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RBI Announcements

Asset Publisher

83794259

States : Himachal Pradesh, Jammu And Kashmir, Jharkhand, Karnataka, Kerala, Madhya Pradesh, Maharashtra, Manipur

                   

(Rs Lakh)

                     
     

HIMACHAL PRADESH

 

JAMMU AND KASHMIR

 
                     
     

2002-2003

2003-04

2003-04

2004-05

2002-2003

2003-04

2003-04

2004-05

   

Items

(Accounts)

(Budget

(Revised

(Budget

(Revised

(Budget

(Revised

(Budget

       

Estimates)

Estimates)

Estimates)

Estimates)

Estimates)

Estimates)

Estimates)

                     
   

1

2

3

4

5

6

7

8

9

                     

TOTAL RECEIPTS (I to XIII)

307,364

257,026

252,114

257,941

113,534

85,983

34,753

127,968

I.

External Debt

II.

Internal Debt* (1 to 7)

205,322

209,601

209,601

222,591

116,895

36,061

32,361

42,200

 

1.

Market Loans

69,785

34,000

34,000

37,600

40,061

8,861

8,861

15,000

 

2.

Loans from L.I.C.

12,307

12,338

12,338

12,300

12,372

10,000

11,300

11,300

 

3.

Loans from S.B.I.and other Banks(net)

 

4.

Loans from National Bank for

               
   

Agriculture and Rural Development

13,968

13,962

13,962

14,000

25,000

11,700

8,000

11,700

 

5.

Loans from National Co-operative

               
   

Development Corporation

491

590

590

590

 

6.

Special Securities issued to NSSF

37,626

32,410

32,410

22,500

28,462

25,047

25,047

25,047

 

7.

Others@

71,145

116,301

116,301

135,601

11,000

5,500

4,200

4,200

   

of which:

               
   

Power Bonds and other Bonds

III.

Loans and Advances from the Centre (1 to 6)

14,553

14,533

14,533

15,133

24,086

34,327

34,988

38,730

 

1.

State Plan Schemes

13,729

14,453

14,453

15,053

22,641

32,852

33,552

38,700

   

of which: Advance release of Plan

               
   

Assistance for Natural Calamities

 

2.

Central Plan Schemes

 

3.

Centrally Sponsored Schemes

824

80

80

80

 

4.

Non-Plan (i to ii)

1,445

1,475

1,436

30

   

(i) Relief for Natural Calamities

   

(ii) Others

1,445

1,475

1,436

30

 

5.

Ways and Means Advances from Centre

 

6.

Loans for Special Schemes

IV.

Recovery of Loans and Advances(1 to 12)

2,897

2,892

2,980

2,717

378

426

428

428

 

1.

Housing

84

45

56

84

40

38

34

35

 

2.

Urban Development

8

8

 

3.

Crop Husbandry

4

6

6

6

4

4

4

4

 

4.

Food Storage and Warehousing

58

11

11

8

 

5.

Co-operation

646

543

543

543

1

1

 

6.

Minor Irrigation

 

7.

Power Projects

 

8.

Village and Small Industries

74

28

104

27

 

9.

Industries and Minerals

20

20

20

20

 

10.

Road Transport

 

11.

Government Servants, etc.+

1,955

2,213

2,213

2,213

300

350

350

350

 

12.

Others**

76

38

39

-164

13

13

20

19

V.

Inter-State Settlement (net)

VI.

Contingency Fund (net)

VII.

Small Savings, Provident

               
 

Funds etc.(net) (1+2)

27,613

30,000

25,000

17,500

30,815

32,336

31,200

29,167

 

1.

State Provident Funds

26,516

29,000

24,000

16,500

29,480

30,878

30,035

27,903

 

2.

Others

1,097

1,000

1,000

1,000

1,335

1,458

1,165

1,264

VIII.

Reserve Funds (net) (1 to 4)

11,849

6,508

6,508

14,708

12,904

 

1.

Depreciation/Renewal Reserve Funds

6,508

6,508

6,508

6,508

 

2.

Sinking Funds

 

3.

Famine Relief Fund

 

4.

