafts and loans |
90721 |
97450 |
177170 |
194231 |
7329 |
8659 |
18305 |
21400 |
35530 |
38438 |
329055 |
360178 |
||
repayable on demand |
||||||||||||||
(iii) Term loans |
58119 |
74129 |
117834 |
141643 |
10095 |
11608 |
23706 |
24970 |
70495 |
88203 |
280250 |
340552 |
||
Total |
164589 |
189204 |
316091 |
360147 |
17710 |
20303 |
48632 |
52171 |
116430 |
137711 |
663453 |
759536 |
||
9B. (i) Secured by tangible assets |
133942 |
152064 |
244015 |
287766 |
16471 |
18738 |
25822 |
29307 |
100023 |
117712 |
520273 |
605586 |
||
(ii) Covered by Bank/ Government |
10378 |
13606 |
31172 |
26097 |
342 |
516 |
5819 |
5872 |
6781 |
8833 |
54492 |
54925 |
||
Guarantees |
||||||||||||||
(iii) Unsecured |
20269 |
23533 |
40903 |
46284 |
897 |
1049 |
16991 |
16993 |
9627 |
11166 |
88687 |
99025 |
||
Total |
164589 |
189204 |
316091 |
360147 |
17710 |
20303 |
48632 |
52171 |
116430 |
137711 |
663453 |
759536 |
||
9C. I. Advances in India |
151313 |
175295 |
293245 |
335771 |
17710 |
20713 |
48632 |
52171 |
116165 |
137434 |
627066 |
721384 |
||
(i) Priority sectors |
47556 |
54756 |
100072 |
121508 |
12943 |
15527 |
10492 |
11431 |
19598 |
30556 |
190661 |
233778 |
||
(ii) Public sectors |
30735 |
33866 |
60694 |
58552 |
0 |
116 |
1360 |
565 |
10887 |
8276 |
103676 |
101374 |
||
(iii) Banks |
285 |
385 |
963 |
2200 |
0 |
31 |
528 |
160 |
1708 |
2633 |
3484 |
5409 |
||
(iv) Others |
72737 |
86289 |
131516 |
153511 |
4767 |
5038 |
36253 |
40015 |
83973 |
95969 |
329245 |
380823 |
As on March 31 |
||||||||||||||
|
State Bank of India and its Associates |
Nationalised Banks |
Regional Rural Banks |
Foreign Banks |
Other Scheduled |
All Scheduled Commercial |
||||||||
Items |
|
|
|
|
|
|
|
|
Commercial Banks |
Banks |
||||
|
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
||
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
||
9C.II. Advances outside India |
13276 |
13909 |
22846 |
24376 |
0 |
0 |
0 |
0 |
265 |
277 |
36387 |
38562 |
||
(i) Due from Banks |
805 |
914 |
4749 |
4468 |
0 |
0 |
0 |
0 |
0 |
0 |
5554 |
5382 |
||
(ii) Due from others |
12472 |
12994 |
18097 |
19909 |
0 |
0 |
0 |
0 |
265 |
277 |
30833 |
33180 |
||
a) Bills purchased and discounted |
1856 |
2834 |
2196 |
2576 |
0 |
0 |
0 |
0 |
29 |
48 |
4081 |
5458 |
||
b) Syndicate loans |
4114 |
5734 |
6092 |
6731 |
0 |
0 |
0 |
0 |
0 |
0 |
10206 |
12465 |
||
c) Others |
6502 |
4427 |
9809 |
10602 |
0 |
0 |
0 |
0 |
236 |
228 |
16546 |
15257 |
||
Total (9CI +9CII) |
164589 |
189204 |
316091 |
360147 |
17710 |
20713 |
48632 |
52171 |
116430 |
137711 |
663453 |
759945 |
||
10. Fixed Assets (10.1+10.2+10.3) |
2889 |
2925 |
7531 |
7668 |
91 |
103 |
2250 |
2186 |
7413 |
7420 |
20174 |
20301 |
||
10.1 Premises |
908 |
817 |
5398 |
5391 |
6 |
9 |
1591 |
1468 |
2635 |
2848 |
10539 |
10534 |
||
At cost as on 31st March of the preceding year |
1079 |
1151 |
5930 |
6105 |
6 |
11 |
1783 |
1335 |
1483 |
2642 |
10281 |
11244 |
||
(ii) Additions during the year |
193 |
66 |
919 |
932 |
2 |
1 |
81 |
384 |
1414 |
702 |
2608 |
2084 |
||
(iii) Deductions during the year |
14 |
2 |
13 |
17 |
0 |
0 |
99 |
102 |
51 |
228 |
177 |
349 |
||
(iv) Depreciation to date |
350 |
397 |
1438 |
1628 |
1 |
3 |
173 |
149 |
211 |
269 |
2173 |
2446 |
||
10.2 Assets under construction |
1000 |
132 |
188 |
36 |
1 |
1 |
17 |
5 |
2653 |
158 |
3858 |
332 |
||
10.3 Other Fixed assets |
981 |
1976 |
1945 |
2241 |
84 |
93 |
642 |
712 |
2125 |
4413 |
5776 |
9435 |
||
of the preceding year |
2590 |
4516 |
4744 |
6027 |
137 |
151 |
1529 |
1588 |
2586 |
6872 |
11587 |
19155 |
||
(ii) Additions during the year |
414 |
652 |
899 |
997 |
28 |
33 |
327 |
452 |
1078 |
1145 |
2746 |
3279 |
||
(iii) Deductions during the year |
39 |
111 |
121 |
162 |
4 |
1 |
154 |
191 |
136 |
546 |
454 |
1010 |
||
(iv) Depreciation to date |
1985 |
3081 |
3577 |
4622 |
78 |
90 |
1061 |
1138 |
1403 |
3058 |
8104 |
11989 |
||
11. Other Assets |
21559 |
24078 |
38188 |
33221 |
5372 |
5389 |
6455 |
10329 |
11148 |
16006 |
82722 |
89024 |
||
(i) Inter - office adjustments (net) |
1458 |
392 |
2615 |
2683 |
330 |
307 |
55 |
276 |
35 |
122 |
4493 |
3781 |
||
(ii) Interest accrued |
7344 |
7742 |
9736 |
9142 |
1720 |
1917 |
1387 |
927 |
4159 |
4546 |
24346 |
24274 |
||
(iii) Tax paid in advance/ tax deducted at source |
2571 |
2305 |
4414 |
4354 |
42 |
55 |
1084 |
1348 |
2111 |
2779 |
10222 |
10841 |
||
(iv) Stationery and Stamps |
105 |
104 |
99 |
80 |
19 |
18 |
2 |
7 |
25 |
23 |
249 |
233 |
||
(v) Others, if any |
10081 |
13536 |
21324 |
16962 |
3261 |
3092 |
3928 |
7770 |
4818 |
8535 |
43412 |
49895 |
||
Total Assets |
449509 |
493954 |
706228 |
791281 |
56802 |
61743 |
112096 |
116384 |
267680 |
295127 |
1592315 |
1758489 |
||
|
||||||||||||||
@ : See 'Explanatory Notes'. |
||||||||||||||
Source: Annual accounts of banks of respective years |