B1 : Liabilities and Assets of Scheduled Commercial Banks : 2003 and 2004 (Part 3 of 7) - આરબીઆઈ - Reserve Bank of India
B1 : Liabilities and Assets of Scheduled Commercial Banks : 2003 and 2004 (Part 3 of 7)
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|
|
|
|
|
(Amount in Rs. lakh) |
|
As on March 31 |
||||||
ABN Amro Bank |
Abu-dhabi Commercial Bank |
American Express Bank |
||||
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
|
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
1. Capital |
16902 |
16902 |
20 |
20 |
4777 |
6240 |
( 1.8) |
( 1.6) |
(0.0) |
(0.0) |
( 1.5) |
( 1.8) |
|
2. Reserves and Surplus |
76736 |
98266 |
6225 |
7189 |
20520 |
18163 |
( 8.2) |
( 9.3) |
( 3.3) |
( 3.7) |
( 6.5) |
( 5.3) |
|
2.1. Statutory Reserves |
15973 |
20842 |
1066 |
1307 |
10176 |
10176 |
2.2. Capital Reserves |
22 |
163 |
12 |
12 |
837 |
837 |
2.3. Share Premium |
0 |
0 |
0 |
0 |
0 |
0 |
2.4. Investments Fluctuations Reserves |
6374 |
10000 |
450 |
880 |
456 |
456 |
2.5. Revenue and other Reserves |
17668 |
19718 |
2561 |
2561 |
741 |
741 |
2.6. Balance of Profit |
36699 |
47543 |
2136 |
2429 |
8310 |
5953 |
3. Deposits |
502230 |
585644 |
176864 |
181598 |
238793 |
278853 |
( 53.5) |
( 55.2) |
( 92.6) |
( 92.8) |
( 75.3) |
( 81.9) |
|
Type-wise |
||||||
3A.1. Demand deposits |
150427 |
195072 |
7072 |
5677 |
40146 |
50309 |
(i) From banks |
916 |
1087 |
67 |
334 |
4791 |
7397 |
(ii) From others |
149511 |
193985 |
7005 |
5343 |
35355 |
42912 |
3A.2. Savings bank deposits |
87617 |
134364 |
4464 |
6920 |
14435 |
18560 |
3A.3. Term deposits |
264186 |
256208 |
165328 |
169001 |
184212 |
209984 |
(i) From banks |
118231 |
113166 |
117528 |
106252 |
118155 |
114087 |
(ii) From others |
145955 |
143042 |
47800 |
62749 |
66057 |
95897 |
Location-Wise |
||||||
3B.1. Deposits of branches in India |
502230 |
585644 |
176865 |
181598 |
238793 |
278852 |
3B.2. Deposits of branches outside India |
0 |
0 |
0 |
0 |
0 |
0 |
4. Borrowings |
289050 |
292494 |
1000 |
0 |
30000 |
13201 |
( 30.8) |
( 27.6) |
(0.5) |
0 |
( 9.5) |
( 3.9) |
|
4.1. Borrowings in India |
164203 |
292494 |
1000 |
0 |
30000 |
10000 |
(i) From Reserve Bank of India |
0 |
0 |
0 |
0 |
0 |
0 |
(ii) From other banks |
140964 |
282900 |
1000 |
0 |
30000 |
10000 |
(iii) From other institutions and agencies |
23239 |
9594 |
0 |
0 |
0 |
0 |
4.2. Borrowings outside India |
124847 |
0 |
0 |
0 |
0 |
3201 |
Secured borrowings included in 4. |
0 |
0 |
0 |
0 |
0 |
0 |
5. Other liabilities |
53519 |
67672 |
6798 |
6831 |
22997 |
23891 |
( 5.7) |
( 6.4) |
( 3.6) |
( 3.5) |
( 7.3) |
(7.0) |
|
5.1. Bills Payable |
12485 |
17670 |
590 |
260 |
3278 |
2156 |
5.2. Inter-office adjustments |
542 |
154 |
169 |
98 |
986 |
1363 |
5.3. Interest accured |
4566 |
4684 |
5326 |
5803 |
4505 |
3949 |
5.4. Others (including provisions) |
35926 |
45164 |
713 |
670 |
14228 |
16423 |
Total Liabilities |
938437 |
1060978 |
190907 |
195638 |
317087 |
340348 |
|
( 100) |
( 100) |
( 100) |
( 100) |
( 100) |
( 100) |
TABLE B1 : LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004 |
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FOREIGN BANKS |
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|
|
|
|
|
(Amount in Rs. lakh) |
|
|
As on March 31 |
|||||
|
ABN Amro Bank |
Abu-dhabi Commercial Bank |
American Express Bank |
|||
|
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
1 Cash in hand |
3077 |
4513 |
88 |
76 |
1083 |
838 |
|
(0.3) |
(0.4) |
(0.0) |
(0.0) |
(0.3) |
(0.2) |
2. Balances with RBI |
33446 |
46360 |
4334 |
8152 |
8758 |
12826 |
|
( 3.6) |
( 4.4) |
( 2.3) |
( 4.2) |
( 2.8) |
( 3.8) |
3. Balances with banks in india |
2099 |
1273 |
4803 |
16861 |
18876 |
15401 |
|
(0.2) |
(0.1) |
( 2.5) |
( 8.6) |
(6.0) |
( 4.5) |
4. Money at call and short notice |
0 |
1361 |
0 |
0 |
18250 |
62186 |
|
0 |
(0.1) |
0 |
0 |