Others

11,849

8,200

6,396

IX.

Deposits and Advances (net) (1 to 4)

26,403

-65,148

-48,722

-103,874

-20,558

 

1.

Civil Deposits

4,964

220

220

20

220

 

2.

Deposits of Local Funds

21,430

-65,437

-48,942

-103,994

-20,878

 

3.

Civil Advances

69

100

100

 

4.

Others

9

X.

Suspense and Miscellaneous@@ (net)(1+2)

17,442

-105

50

 

1.

Suspense

17,431

-105

50

 

2.

Others

11

XI.

Appropriation to Contingency Fund (net)

XII.

Miscellaneous Capital Receipts

 

Of which:

               
 

Disinvestment

XIII.

Remittances (net)

1,285


                   

(Rs Lakh)

                     
       

JHARKHAND

   

KARNATAKA

 
                     
     

2002-2003

2003-04

2003-04

2004-05

2002-2003

2003-04

2003-04

2004-05

   

Items

(Accounts)

(Budget

(Revised

(Budget

(Accounts)

(Budget

(Revised

(Budget

       

Estimates)

Estimates)

Estimates)

 

Estimates)

Estimates)

Estimates)

                     
   

1

2

3

4

5

6

7

8

9

                     

TOTAL RECEIPTS (I to XIII)

181,584

177,554

178,955

362,336

742,549

724,340

851,947

673,772

I.

External Debt

II.

Internal Debt* (1 to 7)

131,172

122,923

122,923

225,000

388,852

349,140

506,100

447,091

 

1.

Market Loans

22,872

30,000

30,000

45,000

161,057

115,500

235,100

127,000

 

2.

Loans from L.I.C.

17,000

17,000

17,000

 

3.

Loans from S.B.I.and other Banks(net)

 

4.

Loans from National Bank for

               
   

Agriculture and Rural Development

13,000

7,723

7,723

25,000

23,946

32,500

25,000

40,000

 

5.

Loans from National Co-operative

               
   

Development Corporation

6,065

1,500

1,500

1,500

 

6.

Special Securities issued to NSSF

85,200

85,200

85,200

105,000

197,784

181,440

227,500

261,591

 

7.

Others@

10,100

50,000

1,200

   

of which:

               
   

Power Bonds and other Bonds

III.

Loans and Advances from the Centre (1 to 6)

43,642

43,242

43,642

102,842

154,422

293,150

228,427

223,805

 

1.

State Plan Schemes

43,642

43,242

43,642

43,642

149,725

288,338

173,315

218,262

   

of which: Advance release of Plan

               
   

Assistance for Natural Calamities

 

2.

Central Plan Schemes

13,623

200

200

200

 

3.

Centrally Sponsored Schemes

45,577

931

562

862

1,293

 

4.

Non-Plan (i to iii)

3,766

4,050

4,050

4,050

   

(i) Relief for Natural Calamities

   

(ii) Others

3,766

4,050

4,050

4,050

 

5.

Ways and Means Advances from Centre

50,000

 

6.

Loans for Special Schemes

IV.

Recovery of Loans and Advances(1 to 12)

195

1,344

1,345

1,547

92,800

10,050

10,050

2,991

 

1.

Housing

5

5

6

291

2,375

2,375

200

 

2.

Urban Development

17

388

388

50

 

3.

Crop Husbandry

602

40

40

40

 

4.

Food Storage and Warehousing

56

 

5.

Co-operation

185

212

212

100

 

6.

Minor Irrigation

1

1

1

 

7.

Power Projects

1,000

1,000

1,150

87,835

1,109

1,109

500

 

8.

Village and Small Industries

45

46

53

83

58

58

58

 

9.

Industries and Minerals

416

1,747

1,747

212

 

10.

Road Transport

 

11.

Government Servants, etc.+

195

294

294

338

1,019

1,468

1,468

1,275

 

12.

Others**

2,296

2,652

2,652

555

V.

Inter-State Settlement (net)

VI.

Contingency Fund (net)

789

VII.

Small Savings, Provident

               
 

Funds etc.(net) (1+2)

8,500

11,970

12,970

15,500

62,674

69,000

68,100

69,705

 

1.

