Appendix Table III.1(A): Consolidated Balance Sheet of Public Sector Banks - આરબીઆઈ - Reserve Bank of India
Appendix Table III.1(A): Consolidated Balance Sheet of Public Sector Banks
(As at end-March) |
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(Amount in Rs. crore) |
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Item |
Public Sector Banks |
Nationalised Banks |
State Bank Group |
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2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
|||||||||
Amount |
per cent |
Amount |
per cent |
Amount |
per cent |
Amount |
per cent |
Amount |
per cent |
Amount |
per cent |
|||
to total |
to total |
to total |
to total |
to total |
to total |
|||||||||
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 |
11 |
12 |
13 |
||
1. |
Capital |
14,175.38 |
1.10 |
14,675.56 |
1.00 |
13,139.58 |
1.66 |
13,639.76 |
1.48 |
1,035.80 |
0.21 |
1,035.80 |
0.19 |
|
2. |
Reserves and Surplus |
51,407.17 |
4.00 |
64,548.91 |
4.39 |
29,310.15 |
3.71 |
37,835.43 |
4.10 |
22,097.02 |
4.47 |
26,713.48 |
4.86 |
|
3. |
Deposits |
10,79,167.36 |
83.96 |
12,26,837.56 |
83.38 |
6,88,081.00 |
87.00 |
7,93,946.95 |
86.10 |
3,91,086.36 |
79.09 |
4,32,890.61 |
78.81 |
|
3.1 |
Demand Deposits |
1,26,650.68 |
9.85 |
1,41,223.07 |
9.60 |
69,999.20 |
8.85 |
77,727.56 |
8.43 |
56,651.48 |
11.46 |
63,495.51 |
11.56 |
|
3.2 |
Savings Bank Deposits |
2,67,173.81 |
20.79 |
3,21,016.66 |
21.82 |
1,79,250.82 |
22.66 |
2,14,311.31 |
23.24 |
87,922.99 |
17.78 |
1,06,705.35 |
19.43 |
|
3.3 |
Term Deposits |
6,85,342.87 |
53.32 |
7,64,597.83 |
51.96 |
4,38,830.98 |
55.48 |
5,01,908.08 |
54.43 |
2,46,511.89 |
49.85 |
2,62,689.75 |
47.83 |
|
4. |
Borrowings |
22,425.00 |
1.74 |
30,735.81 |
2.09 |
10,832.44 |
1.37 |
13,920.38 |
1.51 |
11,592.56 |
2.34 |
16,815.43 |
3.06 |
|
5. |
Other Liabilities and Provisions |
1,18,235.70 |
9.20 |
1,34,629.83 |
9.15 |
49,575.88 |
6.27 |
62,828.05 |
6.81 |
68,659.82 |
13.89 |
71,801.78 |
13.07 |
|
Total Liabilities |
12,85,410.61 |
100.00 |
14,71,427.67 |
100.00 |
7,90,939.05 |
100.00 |
9,22,170.57 |
100.00 |
4,94,471.56 |
100.00 |
5,49,257.10 |
100.00 |
||
1. |
Cash and balances with RBI |
65,166.59 |
5.07 |
84,241.76 |
5.73 |
46,054.46 |
5.82 |
58,079.66 |
6.30 |
19,112.13 |
3.87 |
26,162.10 |
4.76 |
|
2. |
Balances with banks and |
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money at call and short notice |
57,731.97 |
4.49 |
57,448.65 |
3.90 |
22,794.24 |
2.88 |
30,115.15 |
3.27 |
34,937.73 |
7.07 |
27,333.50 |
4.98 |
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3. |
Investments |
5,45,635.87 |
42.45 |
6,25,677.68 |
42.52 |
3,22,301.60 |
40.75 |
3,77,903.75 |
40.98 |
2,23,334.27 |
45.17 |
2,47,773.93 |
45.11 |
|
3.1 |
In Government Securities (a+b) |
4,32,243.22 |
33.63 |
5,10,231.77 |
34.68 |
2,44,174.72 |
30.87 |
2,96,022.58 |
32.10 |
1,88,068.50 |
38.03 |
2,14,209.19 |
39.00 |
|
a. In India |
4,29,089.65 |
33.38 |
5,07,451.67 |
34.49 |
2,41,402.53 |
30.52 |
2,93,445.42 |
31.82 |
1,87,687.12 |
37.96 |
2,14,006.25 |
38.96 |
||
b. Outside India |
3,153.57 |
0.25 |
2,780.10 |
0.19 |
2,772.19 |
0.35 |
2,577.16 |
0.28 |
381.38 |
0.08 |
202.94 |
0.04 |
||
3.2 |
In other approved Securities |
18,164.82 |
1.41 |
17,137.45 |
1.16 |
12,367.80 |
1.56 |
11,784.71 |
1.28 |
5,797.02 |
1.17 |
5,352.74 |
0.97 |
|
3.3 |
In non-approved Securities |
95,227.83 |
7.41 |
98,308.46 |
6.68 |
65,759.08 |
8.31 |
70,096.46 |
7.60 |
29,468.75 |
5.96 |
28,212.00 |
5.14 |
|
4. |
Loans and Advances |
5,48,436.62 |
42.67 |
6,32,739.70 |
43.00 |
3,59,232.74 |
45.42 |
4,12,223.90 |
44.70 |
1,89,203.88 |
38.26 |
2,20,515.80 |
40.15 |
|
4.1 |
Bills purchased & discounted |
41,897.95 |
3.26 |
47,926.01 |
3.26 |
24,273.05 |
3.07 |
26,938.87 |
2.92 |
17,624.90 |
3.56 |
20,987.14 |
3.82 |
|
4.2 |
Cash Credit, Overdrafts, etc. |
2,91,680.91 |
22.69 |
2,99,612.46 |
20.36 |
1,94,231.10 |
24.56 |
1,99,723.35 |
21.66 |
97,449.81 |
19.71 |
99,889.11 |
18.19 |
|
4.3 |
Term Loans |
2,14,857.76 |
16.72 |
2,85,201.23 |
19.38 |
1,40,728.59 |
17.79 |
1,85,561.68 |
20.12 |
74,129.17 |
14.99 |
99,639.55 |
18.14 |
|
5. |
Fixed Assets |
10,592.99 |
0.82 |
11,527.56 |
0.78 |
7,667.66 |
0.97 |
8,178.06 |
0.89 |
2,925.33 |
0.59 |
3,349.50 |
0.61 |
|
6. |
Other Assets |
57,846.57 |
4.50 |
59,792.32 |
4.06 |
32,888.35 |
4.16 |
35,670.05 |
3.87 |
24,958.22 |
5.05 |
24,122.27 |
4.39 |
|
Total Assets |
12,85,410.61 |
100.00 |
14,71,427.67 |
100.00 |
7,90,939.05 |
100.00 |
9,22,170.57 |
100.00 |
4,94,471.56 |
100.00 |
5,49,257.10 |
100.00 |
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Source : Balance Sheets of respective banks. |