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ಭಾರತೀಯ ರಿಸರ್ವ್ ಬ್ಯಾಂಕ್ ಒಳಗಿನ ವಿವಿಧ ಕಾರ್ಯಗಳ ಬಗ್ಗೆ ಇನ್ನಷ್ಟು ತಿಳಿಯಿರಿ
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA : 2007 AND 2008
(Amount in Rs.crore)
As on March 31
Items
State Bank of India& its Associates
Nationalised Banks $
Foreign Banks
Other Scheduled Commercial Banks
All Scheduled Commercial Banks
2007
2008
(1)
(2)
(3)
(4)
(5)
(6)
(7)
(8)
(9)
(10)
Number of reporting banks
8
20
29
28
25
23
82
79
Liabilities
1.
Capital
1036
1566
11381
11499
12999
22223
4144
4613
29559
39900
2.
Reserves and Surplus
41905
60140
81307
101647
20076
27109
46328
86761
189616
275654
2.1.
Statutory Reserves
24916
30535
20346
25149
6199
7880
8450
10940
59911
74504
(i)
Opening balance
20870
16785
5006
6077
6616
8399
49277
59738
(ii)
Additions during the Year
4046
5619
3561
4803
1193
1803
1834
2541
10634
14766
(iii)
Deductions during the Year
-
2.2.
Capital Reserves
632
644
8195
14680
3071
4359
1353
1940
13251
21622
614
5309
8397
2611
3025
1145
1342
9679
13396
18
12
3116
6911
460
1334
222
624
3816
8880
230
628
14
26
244
654
2.3.
Share Premium
3863
20451
12793
14853
20281
53435
36938
88739
12095
18510
20258
34468
36914
16617
698
2060
1820
33892
2518
52568
49
715
48
743
2.5.
Investment Fluctuations Reserves
62
166
176
98
156
190
241
454
633
789
167
287
92
366
1442
448
9
22
64
69
65
203
(iii)Deductions during the Year
648
211
194
1053
2.6.
Revenue and other Reserves
12492
8446
36390
44470
8427
11987
11340
12268
68649
77171
11272
12524
27836
35857
6290
8203
9886
11093
55284
67677
1249
1383
9348
12556
2305
3961
1585
1388
14486
19288
5461
794
3943
168
177
131
213
1121
9794
Balance of Profit
2
3417
2319
2281
2727
4714
7937
10413
12985
3.
Deposits (3.1+3.2+3.3)
633475
773874 1360724 1679993
150750
191114
551987
675073 2696934 3320052
3.1.
Demand Deposits [(i)+(ii)]
99635
120195
135766
163127
46154
59200
73340
99534
354895
442054
From banks
13337
15390
4855
5923
998
1580
2262
2772
21452
25665
From others
86298
104805
130911
157204
45156
57620
71078
96762
333443
416389
3.2.
Savings bank deposits
172082
204635
346389
391099
21839
26254
91342122064
631651
744051
3.3.
Term Deposits [(i)+(ii)]
361758
449044
878569 1125767
82757
105660
387305
453475 1710388 2133947
(i
5895
9198
45117
52623
4242
7104
35165
32203
90418
101129
355863
439846
8334521073144
78515
98556
352140
42127216199702032818
3A.
Deposits of branches in India
617891
75114712940221605527
542966
66663226056283214418
3B.
Deposits of branches outside India
15584
22728
66702
74466
9021
8442
91307
105636
773875
1360724
1679993
675074
2696935
3320054
Total (3.A + 3.B)
Note : $ Includes IDBI Bank Ltd. Source : Annual accounts of banks of respective years.
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF
SCHEDULED COMMERCIAL BANKS IN INDIA : 2007 AND 2008 (Contd.)
State Bank of India
Nationalised
Foreign
Other Scheduled
All Scheduled
& its
Banks $
Banks
Commercial
Associates
4.
Borrowings
48323
64591
73449
86556
51106
58362
70131
87842 243009 297349
4.1.
Borrowings in India
12108
22121
57160
60968
35513
29620
24906
21549
129687
134255
From Reserve Bank of India
2455
2027
4445
3771
6248
9652
2071
1715
15219
17165
From other banks
1731
10345
2650
4220
21781
11310
9331
6082
35493
31955
(iii) From other institutions and agencies
7922
9749
50065
52977
7484
8658
13504
13752
78975
85135
4.2. Borrowings outside India
36215
42470
16289
25588
15593
28742
45225
66293
113322
163094
5.