( 5.8) |
( 18.3) |
5. Balances with banks outside India |
5118 |
2029 |
6257 |
4811 |
11237 |
12295 |
|
(0.5) |
(0.2) |
( 3.3) |
( 2.5) |
( 3.5) |
( 3.6) |
6. Investments |
298498 |
291747 |
132734 |
135385 |
108739 |
81217 |
|
( 31.8) |
( 27.5) |
( 69.5) |
( 69.2) |
( 34.3) |
( 23.9) |
6.1. Investments in India |
298498 |
291747 |
132734 |
135385 |
108739 |
81217 |
(i) Government securities |
259349 |
222646 |
48343 |
61476 |
71347 |
57615 |
(ii) Other approved securities |
987 |
592 |
510 |
345 |
0 |
0 |
(iii) Shares |
11 |
30 |
0 |
0 |
102 |
42 |
(iv) Debentures and Bonds |
38151 |
68279 |
83723 |
73564 |
36302 |
19224 |
(v) Subsidiaries and/or joint ventures |
0 |
0 |
0 |
0 |
0 |
0 |
(vi) Others |
0 |
200 |
158 |
0 |
988 |
4336 |
6.2. Investments outside India |
0 |
0 |
0 |
0 |
0 |
0 |
(i) Government securities |
0 |
0 |
0 |
0 |
0 |
0 |
(ii) Subsidiaries and/or joint ventures |
0 |
0 |
0 |
0 |
0 |
0 |
(iii) Others |
0 |
0 |
0 |
0 |
0 |
0 |
7. Advances |
544709 |
669658 |
27370 |
16758 |
119009 |
126260 |
|
( 58) |
( 63.1) |
( 14.3) |
( 8.6) |
( 37.5) |
( 37.1) |
Type-wise |
|
|
|
|
|
|
7A.1. Bills purchased and discounted |
97957 |
121073 |
8112 |
5537 |
5847 |
4714 |
7A.2. Cash credits, overdrafts & loans |
296331 |
339925 |
15107 |
8265 |
65594 |
78091 |
7A.3. Term loans |
150421 |
208660 |
4151 |
2956 |
47568 |
43455 |
Security-wise |
|
|
|
|
|
|
7B.1. Secured by tangible assets |
334223 |
417962 |
19526 |
12449 |
30551 |
26937 |
7B.2. Covered by Bank/Govt. Guarantees |
97233 |
140819 |
4830 |
1911 |
10339 |
24139 |
7B.3. Unsecured |
113253 |
110878 |
3015 |
2398 |
78119 |
75184 |
Sector-wise |
|
|
|
|
|
|
7C.I. Advances in India |
544709 |
669659 |
27371 |
16756 |
119009 |
126260 |
(i) Priority sectors |
147986 |
189158 |
7913 |
2556 |
17213 |
15110 |
(ii) Public sectors |
1036 |
0 |
1161 |
57 |
0 |
0 |
(iii) Banks |
0 |
60 |
4830 |
1911 |
0 |
0 |
(iv) others |
395687 |
480441 |
13467 |
12232 |
101796 |
111150 |
7C.II. Advances outside India |
0 |
0 |
0 |
0 |
0 |
0 |
8. Fixed Assets |
8932 |
8660 |
812 |
787 |
8265 |
7889 |
|
(1.0) |
(0.8) |
(0.4) |
(0.4) |
( 2.6) |
( 2.3) |
8.1. Premises |
2873 |
2761 |
613 |
619 |
2370 |
2176 |
8.2. Fixed assets under construction |
0 |
0 |
0 |
0 |
0 |
0 |
8.3. Other Fixed assets |
6059 |
5899 |
199 |
168 |
5895 |
5713 |
9. Other Assets |
42557 |
35373 |
14510 |
12809 |
22870 |
21430 |
|
( 4.5) |
( 3.3) |
( 7.6) |
( 6.5) |
( 7.2) |
( 6.3) |
9.1 Inter - office adjustments (net) |
0 |
0 |
0 |
0 |
0 |
0 |
9.2 Interest accrued |
10417 |
8765 |
5221 |
4659 |
4303 |
4400 |
9.3 Tax paid |
3157 |
1237 |
8934 |
7559 |
5324 |
8347 |
9.4 Stationery and Stamps |
0 |
0 |
0 |
0 |
0 |
0 |
9.5 Others |
28983 |
25371 |
355 |
591 |
13243 |
8683 |
Total Assets |
938436 |
1060974 |
190908 |
195639 |
317087 |
340342 |
|
( 100) |
( 100) |
( 100) |
( 100) |
( 100) |
( 100) |
TABLE B1 : LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004 |
|||||||
FOREIGN BANKS |
|||||||
|
|
|
|
|
(Amount in Rs. lakh) |
||
As on March 31 |
|||||||
Antwerp Diamond Bank |
Arab Bangladesh Bank |
Bank International |
|||||
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
||
|
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
|
1. Capital |
11471 |
11471 |
3698 |
3698 |
7338 |
7338 |
|
( 46.3) |
( 22.8) |
( 40) |
( 48.8) |
( 85.9) |
( 70.8) |
||
2. Reserves and Surplus |
89 |
680 |
597 |
725 |
129 |
130 |
|
(0.4) |
( 1.4) |
( 6.5) |
( 9.6) |
( 1.5) |
( 1.3) |
||
2.1. Statutory Reserves |
22 |
170 |
316 |
403 |
126 |
126 |
|
2.2. Capital Reserves |
0 |
335 |
0 |
0 |
0 |
0 |
|
2.3. Share Premium |
0 |
0 |
0 |
0 |
0 |
0 |
|
2.4. Investments Fluctuations Reserves |
0 |
0 |
35 |
51 |
3 |
0 |
|
2.5. Revenue and other Reserves |
0 |
0 |
0 |
0 |
0 |
4 |
|
2.6. Balance of Profit |
67 |
175 |
246 |
271 |
0 |
0 |
|
3. Deposits |
3698 |
4444 |
4618 |
3092 |
894 |