State Provident Funds

10,500

13,970

14,970

17,500

30,649

32,200

32,000

32,680

 

2.

Others

-2,000

-2,000

-2,000

-2,000

32,025

36,800

36,100

37,025

VIII.

Reserve Funds (net) (1 to 4)

328

16,135

1,000

-1,800

-1,300

 

1.

Depreciation/Renewal Reserve Funds

4

 

2.

Sinking Funds

-7,220

 

3.

Famine Relief Fund

 

4.

Others

328

23,351

1,000

-1,800

-1,300

IX.

Deposits and Advances (net) (1 to 4)

2,670

2,670

2,670

13,701

15,018

500

46,070

-68,520

 

1.

Civil Deposits

2,201

2,201

2,201

3,456

-55

-9,500

-10,500

-11,000

 

2.

Deposits of Local Funds

415

415

415

10,189

2,736

5,100

40,100

-30,000

 

3.

Civil Advances

54

54

54

56

-39,018

-3,600

7,000

-12,500

 

4.

Others

51,355

8,500

9,470

-15,020

X.

Suspense and Miscellaneous@@ (net)(1+2)

2,038

2,038

2,038

5,218

11,177

500

-12,000

-3,000

 

1.

Suspense

2,038

2,038

2,038

118

1,912

-1,000

-3,000

 

2.

Others

5,100

9,265

500

-11,000

XI.

Appropriation to Contingency Fund (net)

XII.

Miscellaneous Capital Receipts

 

of which:

               
 

Disinvestment

XIII.

Remittances (net)

-6,633

-6,633

-6,633

-1,800

682

1,000

7,000

3,000


                   

(Rs Lakh)

                     
       

KERALA

   

MADHYA PRADESH

 
                     
     

2002-2003

2003-04

2003-04

2004-05

2002-2003

2003-04

2003-04

2004-05

   

Items

(Accounts)

(Budget

(Revised

(Budget

(Accounts)

(Budget

(Revised

(Budget

       

Estimates)

Estimates)

Estimates)

 

Estimates)

Estimates)

Estimates)

                     
   

1

2

3

4

5

6

7

8

9

                     

TOTAL RECEIPTS (I to XIII)

612,329

501,976

754,852

692,570

517,485

524,391

996,062

1,096,370

I.

External Debt

II.

Internal Debt* (1 to 7)

271,738

277,502

469,752

330,688

316,869

317,447

788,853

818,635

 

1.

Market Loans

123,730

64,300

131,225

84,066

113,988

82,286

240,505

285,862

 

2.

Loans from L.I.C.

42,500

32,000

44,000

44,000

20,297

10,000

 

3.

Loans from S.B.I.and other Banks(net)

40,000

 

4.

Loans from National Bank for

               
   

Agriculture and Rural Development

11,437

22,900

20,400

25,400

35,828

53,813

35,796

46,000

 

5.

Loans from National Co-operative

               
   

Development Corporation

4,250

4,300

4,300

3,220

1297

352

1416

1416

 

6.

Special Securities issued to NSSF

83,231

150,000

150,000

170,000

160830

160,000

242248

270000

 

7.

Others@

6,591

4,002

119,827

4,002

4,926

699

268,888

165,357

   

Of which:

               
   

Power Bonds and other Bonds

2

115,827

2

42

266,431

160,000

III.

Loans and Advances from the Centre (1 to 6)

119,285

136,979

149,754

156,717

178,061

183,791

214,680

226,008

 

1.

State Plan Schemes

99,703

122,807

128,582

134,853

143,423

177,034

208,222

198,998

   

of which: Advance release of Plan

               
   

Assistance for Natural Calamities

 

2.

Central Plan Schemes

150

 

3.

Central Sponsered Schemes

487

1,172

1,172

1,864

901

2,476

2,373

1,900

 

4.

Non Plan

1,295

3,000

2,537

4,131

4,085

110

   

(i) Relief for Natural Calamities

   

(ii) Others

1,295

3,000

2,537

4,131

4,085

110

 

5.

