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83571561

B1 : Liabilities and Assets of Scheduled Commercial Banks : 2004 and 2005 (Part 8 of 8)

(Amount in Rs. lakh)

                     
       

As on March 31

       

Lord

Krishna

Nainital

Ratnakar

       

Bank

Bank

Bank

     

Items

       

2004

2005

2004

2005

2004

2005

       
       

(43)

(44)

(45)

(46)

(47)

(48)

       

1.

Capital

5669

9445

1500

1500

1840

1938

       

(2.2)

(3.8)

(1.8)

(1.4)

(2.3)

(2.2)

       

2.

Reserves and Surplus

8063

8746

5221

6095

3527

2583

       

(3.1)

(3.5)

(6.1)

(5.8)

(4.3)

(3.0)

 

2.1.

 

Statutory Reserves

2977

2978

1389

1729

1750

1750

 

2.2.

 

Capital Reserves

985

985

207

204

13

21

 

2.3.

 

Share Premium

1638

2393

1150

1150

65

65

 

2.4.

 

Investments Fluctuations Reserves

1500

1500

1000

1128

826

387

 

2.5.

 

Revenue and other Reserves

890

890

1475

1884

823

817

 

2.6.

 

Balance of Profit

73

50

-457

       

3.

Deposits

231122

217612

75880

93327

71521

78375

       

(88.7)

(86.9)

(88.8)

(88.9)

(87.7)

(90.1)

       
 

Type-wise

 

3A.1.

Demand deposits

11660

15280

6455

7935

7875

9816

     

(i) From banks

23

267

222

253

380

240

     

(ii) From others

11637

15013

6233

7682

7495

9576

 

3A.2.

Savings bank deposits

14889

19417

32369

38126

10865

12496

 

3A.3.

Term deposits

204573

182915

37056

47266

52781

56063

     

(i) From banks

11917

15936

53

1718

3081

4167

     

(ii) From others

192656

166979

37003

45548

49700

51896

       
 

Location-wise

 

3B.1.

Deposits of branches in India

231122

217613

75881

93327

71521

78375

 

3B.2.

Deposits of branches outside India

       

4.

Borrowings

63

68

11

28

99

83

       

(0.0)

(0.0)

(0.0)

(0.0)

(0.1)

(0.1)

 

4.1.

 

Borrowings in India

62

68

11

28

99

83

     

(i) From Reserve Bank of India

     

(ii) From other banks

8

20

     

(iii) From other institutions and agencies

54

68

11

8

99

83

 

4.2.

 

Borrowings outside India

1

 

Secured borrowing included in 4.

11

8

       

5.

Other liabilities

15539

14645

2835

4063

4546

4002

       

(6.0)

(5.8)

(3.3)

(3.9)

(5.6)

(4.6)

 

5.1.

 

Bills Payable

2631

1945

1077

1555

1806

1635

 

5.2.

 

Inter-office adjustments

1101

1769

 

5.3.

 

Interest accrued

1121

1033

286

350

292

320

 

5.4.

 

Others (including provisions)

10686

9898

1472

2158

2448

2047

       
 

Total

Liabilities

260456

250516

85447

105013

81533

86981

       

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

Note : Figures in brackets indicate per cent share in total.

Source : Annual accounts of banks of respective years .

 

 

(Amount in Rs. lakh)

                     
       

As on March 31

       

Lord

Krishna

Nainital

Ratnakar

       

Bank

Bank

Bank

     

Items

       

2004

2005

2004

2005

2004

2005

       
       

(43)

(44)

(45)

(46)

(47)

(48)

       

1.

Cash

in hand

1254

1026

723

870

1261

1292

       

(0.5)

(0.4)

(0.8)

(0.8)

(1.5)

(1.5)

2.

Balances

with RBI

19185

9451

4495

4258

8469

8119

       

(7.4)

(3.8)

(5.3)

(4.1)

(10.4)

(9.4)

3.

Balances

with banks in India

8081

1005

12450

15373

5933

4392

       

(3.1)

(0.4)

(14.6)

(14.6)

(7.3)

(5.1)

4.

Money at

call and short notice

5000

2075

1000

1000

       

(1.9)

(2.0)

(1.2)

(1.2)

5.