1291 |
|
( 14.9) |
( 8.8) |
( 50) |
( 40.8) |
( 10.5) |
( 12.5) |
||
Type-wise |
|||||||
3A.1. Demand deposits |
3299 |
3744 |
2996 |
1732 |
189 |
440 |
|
(i) From banks |
0 |
3194 |
1960 |
1097 |
0 |
0 |
|
(ii) From others |
3299 |
550 |
1036 |
635 |
189 |
440 |
|
3A.2. Savings bank deposits |
2 |
9 |
76 |
55 |
29 |
41 |
|
3A.3. Term deposits |
397 |
691 |
1546 |
1305 |
676 |
810 |
|
(i) From banks |
0 |
0 |
1428 |
1025 |
0 |
0 |
|
(ii) From others |
397 |
691 |
118 |
280 |
676 |
810 |
|
Location-Wise |
|||||||
3B.1. Deposits of branches in India |
3697 |
4444 |
4619 |
3093 |
894 |
1292 |
|
3B.2. Deposits of branches outside India |
0 |
0 |
0 |
0 |
0 |
0 |
|
4. Borrowings |
3618 |
27436 |
200 |
0 |
0 |
1312 |
|
( 14.6) |
( 54.6) |
( 2.2) |
0 |
0 |
( 12.7) |
||
4.1. Borrowings in India |
0 |
500 |
200 |
0 |
0 |
0 |
|
(i) From Reserve Bank of India |
0 |
0 |
0 |
0 |
0 |
0 |
|
(ii) From other banks |
0 |
500 |
200 |
0 |
0 |
0 |
|
(iii) From other institutions and agencies |
0 |
0 |
0 |
0 |
0 |
0 |
|
4.2. Borrowings outside India |
3618 |
26936 |
0 |
0 |
0 |
1312 |
|
Secured borrowings included in 4. |
0 |
0 |
0 |
0 |
0 |
0 |
|
5. Other liabilities |
5897 |
6209 |
124 |
58 |
183 |
293 |
|
( 23.8) |
( 12.4) |
( 1.3) |
(0.8) |
( 2.1) |
( 2.8) |
||
5.1. Bills Payable |
17 |
166 |
0 |
0 |
53 |
70 |
|
5.2. Inter-office adjustments |
0 |
0 |
0 |
0 |
0 |
0 |
|
5.3. Interest accured |
39 |
69 |
10 |
7 |
4 |
5 |
|
5.4. Others (including provisions) |
5841 |
5974 |
114 |
51 |
126 |
218 |
|
Total Liabilities |
24773 |
50240 |
9237 |
7573 |
8544 |
10364 |
|
|
( 100) |
( 100) |
( 100) |
( 100) |
( 100) |
( 100) |
|
Note : Figures in brackets indicate per cent share in total . |
|||||||
Source : Annual accounts of banks of respective years . |
TABLE B1 : LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004 |
||||||
FOREIGN BANKS |
||||||
(Amount in Rs. lakh) |
||||||
|
As on March 31 |
|||||
|
Antwerp Diamond Bank |
Arab Bangladesh Bank |
Bank International Indonesia |
|||
|
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
|
(7) |
(8) |
(9) |
(10) |
(11) |
(12) |
1 Cash in hand |
0 |
0 |
22 |
19 |
15 |
26 |
|
0 |
0 |
(0.2) |
(0.3) |
(0.2) |
(0.3) |
2. Balances with RBI |
400 |
1316 |
58 |
64 |
36 |
169 |
|
( 1.6) |
( 2.6) |
(0.6) |
(0.8) |
(0.4) |
( 1.6) |
3. Balances with banks in india |
11 |
811 |
3651 |
3187 |
72 |
3170 |
|
(0.0) |
( 1.6) |
( 39.5) |
( 42.1) |
(0.8) |
( 30.6) |
4. Money at call and short notice |
1399 |
8022 |
0 |
50 |
0 |
350 |
|
( 5.6) |
( 16) |
0 |
(0.7) |
0 |
( 3.4) |
5. Balances with banks outside India |
21 |
5 |
2062 |
1279 |
110 |
157 |
|
(0.1) |
(0.0) |
( 22.3) |
( 16.9) |
( 1.3) |
( 1.5) |
6. Investments |
4739 |
9583 |
912 |
1013 |
1665 |
1247 |
|
( 19.1) |
( 19.1) |
( 9.9) |
( 13.4) |
( 19.5) |
( 12) |
6.1. Investments in India |
4739 |
9583 |
912 |
1013 |
1665 |
1247 |
(i) Government securities |
4739 |
9583 |
912 |
813 |
1415 |
816 |
(ii) Other approved securities |
0 |
0 |
0 |
0 |
0 |
431 |
(iii) Shares |
0 |
0 |
0 |
0 |
0 |
0 |
(iv) Debentures and Bonds |
0 |
0 |
0 |
0 |
250 |
0 |
(v) Subsidiaries and/or joint ventures |
0 |
0 |
0 |
0 |
0 |
0 |
(vi) Others |
0 |
0 |
0 |
200 |
0 |
0 |
6.2. Investments outside India |
0 |
0 |
0 |
0 |
0 |
0 |
(i) Government securities |
0 |
0 |
0 |
0 |
0 |
0 |
(ii) Subsidiaries and/or joint ventures |
0 |
0 |
0 |
0 |
0 |
0 |
(iii) Others |
0 |
0 |
0 |
0 |
0 |
0 |
7. Advances |
17596 |
29775 |
1737 |
1182 |
1831 |
345 |
|
( 71) |
( 59.3) |
( 18.8) |
( 15.6) |
( 21.4) |
( 3.3) |
Type-wise |
|
|
|
|
|
|
7A.1. Bills purchased and discounted |
0 |
0 |
436 |
460 |
1213 |
25 |
7A.2. Cash credits, overdrafts & loans |
17534 |
29667 |
1158 |
579 |
618 |
320 |
7A.3. Term loans |
62 |
108 |
143 |
143 |
0 |
0 |
Security-wise |
|
|
|
|
|
|
7B.1. Secured by tangible assets |
17582 |
29757 |
376 |
450 |
618 |
30 |