Ways and Means Advances from Centre

17,800

10,000

20,000

20,000

31,200

25,000

 

6.

Loans for special schemes

IV.

Recovery of Loans and Advances(1 to 12)

7,729

7,503

7,386

7,555

4,271

8,082

7,153

4,742

 

1.

Housing

-103

109

109

111

7

333

333

333

 

2.

Urban Development

149

158

158

160

387

287

288

1277

 

3.

Crop Husbandry

72

311

170

84

91

3,383

3,266

21

 

4.

Food Storage and Warehousing

163

197

197

202

675

301

341

510

 

5.

Co-operation

1,066

645

900

1,101

440

1,278

1,447

346

 

6.

Minor Irrigation

40

40

40

 

7.

Power Projects

134

1,403

531

 

8.

Village and Small Industries

550

514

514

514

29

33

71

76

 

9.

Industries and Minerals

228

437

437

437

17

25

 

10.

Road Transport

 

11.

Government Servants, etc.+

4,446

4,502

4,283

3,870

1,144

935

935

935

 

12.

Others**

1,158

630

618

1,076

1,347

64

432

673

V.

Inter-State Settlement (net)

-1

VI.

Contingency Fund (net)

2215

VII.

Small Savings, Provident

               
 

Funds etc.(net) (1+2)

151,673

81,143

74,713

140,357

9,207

17,687

27,427

70,350

 

1.

State Provident Funds

13,970

17,157

29,814

66,455

8,512

7,382

11,547

52,935

 

2.

Others

137,703

63,986

44,899

73,902

695

10,305

15,880

17,415

VIII.

Reserve Funds (net) (1 to 4)

5,901

268

1,510

6,443

15,846

3,033

4,682

965

 

1.

Depreciation/Renewal Reserve Funds

1

35

 

2.

Sinking Funds

 
 

3.

Famine Relief Fund

50

-75

29

29

 

4.

Others

5,901

267

1,510

6,443

15,761

3,108

4,653

936

IX.

Deposits and Advances (net) (1 to 4)

58,834

2,232

48,933

48,867

14994

-6,168

-43652

-24846

 

1.

Civil Deposits

-3,647

-468

1,855

1,873

20337

-9,999

-44299

-25350

 

2.

Deposits of Local Funds

63474

2,007

46,452

46,452

4

 

3.

Civil Advances

59

59

46

50

290

4,031

319

351

 

4.

Others

-1,052

634

580

492

-5637

-200

328

153

X.

Suspense and Miscellaneous@@ (net)(1+2)

5361

924

-407

-417

-22,998

519

-3,081

517

 

1.

Suspense

2494

1233

76

76

-22,716

519

-3,081

517

 

2.

Others

2,867

-309

-483

-493

-282

XI.

Appropriation to Contingency Fund (net)

XII.

Miscellaneous Capital Receipts

350

 

Of which:

               
 

Disinvestment

XIII.

Remittances (net)

-10757

-4,575

3,211

2,360

1,235


                   

(Rs Lakh)

                     
       

MAHARASHTRA

   

MANIPUR

 
                     
     

2002-2003

2003-04

2003-04

2004-05

2002-2003

2003-04

2003-04

2004-05

   

Items

(Accounts)

(Budget

(Revised

(Budget

(Accounts)

(Budget

(Revised

(Budget

       

Estimates)

Estimates)

Estimates)

 

Estimates)

Estimates)

Estimates)

                     
   

1

2

3

4

5

6

7

8

9

                     

TOTAL RECEIPTS (I to XIII)

1,670,100

1,157,368

2,360,749

1,773,289

110,006

73,859

118,015

92,956

I.

External Debt

II.

Internal Debt* (1 to 7)

879,664

772,183

1,551,409

974,498

7,871

14,624

34,730

14,518

 

1.

Market Loans

107,485

122,629

645,368

138,580

7,728

7,911

12,308

7,806

 

2.

Loans from L.I.C.

55,000

62,393

100,000

100,000

884

884

884

 

3.

Loans from S.B.I.and other Banks(net)

 

4.

Loans from National Bank for

               
   

Agriculture and Rural Development

22,010

40,000

50,000

50,000

3,476

3,476

3,476

 

5.

