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83478029

Table 4 : Bank Group-Wise Liabilities and Assets of Scheduled Commercial Banks in India - 1997-98

 
 
 
 
 
 
 
 
 
 
 
 
 
 

(Amount in Rs. lakh)


       

As on 31st March


Items

State Bank of India

Nationalised Banks

Other Scheduled

Foreign Banks

Regional Rural Banks

Total

 

and its Associates


 

Commercial Banks


 
 
 
       

1997


1998


1997


1998


1997


1998


1997


1998


1997


1998


1997


1998


 
 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


(7)


(8)


(9)


(10)


(11)


(12)


Number of reporting banks

8

8

19

19

34

34

33

42

190

196

284

299

                               

Liabilities

                         

1.

Capital

 

100720

103580

1286235

1503480

128889

168902

102075

177976

70348

129612

1688267

2083550

2.

Reserves and Surplus

880608

1099968

1058295

1369869

260914

359953

513691

570590

19238

31157

2732746

3431537

 

2.1.

Statutory Reserves

335838

505244

246353

317973

73225

107385

78773

100105

   

734189

1030707

   

(i)

Opening balance

209363

335838

185274

246352

50556

74678

64932

79417

   

510125

736285

   

(ii)

Additions during the year

126475

169406

61079

71621

22669

32707

13841

20688

   

224064

294422

   

(iii)

Deductions during the year

-

-

-

-

-

-

-

-

   

-

-

 

2.2.

Capital Reserves

7879

33200

266542

387567

12796

15005

147219

125617

   

434436

561389

   

(i)

Opening balance

4897

7879

254408

306623

11923

12470

122972

118338

   

394200

445310

   

(ii)

Additions during the year

2982

25321

19444

87351

1284

2993

24297

7960

   

48007

123625

   

(iii)

Deductions during the year

-

-

7310

6407

411

458

50

681

   

7771

7546

 

2.3.

Share Premium

372863

386347

148499

195754

60902

85366

-

-

   

582264

667467

   

(i)

Opening balance

246723

372863

85899

157030

49034

63817

-

-

   

381656

593710

   

(ii)

Additions during the year

126141

13484

75281

41345

13809

24222

-

-

   

215231

79051

   

(iii)

Deductions during the year

1

-

12681

2621

1941

2673

-

-

   

14623

5294

 

2.4.

Revenue and other Reserves

163994

175124

394986

464119

109996

137316

127838

143951

   

796814

920510

   

(i)

Opening balance

151200

165494

341469

396505

83141

126102

108260

128104

   

684070

816205

   

(ii)

Additions during the year

15146

9630

57749

72606

27000

28106

29270

27047

   

129165

137389

   

(iii)

Deductions during the year

2352

-

4232

4992

145

16892

9692

11200

   

16421

33084

 

2.5.

Balance of Profit

34

53

1915

4456

3995

14881

159861

200917

   

165805

220307

3.

Deposits (3.1+3.2+3.3)

14789241

17360284

30143678

35812573

4977250

6951578

3728491

4287290

1736884

2218922

55375544

66630647

 

3.1.

Demand deposits [(i)+(ii)]

3220627

3527678

4265326

4464471

570026

792659

743166

751022

85507

108160

8884652

9643990

   

(i)

From banks

491999

550032

176736

195079

18154

24178

21876

25040

764

-

709529

794329

   

(ii)

From others

2728628

2977646

4088590

4269392

551872

768481

721290

725982

84743

108160

8175123

8849661

 

3.2.

Savings bank deposits

3202929

3876412

7095623

8542788

586119

713332

271049

304095

717557

932947

11873277

14369574

 

3.3.

Time deposits [(i)+(ii)]

8365685

9956194

18782729

22805314

3821105

5445587

2714276

3232173

933820

1177815

34617615

42617083

   

(i)

From banks

307607

408327

869355

1216943

464231

706211

80549

142575

10525

10610

1732267

2484666

   

(ii)

From others

8058078

9547867

17913374

21588371

3356874

4739376

2633727

3089598

923295

1167205

32885348

40132417

   

3.A.

Deposits of branches in India

14095857

16606027

28550600

33906902

4901269

6951578

3728491

4287290

1736883

2218923

53013100

63970720

   

3.B.

Deposits of branches

                       
 
 
 

outside India


693383


754258


1593079


1905672


75980


-


-


-


-


-


2362442


2659930


 

Total (3.A.+3.B.)