7B.2. Covered by Bank/Govt. Guarantees |
0 |
0 |
1360 |
732 |
1213 |
0 |
7B.3. Unsecured |
14 |
18 |
0 |
0 |
0 |
315 |
Sector-wise |
|
|
|
|
|
|
7C.I. Advances in India |
17596 |
29775 |
1737 |
1182 |
1830 |
345 |
(i) Priority sectors |
17528 |
29667 |
849 |
368 |
313 |
67 |
(ii) Public sectors |
0 |
0 |
0 |
0 |
0 |
0 |
(iii) Banks |
0 |
0 |
0 |
0 |
0 |
0 |
(iv) others |
68 |
108 |
888 |
814 |
1517 |
278 |
7C.II. Advances outside India |
0 |
0 |
0 |
0 |
0 |
0 |
8. Fixed Assets |
361 |
293 |
56 |
42 |
804 |
757 |
|
( 1.5) |
(0.6) |
(0.6) |
(0.6) |
( 9.4) |
( 7.3) |
8.1. Premises |
0 |
0 |
0 |
0 |
792 |
735 |
8.2. Fixed assets under construction |
0 |
0 |
0 |
0 |
0 |
0 |
8.3. Other Fixed assets |
361 |
293 |
56 |
42 |
12 |
22 |
9. Other Assets |
247 |
436 |
742 |
740 |
4010 |
4141 |
|
(1.0) |
(0.9) |
(8.0) |
( 9.8) |
( 46.9) |
( 40) |
9.1 Inter - office adjustments (net) |
0 |
0 |
0 |
0 |
0 |
0 |
9.2 Interest accrued |
142 |
339 |
81 |
86 |
26 |
67 |
9.3 Tax paid |
12 |
33 |
36 |
29 |
122 |
78 |
9.4 Stationery and Stamps |
0 |
0 |
1 |
1 |
0 |
0 |
9.5 Others |
93 |
64 |
624 |
624 |
3862 |
3996 |
Total Assets |
24774 |
50241 |
9240 |
7576 |
8543 |
10362 |
|
( 100) |
( 100) |
( 100) |
( 100) |
( 100) |
( 100) |
TABLE B1 : LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004 |
||||||
FOREIGN BANKS |
||||||
(Amount in Rs. lakh) |
||||||
As on March 31 |
||||||
Bank Muscat International# |
Bank of America |
Bank of Bahrain |
||||
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
|
|
(13) |
(14) |
(15) |
(16) |
(17) |
(18) |
1. Capital |
4400 |
|
20 |
20 |
5840 |
5840 |
( 17.3) |
(0.0) |
(0.0) |
( 8.5) |
( 8.5) |
||
2. Reserves and Surplus |
238 |
63579 |
69995 |
3291 |
3374 |
|
(0.9) |
( 12.9) |
( 13.7) |
( 4.8) |
( 4.9) |
||
2.1. Statutory Reserves |
80 |
24544 |
26148 |
1170 |
1190 |
|
2.2. Capital Reserves |
0 |
31107 |
41060 |
37 |
37 |
|
2.3. Share Premium |
0 |
0 |
0 |
0 |
0 |
|
2.4. Investments Fluctuations Reserves |
22 |
1003 |
2003 |
379 |
441 |
|
2.5. Revenue and other Reserves |
136 |
6925 |
784 |
1269 |
1270 |
|
2.6. Balance of Profit |
0 |
0 |
0 |
436 |
436 |
|
3. Deposits |
20275 |
154499 |
158921 |
47620 |
43325 |
|
( 79.6) |
( 31.4) |
( 31.1) |
( 68.9) |
( 63.1) |
||
Type-wise |
||||||
3A.1. Demand deposits |
360 |
62994 |
89131 |
2209 |
3158 |
|
(i) From banks |
2 |
1786 |
12898 |
35 |
157 |
|
(ii) From others |
358 |
61208 |
76233 |
2174 |
3001 |
|
3A.2. Savings bank deposits |
681 |
11021 |
10081 |
1764 |
4339 |
|
3A.3. Term deposits |
19234 |
80484 |
59709 |
43647 |
35828 |
|
(i) From banks |
8398 |
0 |
24 |
9706 |
7577 |
|
(ii) From others |
10836 |
80484 |
59685 |
33941 |
28251 |
|
Location-Wise |
||||||
3B.1. Deposits of branches in India |
20274 |
154498 |
158921 |
47620 |
43325 |
|
3B.2. Deposits of branches outside India |
0 |
0 |
0 |
0 |
0 |
|
4. Borrowings |
0 |
253104 |
252584 |
10287 |
14072 |
|
0 |
( 51.5) |
( 49.4) |
( 14.9) |
( 20.5) |
||
4.1. Borrowings in India |
0 |
186183 |
46541 |
7200 |
9700 |
|
(i) From Reserve Bank of India |
0 |
1000 |
0 |
0 |
0 |
|
(ii) From other banks |
0 |
136186 |
39871 |
7200 |
8600 |
|
(iii) From other institutions and agencies |
0 |
48997 |
6670 |
0 |
1100 |
|
4.2. Borrowings outside India |
0 |
66921 |
206043 |
3087 |
4372 |
|
Secured borrowings included in 4. |
0 |
0 |
0 |
0 |
0 |
|
5. Other liabilities |
565 |
20096 |
29562 |
2067 |
2080 |
|
( 2.2) |
( 4.1) |
( 5.8) |
(3.0) |
(3.0) |
||
5.1. Bills Payable |
119 |
4833 |
8076 |
224 |
563 |
|
5.2. Inter-office adjustments |
0 |
0 |
0 |
0 |
0 |
|
5.3. Interest accured |
124 |
2293 |
1838 |
638 |
442 |
|
5.4. Others (including provisions) |
322 |
12970 |
19648 |
1205 |
1075 |
|
Total Liabilities |
25478 |
491298 |
511082 |
69105 |
68691 |
|
|
( 100) |
|
( 100) |
( 100) |
( 100) |
( 100) |
Note : Figures in brackets indicate per cent share in total . |