Loans from National Co-operative

               
   

Development Corporation

8,094

27,028

36,397

24,388

 

6.

Special Securities issued to NSSF

641,798

520,000

556,152

600,000

 

7.

Others@

45,277

133

163,492

61,530

143

2,353

18,062

2,352

   

of which:

               
   

Power Bonds and other Bonds

3

26

101,885

25

15,710

III.

Loans and Advances from the Centre (1 to 6)

96,178

168,712

146,092

139,088

102,495

48,178

54,377

59,189

 

1.

State Plan Schemes

88,892

138,562

138,220

135,761

6,950

7,943

8,515

7,815

   

of which: Advance release of Plan

               
   

Assistance for Natural Calamities

 

2.

Central Plan Schemes

240

120

 

3.

Centrally Sponsored Schemes

1,313

25,600

7,769

3,277

91

5

132

264

 

4.

Non-Plan (i to ii)

3,473

4,550

103

50

38,141

130

839

839

   

(i) Relief for Natural Calamities

   

(ii) Others

3,473

4,550

103

50

38,141

130

839

839

 

5.

Ways and Means Advances from Centre

2,500

57,268

40,100

44,500

50,000

 

6.

Loans for Special Schemes

45

151

151

IV.

Recovery of Loans and Advances(1 to 12)

46,916

36,936

58,684

42,254

47

74

47

47

 

1.

Housing

2,338

2,765

1,955

1,958

1

1

1

1

 

2.

Urban Development

429

1,383

1,383

1,424

 

3.

Crop Husbandry

14

13

13

14

 

4.

Food Storage and Warehousing

1

 

5.

Co-operation

1,071

1,373

1,373

1,510

4

12

5

8

 

6.

Minor Irrigation

11

10

10

10

 

7.

Power Projects

32

16,253

16,095

17,227

 

8.

Village and Small Industries

92

70

75

80

1

 

9.

Industries and Minerals

20,801

22,130

 

10.

Road Transport

77

 

11.

Government Servants, etc.+

8,003

9,622

9,212

11,141

41

60

40

36

 

12.

Others**

14,048

5,446

6,438

8,890

1

1

1

1

V.

Inter-State Settlement (net)

VI.

Contingency Fund (net)

-2,104

VII.

Small Savings, Provident

               
 

Funds etc.(net) (1+2)

5,801

73,227

184,370

75,486

-4,746

4,417

1,826

3,756

 

1.

State Provident Funds

-5,401

65,058

154,843

65,247

-5,629

2,000

500

2,432

 

2.

Others

11,202

8,169

29,527

10,239

883

2,417

1,326

1,324

VIII.

Reserve Funds (net) (1 to 4)

207,409

129,622

322,587

392,509

116

2

477

 

1.

Depreciation/Renewal Reserve Funds

30

80

84

87

 

2.

Sinking Funds

 

3.

Famine Relief Fund

24

30

30

30

 

4.

Others

207,355

129,512

322,473

392,392

116

2

477

IX.

Deposits and Advances (net) (1 to 4)

90,177

84,899

78,608

122,657

-1,549

700

20,050

10,300

 

1.

Civil Deposits

122,058

111,095

105,532

142,423

528

900

2,400

2,500

 

2.

Deposits of Local Funds

-17

-9

5

 

3.

Civil Advances

-34

-13

-12

-13

 

4.

Others

-31,830

-26,174

-26,917

-19,753

-2,077

-200

17,650

7,800

X.

Suspense and Miscellaneous@@ (net)(1+2)

311,106

-112,496

-11,651

-2,491

8,141

3,814

2,508

146

 

1.

Suspense

223,242

2,505

349

2,510

7,709

3,000

2,408

96

 

2.

Others

87,864

-115,001

-12,000

-5,001

432

814

100

50

XI.

Appropriation to Contingency Fund (net)

XII.

Miscellaneous Capital Receipts

 

of which

               
 

Disinvestment

       

XIII.

Remittances (net)

34,953

4,285

30,650

29,288

-2,369

2,050

4,000

5,000


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