Balances

with banks outside India

1373

1017

       

(0.5)

(0.4)

6.

Investments

104714

84703

41046

42108

25840

26464

       

(40.2)

(33.8)

(48.0)

(40.1)

(31.7)

(30.5)

 

6.1.

Investments in India

104714

84703

41046

42108

25840

26464

   

(i)

Government securities

94021

73046

22464

21927

20109

20385

   

(ii)

Other approved securities

2116

1698

338

323

140

115

   

(iii)

Shares

239

74

9

277

283

   

(iv)

Debentures and Bonds

8167

6135

13006

12549

5124

3350

   

(v)

Subsidiaries and/or joint ventures

   

(vi)

Others

171

3750

5238

7300

190

2331

 

6.2.

Investments outside India

   

(i)

Government securities

   

(ii)

Subsidiaries and/or joint ventures

   

(iii)

Others

7.

Advances

 

111789

138682

23551

36321

34601

42376

       

(42.9)

(55.4)

(27.6)

(34.6)

(42.4)

(48.8)

 

Type-wise

 
 

7A.1.

Bills

purchased and discounted

5398

14819

199

235

1904

2633

 

7A.2.

Cash credits, overdrafts & loans

78878

80432

14301

20296

20416

20924

 

7A.3.

Term loans

27513

43431

9051

15790

12281

18819

 

Security-wise

 

7B.1.

Secured by tangible assets

98825

116839

22660

34003

26871

34139

 

7B.2.

Covered by Bank/Government Guarantees

892

4461

1448

778

 

7B.3.

Unsecured

12073

17382

891

2318

6282

7459

 

Sector-wise

 

7C. I.

Advances in India

111790

138683

23551

36321

34603

42376

   

(i)

Priority sectors

40571

38109

13303

20262

7759

13242

   

(ii)

Public sectors

1346

3033

513

   

(iii)

Banks

135

1500

778

   

(iv)

Others

69738

97541

10248

16059

24831

28356

 

7C.II.

Advances outside India

8.

Fixed

Assets

2575

2906

481

565

1357

1316

       

(1.0)

(1.2)

(0.6)

(0.5)

(1.7)

(1.5)

 

8.1.

Premises

346

414

260

255

314

302

 

8.2.

Fixed assets under construction

90

82

 

8.3.

Other Fixed assets

2229

2492

221

310

953

932

9.

Other Assets

6484

11724

2700

3445

3071

2023

       

(2.5)

(4.7)

(3.2)

(3.3)

(3.8)

(2.3)

 

9.1.

Inter

- office adjustments (net)

372

694

767

19

 

9.2.

Interest accrued

2724

2063

1899

1865

708

655

 

9.3.

Tax

paid

2434

2760

160

199

1198

925

 

9.4.

Stationery and Stamps

29

26

29

27

 

9.5.

Others

1297

6875

269

687

369

397

       
 

Total

Assets

260455

250514

85446

105015

81532

86982

       

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

 

 

(Amount in Rs. lakh)

                   
       

As on March 31

         

Sangli

SBI Commercial

South

Indian

         

Bank #

& Intl. Bank

Bank

     

Items

           
       

2004

2005

2004

2005

2004

2005

       
       

(49)

(50)

(51)

(52)

(53)

(54)

       

1.

Capital

2225

10000

10000

3578

4768

       

(1.1)

(20.4)

(21.0)

(0.4)

(0.5)

       

2.

Reserves and Surplus

6397

-161

-1162

35912

40757

       

(3.2)

(3.9)

(4.3)

 

2.1.

 

Statutory Reserves

2065

1250

1251

9809

10027

 

2.2.

 

Capital Reserves

165

1766

2815

 

2.3.

 

Share Premium

6486

10062

 

2.4.

 

Investments Fluctuations Reserves

310

440

111

8206

8206

 

2.5.

 

Revenue and other Reserves

3852

9643

9643

 

2.6.

 

Balance of Profit

5

-1851

-2524

2

4

       

3.

Deposits

185936

37333

33148

828002

849232

       

(93.3)

(76.3)

(69.5)

(89.5)

(89.6)

       
 

Type-wise

 

3A.1.