||||||
# : See 'Explanatory Notes' |
||||||
Source : Annual accounts of banks of respective years . |
TABLE B1 : LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004 |
||||||
FOREIGN BANKS |
||||||
(Amount in Rs. lakh) |
||||||
|
As on March 31 |
|||||
|
Bank Muscat International |
Bank of America |
Bank of Bahrain |
|||
|
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
|
(13) |
(14) |
(15) |
(16) |
(17) |
(18) |
1 Cash in hand |
68 |
|
831 |
887 |
56 |
75 |
|
(0.3) |
|
(0.2) |
(0.2) |
(0.1) |
(0.1) |
2. Balances with RBI |
598 |
|
9682 |
22305 |
1685 |
2065 |
|
( 2.3) |
|
(2.0) |
( 4.4) |
( 2.4) |
(3.0) |
3. Balances with banks in india |
1318 |
|
129 |
647 |
14 |
5 |
|
( 5.2) |
|
(0.0) |
(0.1) |
(0.0) |
(0.0) |
4. Money at call and short notice |
0 |
|
2374 |
0 |
3828 |
1137 |
|
0 |
|
(0.5) |
0 |
( 5.5) |
( 1.7) |
5. Balances with banks outside India |
464 |
|
1916 |
15179 |
279 |
373 |
|
( 1.8) |
|
(0.4) |
(3.0) |
(0.4) |
(0.5) |
6. Investments |
7395 |
|
130049 |
138144 |
25483 |
31706 |
|
( 29) |
|
( 26.5) |
( 27) |
( 36.9) |
( 46.2) |
6.1. Investments in India |
7395 |
|
130049 |
138144 |
25483 |
31706 |
(i) Government securities |
5020 |
|
112616 |
130204 |
21417 |
25421 |
(ii) Other approved securities |
0 |
|
68 |
68 |
50 |
50 |
(iii) Shares |
0 |
|
6 |
6 |
351 |
341 |
(iv) Debentures and Bonds |
200 |
|
1006 |
0 |
3665 |
4594 |
(v) Subsidiaries and/or joint ventures |
0 |
|
0 |
0 |
0 |
0 |
(vi) Others |
2175 |
|
16353 |
7866 |
0 |
1300 |
6.2. Investments outside India |
0 |
|
0 |
0 |
0 |
0 |
(i) Government securities |
0 |
|
0 |
0 |
0 |
0 |
(ii) Subsidiaries and/or joint ventures |
0 |
|
0 |
0 |
0 |
0 |
(iii) Others |
0 |
|
0 |
0 |
0 |
0 |
7. Advances |
14629 |
|
329814 |
305930 |
35276 |
30374 |
|
( 57.4) |
|
( 67.1) |
( 59.9) |
( 51) |
( 44.2) |
Type-wise |
|
|
|
|
|
|
7A.1. Bills purchased and discounted |
1086 |
|
43488 |
66790 |
8749 |
10973 |
7A.2. Cash credits, overdrafts & loans |
3523 |
|
259718 |
228273 |
7363 |
5070 |
7A.3. Term loans |
10020 |
|
26608 |
10867 |
19164 |
14331 |
Security-wise |
|
|
|
|
|
|
7B.1. Secured by tangible assets |
12297 |
|
149160 |
137849 |
26196 |
20905 |
7B.2. Covered by Bank/Govt. Guarantees |
110 |
|
43871 |
6899 |
5089 |
7720 |
7B.3. Unsecured |
2222 |
|
136784 |
161181 |
3991 |
1749 |
Sector-wise |
|
|
|
|
|
|
7C.I. Advances in India |
14629 |
|
329814 |
305930 |
35275 |
30373 |
(i) Priority sectors |
1424 |
|
81602 |
97516 |
5678 |
4166 |
(ii) Public sectors |
102 |
|
10011 |
0 |
212 |
109 |
(iii) Banks |
0 |
|
5199 |
4336 |
0 |
0 |
(iv) others |
13103 |
|
233002 |
204078 |
29385 |
26098 |
7C.II. Advances outside India |
0 |
|
0 |
0 |
0 |
0 |
8. Fixed Assets |
239 |
|
2920 |
3187 |
985 |
857 |
|
(0.9) |
|
(0.6) |
(0.6) |
( 1.4) |
( 1.2) |
8.1. Premises |
0 |
|
1693 |
1558 |
449 |
440 |
8.2. Fixed assets under construction |
0 |
|
143 |
0 |
0 |
0 |
8.3. Other Fixed assets |
239 |
|
1084 |
1629 |
536 |
417 |
9. Other Assets |
766 |
|
13582 |
24801 |
1501 |
2099 |
|
(3.0) |
|
( 2.8) |
( 4.9) |
( 2.2) |
( 3.1) |
9.1 Inter - office adjustments (net) |
0 |
|
1067 |
11788 |
0 |
0 |
9.2 Interest accrued |
314 |
|
3443 |
2551 |
315 |
443 |
9.3 Tax paid |
59 |
|
757 |
2110 |
375 |
441 |
9.4 Stationery and Stamps |
0 |
|
0 |
0 |
0 |
0 |
9.5 Others |
393 |
|
8315 |
8352 |
811 |
1215 |
Total Assets |
25477 |
|
491297 |
511080 |
69107 |
68691 |
|
( 100) |
|
( 100) |
( 100) |
( 100) |
( 100) |
TABLE B1 : LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004 |
||||||
FOREIGN BANKS |
||||||
(Amount in Rs. lakh) |
||||||
As on March 31 |
||||||
Bank of Ceylon |
Bank of Nova Scotia |
Bank of Tokyo-Mitsubishi |
||||
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
|
|
(19) |
(20) |
(21) |
(22) |
(23) |
(24) |
1. Capital |
3809 |
3809 |
13513 |
13547 |
9978 |
9978 |
( 21.3) |
( 19) |
( 5.8) |
( 4.3) |
( 9.3) |
