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83568017

Appendix Table III.1(A) Consolidated Balance Sheet of Public Sector Banks

 

                         

(Amount in Rs. crore)

Item

     

Public Sector Banks

     

Nationalised Banks

   

State Bank Group

 
                                 
     

2004

2005

2005 #

2004

2005

2004

 

2005

                                 
     

Amount

Per cent

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

 

to total

                                 

1

   

2

3

4

5

6

7

8

9

10

11

12

13

14

15

     

Liabilities

1.

Capital

14,675.56

1.00

14,805.57

0.87

15,527.34

0.88

13,639.76

1.48

13,769.77

1.29

1,035.80

0.19

1,035.80

0.17

     

2.

Reserves and Surplus

64,566.94

4.39

79,139.46

4.68

84,343.96

4.75

37,853.46

4.11

47,411.18

4.45

26,713.48

4.86

31,728.28

5.06

     

3.

Deposits

12,29,462.52

83.58

14,20,749.92

83.94

14,35,852.56

80.94

7,94,426.26

86.17

9,15,100.51

85.88

4,35,036.26

79.22

5,05,649.41

80.64

     
 

3.1

Demand Deposits

1,41,318.27

9.61

1,59,419.06

9.42

1,63,305.72

9.21

77,727.56

8.43

88,158.24

8.27

63,590.71

11.58

71,260.82

11.36

     
 

3.2

Savings Bank Deposits

3,21,016.66

21.82

3,76,883.99

22.27

3,78,775.88

21.35

2,14,311.31

23.25

2,50,666.64

23.53

1,06,705.35

19.43

1,26,217.35

20.13

     
 

3.3

Term Deposits

7,67,127.59

52.15

8,84,446.87

52.25

8,93,770.96

50.38

5,02,387.39

54.49

5,76,275.63

54.08

2,64,740.20

48.21

3,08,171.24

49.14

     

4.

Borrowings

30,256.50

2.06

42,874.14

2.53

92,879.68

5.24

13,441.07

1.46

19,398.71

1.82

16,815.43

3.06

23,475.43

3.74

     

5.

Other Liabilities and Provisions

1,32,115.86

8.98

1,35,009.46

7.98

1,45,335.26

8.19

62,593.11

6.79

69,823.68

6.55

69,522.75

12.66

65,185.78

10.40

     

Total Liabilities

14,71,077.38

100.00

16,92,578.55

100.00

17,73,938.80

100.00

9,21,953.66

100.00

10,65,503.85

100.00

5,49,123.72

100.00

6,27,074.70

100.00

     

Assets

 
     

1.

Cash and balances with RBI

84,241.76

5.73

87,616.41

5.18

89,992.31

5.07

58,079.66

6.30

62,396.21

5.86

26,162.10

4.76

25,220.20

4.02

     

2.

Balances with banks and

 

money at call and short notice

57,784.74

3.93

61,994.34

3.66

65,271.60

3.68

29,966.23

3.25

33,925.20

3.18

27,818.51

5.07

28,069.14

4.48

     

3.

Investments

6,26,175.69

42.57

6,60,674.36

39.03

6,85,729.05

38.66

3,78,874.04

41.09

3,99,970.11

37.54

2,47,301.65

45.04

2,60,704.25

41.57

     
 

3.1

In Government Securities (a+b)

5,10,231.77

34.68

5,52,696.74

32.65

5,67,594.99

32.00

2,96,022.58

32.11

3,21,518.41

30.18

2,14,209.19

39.01

2,31,178.33

36.87

   

a) In India

5,07,451.67

34.50

5,49,447.26

32.46

5,64,345.51

31.81

2,93,445.42

31.83

3,18,786.75

29.92

2,14,006.25

38.97

2,30,660.51

36.78

   

b) Outside India

2,780.10

0.19

3,249.48

0.19

3,249.48

0.18

2,577.16

0.28

2,731.66

0.26

202.94

0.04

517.82

0.08

     
 

3.2

In other approved Securities

17,137.45

1.16

15,463.25

0.91

15,463.25

0.87

11,784.71

1.28

10,817.33

1.02

5,352.74

0.97

4,645.92

0.74

     
 

3.3

In non-approved Securities

98,806.47

6.72

92,514.37

5.47

1,02,670.81

5.79

71,066.75

7.71

67,634.37

6.35

27,739.72

5.05

24,880.00

3.97

     

4.

Loans and Advances

6,33,035.49

43.03

8,09,257.72

47.81

8,54,671.29

48.18

4,12,519.69

44.74

5,24,530.86

49.23

2,20,515.80

40.16

2,84,726.86

45.41

     
 

4.1

Bills purchased and discounted

47,926.01

3.26

62,642.41

3.70

64,998.69

3.66

26,938.87

2.92

35,188.86

3.30

20,987.14

3.82

27,453.55

4.38

     
 

4.2

Cash Credit, Overdrafts, etc.

3,00,412.46

20.42

3,48,556.25

20.59

3,49,839.94

19.72

2,00,523.35

21.75

2,39,425.43

22.47

99,889.11

18.19

1,09,130.82

17.40

     
 

4.3

Term Loans

2,84,697.02

19.35

3,98,059.06

23.52

4,39,832.66

24.79

1,85,057.47

20.07

2,49,916.57

23.46

99,639.55

18.15

1,48,142.49

23.62

     

5.

Fixed Assets

11,531.49

0.78

12,552.02

0.74

13,441.44

0.76

8,181.99

0.89

9,088.12

0.85

3,349.50

0.61

3,463.90

0.55

     

6.

Other Assets

58,308.21

3.96

60,483.70

3.57

64,833.11

3.65

34,332.05

3.72

35,593.35

3.34

23,976.16

4.37

24,890.35

3.97

     

Total Assets

14,71,077.38

100.00

16,92,578.55

100.00

17,73,938.80

100.00

9,21,953.66

100.00

10,65,503.85

100.00

5,49,123.72

100.00

6,27,074.70

100.00

# : Including the impact of conversion of a non-banking entity into a banking entity.
Source : Balance sheets of respective banks.

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