Demand deposits

17271

1204

1138

39762

47872

     

(i) From banks

279

268

220

     

(ii) From others

16992

1204

1138

39494

47652

 

3A.2.

Savings bank deposits

45255

2973

2470

133856

162630

 

3A.3.

Term deposits

123410

33156

29540

654384

638730

     

(i) From banks

31205

2758

500

51315

54920

     

(ii) From others

92205

30398

29040

603069

583810

       
 

Location-wise

 

3B.1.

Deposits of branches in India

185936

37333

33148

828003

849231

 

3B.2.

Deposits of branches outside India

       

4.

Borrowings

35

800

4400

7945

373

       

(0.0)

(1.6)

(9.2)

(0.9)

(0.0)

 

4.1.

 

Borrowings in India

34

800

4400

401

97

     

(i) From Reserve Bank of India

     

(ii) From other banks

4400

401

97

     

(iii) From other institutions and agencies

34

800

 

4.2.

 

Borrowings outside India

1

7544

276

 

Secured borrowing included in 4.

       

5.

Other liabilities

4652

947

1309

49968

52623

       

(2.3)

(1.9)

(2.7)

(5.4)

(5.6)

 

5.1.

 

Bills Payable

1313

155

337

8153

9093

 

5.2.

 

Inter-office adjustments

87

469

601

 

5.3.

 

Interest accrued

823

368

339

3836

3158

 

5.4.

 

Others (including provisions)

2429

424

633

37510

39771

       
 

Total

Liabilities

199245

48919

47695

925405

947753

       

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

Notes : Figures in brackets indicate per cent share in total.

# : See ‘Explanatory Notes’.

Source :Annual accounts of banks of respective years.

 

 

(Amount in Rs. lakh)

                   
       

As on March 31

         

Sangli

SBI Commercial

South

Indian

         

Bank #

& Intl. Bank

Bank

     

Items

           
       

2004

2005

2004

2005

2004

2005

       
       

(49)

(50)

(51)

(52)

(53)

(54)

       

1.

Cash

in hand

2434

64

80

7300

5987

       

(1.2)

(0.1)

(0.2)

(0.8)

(0.6)

2.

Balances

with RBI

6810

2133

1694

33162

37329

       

(3.4)

(4.4)

(3.6)

(3.6)

(4.0)

3.

Balances

with banks in India

1385

6827

3771

35936

20366

       

(0.7)

(14.0)

(7.9)

(3.9)

(2.2)

4.

Money at

call and short notice

290

5609

497

       

(0.1)

(11.5)

(1.0)

5.

Balances

with banks outside India

873

1951

2582

4210

6440

       

(0.4)

(4.0)

(5.4)

(0.5)

(0.7)

6.

Investments

108000

14304

10135

396208

313342

       

(54.2)

(29.2)

(21.3)

(42.8)

(33.3)

 

6.1.

Investments in India

108000

14304

10135

396208

313342

   

(i)

Government securities

83487

13443

9451

357995

287864

   

(ii)

Other approved securities

1185

505

505

5554

5101

   

(iii)

Shares

602

23

23

960

739

   

(iv)

Debentures and Bonds

2609

333

156

20059

13233

   

(v)

Subsidiaries and/or joint ventures

   

(vi)

Others

20117

11640

6405

 

6.2.

Investments outside India

   

(i)

Government securities

   

(ii)

Subsidiaries and/or joint ventures

   

(iii)

Others

7.

Advances

 

64824

12056

23074

419682

536526

       

(32.5)

(24.6)

(48.4)

(45.4)

(57.1)

 

Type-wise

 
 

7A.1.

Bills

purchased and discounted

22038

1960

7485

50894

53318

 

7A.2.

Cash credits, overdrafts & loans

19988

8934

10877

154553

186251

 

7A.3.

Term loans

22798

1162

4712

214235

296957

 

Security-wise

 

7B.1.

Secured by tangible assets

40688

9941

11521

330824

449368

 

7B.2.

Covered by Bank/Government Guarantees

21399

2057

7441

29952

32566

 

7B.3.