( 8.4) |
|
2. Reserves and Surplus |
1356 |
1425 |
11816 |
13368 |
23100 |
30660 |
( 7.6) |
( 7.1) |
( 5.1) |
( 4.3) |
( 21.5) |
( 25.9) |
|
2.1. Statutory Reserves |
424 |
445 |
3022 |
3470 |
7873 |
10118 |
2.2. Capital Reserves |
0 |
0 |
0 |
0 |
0 |
0 |
2.3. Share Premium |
0 |
0 |
0 |
0 |
0 |
0 |
2.4. Investments Fluctuations Reserves |
28 |
76 |
433 |
693 |
257 |
1617 |
2.5. Revenue and other Reserves |
0 |
0 |
6975 |
7905 |
13043 |
14103 |
2.6. Balance of Profit |
904 |
904 |
1386 |
1300 |
1927 |
4822 |
3. Deposits |
8534 |
10096 |
144948 |
169409 |
57733 |
57877 |
( 47.7) |
( 50.3) |
( 62.1) |
( 54.4) |
( 53.8) |
( 48.8) |
|
Type-wise |
||||||
3A.1. Demand deposits |
1581 |
1289 |
8103 |
8263 |
17837 |
23662 |
(i) From banks |
492 |
366 |
447 |
475 |
466 |
435 |
(ii) From others |
1089 |
923 |
7656 |
7788 |
17371 |
23227 |
3A.2. Savings bank deposits |
316 |
2398 |
1892 |
3234 |
7668 |
7931 |
3A.3. Term deposits |
6637 |
6409 |
134953 |
157912 |
32228 |
26284 |
(i) From banks |
0 |
0 |
37224 |
38799 |
0 |
0 |
(ii) From others |
6637 |
6409 |
97729 |
119113 |
32228 |
26284 |
Location-Wise |
||||||
3B.1. Deposits of branches in India |
8533 |
10096 |
144949 |
169409 |
57733 |
57877 |
3B.2. Deposits of branches outside India |
0 |
0 |
0 |
0 |
0 |
0 |
4. Borrowings |
2919 |
3059 |
52474 |
101651 |
0 |
4372 |
( 16.3) |
( 15.2) |
( 22.5) |
( 32.6) |
0 |
( 3.7) |
|
4.1. Borrowings in India |
125 |
0 |
20500 |
10500 |
0 |
0 |
(i) From Reserve Bank of India |
125 |
0 |
500 |
0 |
0 |
0 |
(ii) From other banks |
0 |
0 |
20000 |
5000 |
0 |
0 |
(iii) From other institutions and agencies |
0 |
0 |
0 |
5500 |
0 |
0 |
4.2. Borrowings outside India |
2794 |
3059 |
31974 |
91151 |
0 |
4372 |
Secured borrowings included in 4. |
0 |
0 |
0 |
0 |
0 |
0 |
5. Other liabilities |
1264 |
1702 |
10475 |
13709 |
16422 |
15701 |
( 7.1) |
( 8.5) |
( 4.5) |
( 4.4) |
( 15.3) |
( 13.2) |
|
5.1. Bills Payable |
155 |
58 |
669 |
970 |
1095 |
1591 |
5.2. Inter-office adjustments |
0 |
328 |
0 |
0 |
0 |
0 |
5.3. Interest accured |
0 |
1 |
841 |
1159 |
990 |
1181 |
5.4. Others (including provisions) |
1109 |
1315 |
8965 |
11580 |
14337 |
12929 |
Total Liabilities |
17882 |
20091 |
233226 |
311684 |
107233 |
118588 |
|
( 100) |
( 100) |
( 100) |
( 100) |
( 100) |
( 100) |
Note : Figures in brackets indicate per cent share in total . |
||||||
Source : Annual accounts of banks of respective years . |
TABLE B1 : LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004 |
|||||
FOREIGN BANKS |
|||||
|
|
|
(Amount in Rs. lakh) |
||
|
As on March 31 |
||||
|
Bank of Ceylon |
Bank of Nova Scotia |
|||
|
2003 |
2004 |
2003 |
2004 |
2004 |
|
(19) |
(20) |
(21) |
(22) |
(24) |
1 Cash in hand |
29 |
7 |
84 |
102 |
305 |
|
(0.2) |
(0.0) |
(0.0) |
(0.0) |
(0.3) |
2. Balances with RBI |
662 |
1959 |
6369 |
10226 |
2889 |
|
( 3.7) |
( 9.8) |
( 2.7) |
( 3.3) |
( 2.4) |
3. Balances with banks in india |
18 |
5584 |
126 |
5699 |
16179 |
|
(0.1) |
( 27.8) |
(0.1) |
( 1.8) |
( 13.6) |
4. Money at call and short notice |
3300 |
0 |
2989 |
5256 |
4200 |
|
( 18.5) |
0 |
( 1.3) |
( 1.7) |
( 3.5) |
5. Balances with banks outside India |
1321 |
372 |
682 |
655 |
166 |
|
( 7.4) |
( 1.9) |
(0.3) |
(0.2) |
(0.1) |
6. Investments |
2327 |
4464 |
65272 |
77244 |
32300 |
|
( 13) |
( 22.2) |
( 28) |
( 24.8) |
( 27.2) |
6.1. Investments in India |
2327 |
4464 |
65272 |
77244 |
275 |
(i) Government securities |
2327 |
723 |
57009 |
74003 |
0 |
(ii) Other approved securities |
0 |
3741 |
0 |
0 |
275 |
(iii) Shares |
0 |
0 |
0 |
0 |
0 |
(iv) Debentures and Bonds |
0 |
0 |
8263 |
3241 |
0 |
(v) Subsidiaries and/or joint ventures |
0 |
0 |
0 |
0 |
0 |
(vi) Others |
0 |
0 |
0 |
0 |
0 |
6.2. Investments outside India |
0 |
0 |
0 |
0 |
32025 |
(i) Government securities |
0 |
0 |
0 |
0 |
31477 |
(ii) Subsidiaries and/or joint ventures |