14789240


17360285


30143679


35812574


4977249


6951578


3728491


4287290


1736883


2218923


55375542


66630650


4.

Borrowings

797231

885090

540850

506869

191318

208498

746529

985465

290289

324055

2566217

2909977

 

4.1.

Borrowings in India

133636

118740

455042

432261

185966

200167

572674

757732

288941

324055

1636259

1832955

   

(i)

From Reserve Bank of India

6

-

9165

25000

14944

11157

70507

52208

1710

2161

96332

90526

   

(ii)

From other banks

15563

2689

94257

31107

55732

40152

328057

512749

80017

47375

573626

634072

   

(iii)

From other institutions and agencies

118067

116051

351620

376154

115290

148858

174110

192775

207214

274519

966301

1108357

 

4.2.

Borrowings outside India

663595

766350

85808

74608

5352

8331

173855

227733

1348

-

929958

1077022

   

Secured borrowings included in 4.

123484

98262

123575

59974

8817

3574

18820

18834

66316

82024

341012

262668

5.

Other liabilities and provisions

3867782

3825793

2161441

2451137

318302

417195

416856

507447

246228

260241

7010609

7461813

   

(i)

Bills Payable

1046090

1085003

763910

834326

110810

128428

107529

97519

13300

13187

2041639

2158463

   

(ii)

Inter-office adjustments

96492

39824

169057

108328

29887

37242

46774

54792

9283

12363

351493

252549

   

(iii)

Interest accrued

1009786

1058971

293662

347229

60260

85347

103510

142869

54532

65808

1521750

1700224

   

(iv)

Others (including provisions)

1715414

1641995

934812

1161254

117345

166178

159043

212267

169113

168883

3095727

3350577

                               
 

Total Liabilities

20435582

23274715

35190499

41643928

5876673

8106126

5507642

6528768

2362987

2963987

69373383

82517524

6.

Cash and balances with RBI

1804764

1950605

3356588

4034008

552072

763910

356823

410498

88248

108133

6158495

7267154

 

6.1.

Cash in hand

67154

69087

265657

267759

58439

62775

9378

12099

34985

39468

435613

451188

 

6.2.

Balances with RBI

1737610

1881518

3090931

3766249

493633

701135

347445

398399

53263

68665

5722882

6815966

   

(i)

in current account

1736276

1881518

3090931

3766249

493633

701135

347445

398399

52448

68665

5720733

6815966

   

(ii)

in other account

1334

-

-

-

-

-

-

-

815

-

2149

-

7.

Balances with banks and money at

1858411

2210888

2054755

2569989

324014

594888

434527

643780

740573

959382

5412280

6978927

 

call and short notice (7.1+7.2)

                       
 

7.1.

In India (7.1.1+7.1.2)

288918

341427

634527

566638

252037

355504

122646

146083

740573

959382

2038701

2369034

   

7.1.1. Balances with banks

87418

200227

299951

300854

216100

304221

70611

70116

590848

811646

1264928

1687064

     

(i) in current account

27192

38382

188279

219992

50079

59317

59901

53172

93509

98378

418960

469241

     

(ii) in other deposit account

60226

161845

111672

80862

166021

244904

10710

16944

497339

713268

845968

1217823

   

7.1.2. Money at call and short notice

201500

141200

334576

265784

35937

51283

52035

75967

149725

147736

773773

681970

     

(i) with banks

195500

136100

271360

201787

34037

41458

52035

75473

146832

147736

699764

602554

     

(ii) with other institutions

6000

5100

63216

63997

1900

9825

-

494

2893

-

74009

79416

 

7.2.

Outside India (7.2.1+7.2.2)

1569493

1869461

1420228

2003351

71977

239384

311881

497697

-

-

3373579

4609893

   

7.2.1. Balances with banks

255436

290399

1001685

1449172

57024

149007

285396

374214

-

-

1599541

2262792

     

(i) in current account

88373

94248

135276

132947

23172

36221

107335

135499

-

-

354156

398915

     

(ii) in other deposit account

167063

196151

866409

1316225

33852

112786

178061

238715

-

-

1245385

1863877

   

7.2.2. Money at call and short notice

1314057

1579062

418543

554179

14953

90377

26485

123483

-

-

1774038

2347101

                           

8.