Unsecured

2737

58

4113

58906

54593

 

Sector-wise

 

7C. I.

Advances in India

64825

12057

23075

419682

536526

   

(i)

Priority sectors

9800

1451

907

129060

170973

   

(ii)

Public sectors

4178

46443

56967

   

(iii)

Banks

21074

6597

   

(iv)

Others

33951

10606

17990

237582

308586

 

7C.II.

Advances outside India

8.

Fixed

Assets

3281

4890

4825

6584

7760

       

(1.6)

(10.0)

(10.1)

(0.7)

(0.8)

 

8.1.

Premises

2864

4832

4762

5355

6385

 

8.2.

Fixed assets under construction

 

8.3.

Other Fixed assets

417

58

63

1229

1375

9.

Other Assets

11349

1086

1036

22324

20000

       

(5.7)

(2.2)

(2.2)

(2.4)

(2.1)

 

9.1.

Inter

- office adjustments (net)

 

9.2.

Interest accrued

1534

467

356

12434

10061

 

9.3.

Tax

paid

1708

334

401

 

9.4.

Stationery and Stamps

63

4

2

121

140

 

9.5.

Others

8044

281

277

9769

9799

       
 

Total

Assets

199246

48920

47694

925406

947750

       

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

 

 

(Amount in Rs. lakh)

                   
       

As on March 31

       

Tamilnad Mercantile

United Western

UTI

       

Bank

Bank

Bank

     

Items

       

2004

2005

2004

2005

2004

2005

       
       

(55)

(56)

(57)

(58)

(59)

(60)

       

1.

Capital

28

28

2989

2989

23158

27380

       

(0.0)

(0.0)

(0.4)

(0.4)

(1.0)

(0.7)

       

2.

Reserves and Surplus

47653

55855

27409

21406

90647

214780

       

(9.4)

(9.9)

(3.8)

(3.0)

(3.8)

(5.7)

 

2.1.

 

Statutory Reserves

14687

17220

8713

8713

21501

29865

 

2.2.

 

Capital Reserves

72

340

20

19

1439

6226

 

2.3.

 

Share Premium

5473

5473

28623

126895

 

2.4.

 

Investments Fluctuations Reserves

4925

4925

19281

29281

 

2.5.

 

Revenue and other Reserves

32870

38272

8272

2276

1593

2772

 

2.6.

 

Balance of Profit

24

23

6

18210

19741

       

3.

Deposits

440428

482688

643019

645287

2095391

3171199

       

(86.5)

(85.9)

(90.1)

(91.1)

(86.8)

(84.0)

       
 

Type-wise

 

3A.1.

Demand deposits

57159

67403

85118

89236

539373

715483

     

(i) From banks

189

308

3807

2486

20206

32200

     

(ii) From others

56970

67095

81311

86750

519167

683283

 

3A.2.

Savings bank deposits

54022

59927

106830

118438

258451

489086

 

3A.3.

Term deposits

329247

355358

451071

437613

1297567

1966630

     

(i) From banks

11515

20400

83470

63250

227852

437874

     

(ii) From others

317732

334958

367601

374363

1069715

1528756

       
 

Location-wise

 

3B.1.

Deposits of branches in India

440427

482688

643019

645288

2095390

3171200

 

3B.2.

Deposits of branches outside India

       

4.

Borrowings

2847

1134

6003

3790

52775

178141

       

(0.6)

(0.2)

(0.8)

(0.5)

(2.2)

(4.7)

 

4.1.

 

Borrowings in India

2847

1134

4012

3352

40097

130021

     

(i) From Reserve Bank of India

     

(ii) From other banks

9825

17030

     

(iii) From other institutions and agencies

2847

1134

4012

3352

30272

112991

 

4.2.

 

Borrowings outside India

1991

438

12678

48120

 

Secured borrowing included in 4.

22787

       

5.

Other liabilities

17992

21976

34515

34892

153046

182868

       

(3.5)

(3.9)

(4.8)

(4.9)

(6.3)

(4.8)

 

5.1.

 

Bills Payable

9787

11448

4288

3359

43851

48709

 

5.2.

 

Inter-office adjustments

2179

15

 

5.3.