0 |
0 |
0 |
0 |
0 |
(iii) Others |
0 |
0 |
0 |
0 |
548 |
7. Advances |
8458 |
6283 |
145976 |
201920 |
42751 |
|
( 47.3) |
( 31.3) |
( 62.6) |
( 64.8) |
( 36) |
Type-wise |
|
|
|
|
|
7A.1. Bills purchased and discounted |
2337 |
1606 |
16070 |
14722 |
144 |
7A.2. Cash credits, overdrafts & loans |
5633 |
4463 |
32450 |
71985 |
36541 |
7A.3. Term loans |
488 |
214 |
97456 |
115213 |
6066 |
Security-wise |
|
|
|
|
|
7B.1. Secured by tangible assets |
7908 |
6007 |
102950 |
104112 |
28089 |
7B.2. Covered by Bank/Govt. Guarantees |
49 |
31 |
24596 |
67391 |
0 |
7B.3. Unsecured |
502 |
245 |
18430 |
30417 |
14662 |
Sector-wise |
|
|
|
|
|
7C.I. Advances in India |
8458 |
6284 |
145977 |
201920 |
42750 |
(i) Priority sectors |
5791 |
3949 |
57837 |
75111 |
356 |
(ii) Public sectors |
0 |
0 |
0 |
0 |
0 |
(iii) Banks |
0 |
0 |
0 |
0 |
0 |
(iv) others |
2667 |
2335 |
88140 |
126809 |
42394 |
7C.II. Advances outside India |
0 |
0 |
0 |
0 |
0 |
8. Fixed Assets |
26 |
17 |
706 |
623 |
1101 |
|
(0.1) |
(0.1) |
(0.3) |
(0.2) |
(0.9) |
8.1. Premises |
0 |
17 |
274 |
260 |
273 |
8.2. Fixed assets under construction |
0 |
0 |
0 |
0 |
0 |
8.3. Other Fixed assets |
26 |
0 |
432 |
363 |
828 |
9. Other Assets |
1741 |
1405 |
11022 |
9958 |
18698 |
|
( 9.7) |
(7.0) |
( 4.7) |
( 3.2) |
( 15.8) |
9.1 Inter - office adjustments (net) |
95 |
0 |
90 |
44 |
3734 |
9.2 Interest accrued |
0 |
0 |
2052 |
2535 |
1750 |
9.3 Tax paid |
1118 |
1296 |
2152 |
1240 |
12407 |
9.4 Stationery and Stamps |
5 |
4 |
1 |
1 |
0 |
9.5 Others |
523 |
105 |
6727 |
6138 |
807 |
Total Assets |
17882 |
20091 |
233226 |
311683 |
118589 |
|
( 100) |
( 100) |
( 100) |
( 100) |
( 100) |
TABLE B1 : LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004 |
|||||
FOREIGN BANKS |
|||||
|
|
|
(Amount in Rs. lakh) |
||
As on March 31 |
|||||
Barclays Bank |
BNP Paribas |
||||
2003 |
2004 |
2003 |
2004 |
2004 |
|
|
(25) |
(26) |
(27) |
(28) |
(30) |
1. Capital |
26260 |
26260 |
6283 |
19975 |
9818 |
( 35.6) |
( 19) |
( 2.3) |
( 6.7) |
( 14.2) |
|
2. Reserves and Surplus |
7144 |
14331 |
17136 |
15712 |
1988 |
( 9.7) |
( 10.4) |
( 6.3) |
( 5.2) |
( 2.9) |
|
2.1. Statutory Reserves |
1992 |
3789 |
3481 |
3481 |
1815 |
2.2. Capital Reserves |
5 |
5 |
583 |
583 |
0 |
2.3. Share Premium |
0 |
0 |
0 |
0 |
0 |
2.4. Investments Fluctuations Reserves |
1484 |
2234 |
0 |
0 |
261 |
2.5. Revenue and other Reserves |
131 |
130 |
15868 |
15751 |
391 |
2.6. Balance of Profit |
3532 |
8173 |
-2796 |
-4103 |
-479 |
3. Deposits |
10776 |
8952 |
157955 |
173711 |
49935 |
( 14.6) |
( 6.5) |
( 58) |
( 58) |
( 72.1) |
|
Type-wise |
|||||
3A.1. Demand deposits |
416 |
781 |
33523 |
41067 |
14346 |
(i) From banks |
13 |
105 |
55 |
291 |
120 |
(ii) From others |
403 |
676 |
33468 |
40776 |
14226 |
3A.2. Savings bank deposits |
84 |
35 |
4210 |
8506 |
884 |
3A.3. Term deposits |
10276 |
8136 |
120222 |
124138 |
34705 |
(i) From banks |
4257 |
6995 |
14320 |
19324 |
27170 |
(ii) From others |
6019 |
1141 |
105902 |
104814 |
7535 |
Location-Wise |
|||||
3B.1. Deposits of branches in India |
10775 |
8951 |
157956 |
173711 |
49935 |
3B.2. Deposits of branches outside India |
0 |
0 |
0 |
0 |
0 |
4. Borrowings |
24474 |
10841 |
70645 |
62289 |
4486 |
( 33.2) |
( 7.8) |
( 26) |
( 20.8) |
( 6.5) |
|
4.1. Borrowings in India |
20200 |
10841 |
59053 |
41806 |
2300 |
(i) From Reserve Bank of India |
0 |
0 |
887 |
0 |
2300 |
(ii) From other banks |
20200 |
10841 |
47300 |
24119 |
0 |
(iii) From other institutions and agencies |
0 |
0 |
10866 |
17687 |
0 |
4.2. Borrowings outside India |
4274 |
0 |
11592 |
20483 |
2186 |
Secured borrowings included in 4. |
0 |
0 |
0 |
0 |
0 |
5. Other liabilities |
5158 |
77725 |
20126 |
27847 |
2994 |
(7.0) |
( 56.3) |
( 7.4) |
( 9.3) |
( 4.3) |
|
5.1. Bills Payable |
58 |
43 |
4129 |
3803 |
333 |
5.2. Inter-office adjustments |