Investments (8.1+8.2)

6174585

7270342

12930889

15439947

1766753

2658963

1412944

1838168

377778

530983

22662949

27738403

 

8.1

In India in

6063072

7048194

12640058

15067717

1764175

2645268

1412944

1838168

377778

530983

22258027

27130330

   

(i)

Government securities

4540548

5249212

8738373

10142166

1236912

1712052

1116007

1392580

   

15631840

18496010

   

(ii)

Other approved securities

929373

904267

1833855

1802640

133281

136205

28403

30119

   

2924912

2873231

   

(iii)

Shares

54466

85454

120573

178662

19461

61312

2302

31104

   

196802

356532

   

(iv)

Debentures and Bonds

418000

583009

1527457

2453892

281846

589970

160609

322064

   

2387912

3948935

   

(v)

Subsidiaries and/or joint ventures

89410

100982

72322

83923

3324

5096

2948

10

   

168004

190011

   

(vi)

Others

31275

125270

347478

406434

89351

140633

102675

62291

   

570779

734628

 

8.2

Outside India in

111513

222148

290831

372230

2578

13695

-

-

-

-

404922

608073

   

(i)

Government securities

8666

15278

167388

170515

2577

12879

-

-

-

-

178631

198672

   

(ii)

Subsidiaries and/or joint ventures

32504

43740

11320

11371

-

-

-

-

-

-

43824

55111

   

(iii)

Others

70343

163130

112123

190344

1

816

-

-

-

-

182467

354290

9.

Advances

8290159

9756665

13734939

16233590

2806217

3544938

2652812

2929041

770974

900532

28255101

33364766

   

(i)

Bills purchased and discounted

831810

998070

1388737

1512826

536646

754125

296559

291013

8379

6435

3062131

3562469

   

(ii)

Cash credits, overdrafts & loans

5306256

5972197

8358596

9323887

1572107

1894930

893797

1075401

266374

323900

16397130

18590315

   

(iii)

Term loans

2152093

2786398

3987606

5396877

697464

895883

1462456

1562627

496221

570197

8795840

11211982

10.

Fixed Assets (10.1+10.2+10.3)

143769

181189

568802

642738

176575

238060

185618

198822

4049

4807

1078813

1265616

 

10.1 Premises

51656

60322

434931

494487

57688

88550

137356

143209

   

681631

786568

   

(i)

At cost as on 31st March of the preceding year

61613

69506

405402

422701

41671

62346

112779

143017

   

621465

697570

   

(ii)

Additions during the year

7908

12262

89081

146056

21999

35085

29540

8865

   

148528

202268

   

(iii)

Deductions during the year

14

689

66

976

265

453

114

928

   

459

3046

   

(iv)

Depreciation to date

17851

20757

59486

73294

5717

8428

4849

7745

   

87903

110224

 

10.2 Assets under construction

20848

20774

3621

2216

605

2660

1190

2272

   

26264

27922

 

10.3 Other Fixed assets

71265

100093

130250

146035

118282

146850

47072

53341

   

366869

446319

   

(i)

At cost as on 31st March of the preceding year

104693

143910

246614

289720

121990

170318

70109

88601

   

543406

692549

   

(ii)

Additions during the year

40503

48087

42686

50510

43785

53700

21483

21096

   

148457

173393

   

(iii)

Deductions during the year

1286

2356

3162

5023

878

5283

2916

4528

   

8242

17190

   

(iv)

Depreciation to date

72645

89548

155888

189172

46615

71885

41604

51828

   

316752

402433

11.

Other Assets

2163896

1905028

2544526

2723654

251044

305363

464914

508458

381365

460150

5805745

5902653

 

(i)

Inter - office adjustments (net)

451046

316285

82600

191340

17100

5374

40104

53217

13405

18497

604255

584713

 

(ii)

Interest accrued

329376

403626

507996

598571

66204

95442

67764

83266

59264

90504

1030604

1271409

 

(iii)

Tax paid in advance/ Tax deducted at source

277740

193165

453379

426726

51253

54718

58138

74837

451

-

840961

749446

 

(iv)

Stationery and Stamps

9032

9633

9910

9882

1714

1769

559

694

1345

-

22560

21978

 

(v)


Others if any


1096702


982319


1490641


1497135


114773


148060


298349


296444


306900


351149


3307365


3275107


 
 

Total Assets


20435584


23274717


35190499


41643926


5876675


8106122


5507638


6528767


2362987


2963987


69373383


82517524


Note

:

The figures given in columns (11) and (12) for the break-up of ‘Reserves and Surplus’ are exclusive of data for Regional Rural Banks.

-

:

Nil or negligible.

Source

:

Annual accounts of banks.

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