 

Interest accrued

1490

1579

5152

5514

3143

4780

 

5.4.

 

Others (including provisions)

6715

8949

25075

23840

106037

129379

       
 

Total

Liabilities

508948

561681

713935

708364

2415017

3774368

       

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

Note : Figures in brackets indicate per cent share in total.

Source : Annual accounts of banks of respective years .

 

 

(Amount in Rs. lakh)

                   
       

As on March 31

       

Tamilnad Mercantile

United Western

UTI

       

Bank

Bank

Bank

     

Items

       

2004

2005

2004

2005

2004

2005

       
       

(55)

(56)

(57)

(58)

(59)

(60)

       

1.

Cash

in hand

5045

4317

7714

5840

15330

27290

       

(1.0)

(0.8)

(1.1)

(0.8)

(0.6)

(0.7)

2.

Balances

with RBI

17331

26073

28004

31542

362364

317584

       

(3.4)

(4.6)

(3.9)

(4.5)

(15.0)

(8.4)

3.

Balances

with banks in India

10741

19668

26302

23230

149769

127959

       

(2.1)

(3.5)

(3.7)

(3.3)

(6.2)

(3.4)

4.

Money at

call and short notice

4200

4725

31392

46021

       

(0.8)

(0.8)

(1.3)

(1.2)

5.

Balances

with banks outside India

1139

1329

2044

477

7467

8746

       

(0.2)

(0.2)

(0.3)

(0.1)

(0.3)

(0.2)

6.

Investments

235371

224400

241313

210235

779275

1427495

       

(46.2)

(40.0)

(33.8)

(29.9)

(32.3)

(37.8)

 

6.1.

Investments in India

235371

224400

241313

210235

779275

1427495

   

(i)

Government securities

133262

137566

193932

160980

505593

751869

   

(ii)

Other approved securities

5298

4821

3216

2561

   

(iii)

Shares

54

85

2486

1011

18983

21741

   

(iv)

Debentures and Bonds

96757

81855

30286

36873

253905

651834

   

(v)

Subsidiaries and/or joint ventures

8

8

   

(vi)

Others

73

11385

8802

794

2051

 

6.2.

Investments outside India

   

(i)

Government securities

   

(ii)

Subsidiaries and/or joint ventures

   

(iii)

Others

7.

Advances

 

211398

262624

374447

397628

936295

1560292

       

(41.5)

(46.8)

(52.4)

(56.6)

(38.8)

(41.3)

 

Type-wise

 
 

7A.1.

Bills

purchased and discounted

18466

28508

84693

86667

25850

74265

 

7A.2.

Cash credits, overdrafts & loans

125574

140860

192796

201731

311973

445484

 

7A.3.

Term loans

67358

93256

96958

109230

598472

1040543

 

Security-wise

 

7B.1.

Secured by tangible assets

198934

232853

276587

292721

823909

1347846

 

7B.2.

Covered by Bank/Government Guarantees

2293

1080

57418

64581

8804

10003

 

7B.3.

Unsecured

10172

28691

40442

40326

103581

202443

 

Sector-wise

 

7C. I.

Advances in India

211399

262624

374447

397628

936295

1560293

   

(i)

Priority sectors

95416

124431

127698

127574

245622

440359

   

(ii)

Public sectors

8664

2029

1450

3834

   

(iii)

Banks

48745

60453

25

198

   

(iv)

Others

115983

129529

195975

209601

689198

1115902

 

7C.II.

Advances outside India

8.

Fixed

Assets

5364

5090

11495

10806

43515

51843

       

(1.1)

(0.9)

(1.6)

(1.5)

(1.8)

(1.4)

 

8.1.

Premises

2939

2859

7911

7932

2680

2985

 

8.2.

Fixed assets under construction

2622

1564

 

8.3.

Other Fixed assets

2425

2231

3584

2874

38213

47294

9.

Other Assets

18359

13454

22618

28607

89609

207137

       

(3.6)

(2.4)

(3.2)

(4.1)

(3.7)

(5.5)

 

9.1.

Inter

- office adjustments (net)

2796

 

9.2.

Interest accrued

8199

7482

5567

4691

21085

26725

 

9.3.