0 |
0 |
30 |
17 |
0 |
5.3. Interest accured |
84 |
16 |
3206 |
3038 |
1267 |
5.4. Others (including provisions) |
5016 |
77666 |
12761 |
20989 |
1394 |
Total Liabilities |
73812 |
138109 |
272145 |
299534 |
69221 |
|
( 100) |
( 100) |
( 100) |
( 100) |
( 100) |
Note : Figures in brackets indicate per cent share in total . |
|||||
Source : Annual accounts of banks of respective years . |
TABLE B1 : LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004 |
||||||
FOREIGN BANKS |
||||||
|
|
|
|
|
(Amount in Rs. lakh) |
|
As on March 31 |
||||||
Barclays Bank |
BNP Paribas |
Calyon Bank |
||||
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
|
|
(25) |
(26) |
(27) |
(28) |
(29) |
(30) |
1 Cash in hand |
6 |
3 |
232 |
289 |
52 |
37 |
(0.0) |
(0.0) |
(0.1) |
(0.1) |
(0.1) |
(0.1) |
|
2. Balances with RBI |
246 |
830 |
11411 |
9344 |
2514 |
2543 |
(0.3) |
(0.6) |
( 4.2) |
( 3.1) |
( 2.6) |
( 3.7) |
|
3. Balances with banks in india |
67 |
11 |
1264 |
217 |
14935 |
15014 |
(0.1) |
(0.0) |
(0.5) |
(0.1) |
( 15.2) |
( 21.7) |
|
4. Money at call and short notice |
1000 |
1500 |
2329 |
30602 |
5974 |
0 |
( 1.4) |
( 1.1) |
(0.9) |
( 10.2) |
( 6.1) |
0 |
|
5. Balances with banks outside India |
32 |
568 |
0 |
5930 |
3820 |
1345 |
(0.0) |
(0.4) |
0 |
(2.0) |
( 3.9) |
( 1.9) |
|
6. Investments |
48389 |
44687 |
91785 |
100141 |
36226 |
33129 |
( 65.6) |
( 32.4) |
( 33.7) |
( 33.4) |
( 36.8) |
( 47.9) |
|
6.1. Investments in India |
48389 |
44687 |
91785 |
100141 |
36226 |
33129 |
(i) Government securities |
34858 |
33053 |
68880 |
87216 |
26610 |
21451 |
(ii) Other approved securities |
275 |
200 |
0 |
0 |
0 |
0 |
(iii) Shares |
0 |
0 |
0 |
0 |
303 |
303 |
(iv) Debentures and Bonds |
10920 |
11434 |
22905 |
12925 |
9313 |
8810 |
(v) Subsidiaries and/or joint ventures |
0 |
0 |
0 |
0 |
0 |
0 |
(vi) Others |
2336 |
0 |
0 |
0 |
0 |
2565 |
6.2. Investments outside India |
0 |
0 |
0 |
0 |
0 |
0 |
(i) Government securities |
0 |
0 |
0 |
0 |
0 |
0 |
(ii) Subsidiaries and/or joint ventures |
0 |
0 |
0 |
0 |
0 |
0 |
(iii) Others |
0 |
0 |
0 |
0 |
0 |
0 |
7. Advances |
230 |
256 |
142270 |
131490 |
23207 |
4681 |
(0.3) |
(0.2) |
( 52.3) |
( 43.9) |
( 23.5) |
( 6.8) |
|
Type-wise |
||||||
7A.1. Bills purchased and discounted |
0 |
0 |
31346 |
16641 |
515 |
65 |
7A.2. Cash credits, overdrafts & loans |
6 |
0 |
41215 |
43994 |
112 |
57 |
7A.3. Term loans |
224 |
256 |
69709 |
70855 |
22580 |
4559 |
Security-wise |
||||||
7B.1. Secured by tangible assets |
191 |
207 |
61795 |
58143 |
6458 |
3076 |
7B.2. Covered by Bank/Govt. Guarantees |
0 |
0 |
26762 |
11321 |
465 |
108 |
7B.3. Unsecured |
39 |
49 |
53714 |
62026 |
16285 |
1497 |
Sector-wise |
||||||
7C.I. Advances in India |
230 |
256 |
142271 |
131491 |
23207 |
4681 |
(i) Priority sectors |
6 |
0 |
44092 |
32851 |
3385 |
172 |
(ii) Public sectors |
0 |
0 |
1000 |
0 |
0 |
0 |
(iii) Banks |
0 |
0 |
1 |
689 |
0 |
0 |
(iv) others |
224 |
256 |
97178 |
97951 |
19822 |
4509 |
7C.II. Advances outside India |
0 |
0 |
0 |
0 |
0 |
0 |
8. Fixed Assets |
344 |
805 |
9535 |
8999 |
3216 |
3724 |
(0.5) |
(0.6) |
( 3.5) |
(3.0) |
( 3.3) |
( 5.4) |
|
8.1. Premises |
5 |
5 |
8372 |
8178 |
2739 |
3347 |
8.2. Fixed assets under construction |
0 |
195 |
52 |
0 |
0 |
0 |
8.3. Other Fixed assets |
339 |
605 |
1111 |
821 |
477 |
377 |
9. Other Assets |
23497 |
89450 |
13319 |
12518 |
8607 |
8746 |
( 31.8) |
( 64.8) |
( 4.9) |
( 4.2) |
( 8.7) |
( 12.6) |
|
9.1 Inter - office adjustments (net) |
0 |
0 |
0 |
0 |
0 |
0 |
9.2 Interest accrued |
878 |
1051 |
1841 |
2330 |
1677 |
1289 |
9.3 Tax paid |
0 |
911 |
3605 |
1412 |
5240 |
5553 |
9.4 Stationery and Stamps |
616 |
0 |
2 |
2 |
0 |
0 |
9.5 Others |
22003 |
87488 |
7871 |
8774 |
1690 |
1904 |
Total Assets |
73811 |
138110 |
272145 |
299530 |
98551 |
69219 |
( 100) |
( 100) |
( 100) |
( 100) |
( 100) |
( 100) |