Tax

paid

6156

7046

8241

9678

 

9.4.

Stationery and Stamps

21

21

283

270

65

70

 

9.5.

Others

10139

5951

7816

16600

60218

170664

       
 

Total

Assets

508948

561680

713937

708365

2415016

3774367

       

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

 

 

(Amount in Rs. lakh)

         
     

As on March 31

     

Yes

 
     

Bank

#

     

Items

     

2004

2005

       
     

(61)

(62)

       

1.

Capital

20000

       

(15.6)

       

2.

Reserves and Surplus

1700

       

(1.3)

 

2.1.

 

Statutory Reserves

 

2.2.

 

Capital Reserves

 

2.3.

 

Share Premium

1700

 

2.4.

 

Investments Fluctuations Reserves

 

2.5.

 

Revenue and other Reserves

 

2.6.

 

Balance of Profit

       

3.

Deposits

66304

       

(51.9)

       
 

Type-wise

 

3A.1.

Demand deposits

715

     

(i) From banks

     

(ii) From others

715

 

3A.2.

Savings bank deposits

198

 

3A.3.

Term deposits

65391

     

(i) From banks

     

(ii) From others

65391

       
 

Location-wise

 

3B.1.

Deposits of branches in India

66303

 

3B.2.

Deposits of branches outside India

       

4.

Borrowings

36974

       

(28.9)

 

4.1.

 

Borrowings in India

31899

     

(i) From Reserve Bank of India

     

(ii) From other banks

20700

     

(iii) From other institutions and agencies

11199

 

4.2.

 

Borrowings outside India

5075

 

Secured borrowing included in 4.

       

5.

Other liabilities

2840

       

(2.2)

 

5.1.

 

Bills Payable

175

 

5.2.

 

Inter-office adjustments

 

5.3.

 

Interest accrued

284

 

5.4.

 

Others (including provisions)

2381

       
 

Total

Liabilities

127818

       

(100.0)

Notes:Figures in brackets indicate per cent share in total.

#:See ‘Explanatory Notes’.

Source:Annual accounts of banks of respective years.

 

 

     

(Amount in Rs. lakh)

         
     

As on March 31

     

Yes

 
     

Bank

#

     

Items

     

2004

2005

       
     

(61)

(62)

       

1.

Cash

in hand

28

       

(0.0)

2.

Balances

with RBI

4105

       

(3.2)

3.

Balances

with banks in India

6

       

(0.0)

4.

Money at

call and short notice

1000

       

(0.8)

5.

Balances

with banks outside India

163

       

(0.1)

6.

Investments

39486

       

(30.9)

 

6.1.

Investments in India

39486

   

(i)

Government securities

26870

   

(ii)

Other approved securities

   

(iii)

Shares

   

(iv)

Debentures and Bonds

12566

   

(v)

Subsidiaries and/or joint ventures

   

(vi)

Others

50

 

6.2.

Investments outside India

   

(i)

Government securities

   

(ii)

Subsidiaries and/or joint ventures

   

(iii)

Others

7.

Advances

 

76098

       

(59.6)

 

Type-wise

 
 

7A.1.

Bills

purchased and discounted

2784

 

7A.2.

Cash credits, overdrafts & loans

8329

 

7A.3.

Term loans

64985

 

Security-wise

 

7B.1.

Secured by tangible assets

36987

 

7B.2.

Covered by Bank/Government Guarantees

126

 

7B.3.

Unsecured

38985

 

Sector-wise

 

7C. I.

Advances in India

76098

   

(i)

Priority sectors

2500

   

(ii)

Public sectors

   

(iii)

Banks

   

(iv)

Others

73598

 

7C.II.

Advances outside India

8.

Fixed

Assets

1964

       

(1.5)

 

8.1.

Premises

 

8.2.

Fixed assets under construction

330

 

8.3.

Other Fixed assets

1634

9.

Other Assets

4966

       

(3.9)

 

9.1.

Inter

- office adjustments (net)

 

9.2.

Interest accrued

793

 

9.3.

Tax

paid

34

 

9.4.

Stationery and Stamps

 

9.5.

Others

4139

       
 

Total

Assets

127816

       

(100.0)

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