Other liabilities and provisions
81055
110997 107507
131374
39461
65292
72813
85861
300834
393520
Bills Payable
24876
24833
13964
18772
3735
3867
11983
11872
54559
59344
Inter-office adjustments
1423
359
4620
2540
31
508
1203
6643
4132
(iii) Interest accured
5968
8003
7109
8211
1761
1882
4980
6016
19818
24112
(iv)
Subordinate debt.
3410
5192
33143
39988
2864
3723
27396
28705
66812
77607
(v)
Deferred Tax Liabilities
484
736
264
4
6
175
1426
444
(vi)
Others (including provisions)
44894
72610
47935
61599
31005
55783
27743
37890
151576
227881
Total Liabilities
805794
1011168 1634368
2011069
274392
364100
745403
940150
3459952
4326475
6.
Cash and balances with RBI
44828
74714
97384
154965
12145
22011
40910
71307
195264
322996
6.1.
Cash in hand
2941
3716
6998
8847
396
567
5158
7224
15492
20355
6.2.
Balances with RBI
41887
70998
90386
146118
11749
21444
35752
64083
179772
302641
In current account
43584
90228
145899
11747
21442
35652
63983
179513
274907
In other account
27414
158
219
100
259
27734
7.
Balances with banks and money at
29057
19070
65339
45371
26611
19934
37294
25952
158298
110322
call and short notice(7.1+7.2)
7.1.
In India (7.1.1+7.2.2)
11387
12390
27833
25527
14768
15534
15069
69520
60988
1. Balances with Banks
2466
5611
16256
16774
13711
7005
11976
9646
44408
39036
1608
1609
6228
6640
1024
1439
3148
3571
12007
13259
In other deposit account
858
4002
10028
10134
12687
5566
8828
6075
32401
25777
7.1.2 Money at call and short notice
8921
6779
11577
8753
1057
3558
5423
25112
21952
with Banks
8353
10784
7563
989
778
3168
4885
23294
20005
with other institutions
568
793
1190
68
220
390
538
1818
1947
7.2
Outside India(7.2.1+7.2.2)
17670
6680
37506
19844
11843
11931
21760
10883
88778
49334
7.2.1 Balances with Banks
6485
3198
29180
14629
3611
7101
15641
6398
54916
31324
(i) In current account
2654
2328
2364
3794
1400
1778
2548
2648
8966
10547
(ii) In other deposit account
3831
870
26816
10835
2211
5323
13093
3750
45950
20777
7.2.2 Money at call and short notice
11185
3482
8326
5215
8232
4830
6119
4485
33862
18010
SCHEDULED COMMERCIAL BANKS IN INDIA : 2007 AND 2008(Contd.)
2008 2007
(2) (3)
(6) (7)
(8) (9)
8.
Investments(8.1 + 8.2)
211874
263824
452981
535205
71471
98910
214655
278217
950977 1176150
8.1
In India in
206062
258653
441949
522274
209575
271256
929055
1151089
Government securities
176887
208370
358066
435060
56220
82927
159549
193885
750722
920241
Other approved securities
4093
3260
8245
7014
85
33
341
281
12764
10587
Shares
2706
5162
9378
10847
36
94
2953
4221
15073
20324
Debentures and Bonds
10276
19534
42831
39477
5604
2560
21845
23870
80555
85440
Subsidiaries and/or joint ventures
3808
2357
2788
3007
5421
7626
12016
Others
9838
18519
21072
27088
9526
13296
21880
43578
62315
102481
8.2
Outside India in
5812
5171
11032
12931
5080
6961
21922
25061
394
2854
5024
302
140
5558
352
253
608
1479
3886
2084
5107
4892
4163
7925
7299
3299
2935
16115
14396
9.
Advances
482270
593723
957877
1203782
126339
161133
414751
518402
1981235
2477037
9A.
Bills purchased and discounted
37087
44280
55609
63503
11544
15760
20053
27441
124292
150983
Cash credits, overdrafts &
180696
221771
376260
470702
49765
66584
103082
130607
709803
889663
loans repayable on loan
Term loans
264487
327672
526008
669577
65030
78789
291616
360354
1147140
1436391
Total
9B.
Secured by tangible assets
352144
430102
732692
899312
64158
69679
325641
395941
1474634
1795033
Covered by Bank/Government
26865
25535
59141
63215
4495
6345
12045
14774
102545
109869
Guarantees
Unsecured
103260
138086
166044
241254
57686
85109
77066
107687
404056
572135
482269
1203781
414752
9.C. I.
Advances in India
444216
537583
910044
1140340
126338
161132
387766
465276
1868363
2304328
Priority sectors
157426
182958
332265
391903
34665
47683
130961
151721
655316
774265
Public sectors
37889
36535
104892
130720
1120
576
8784
10153
152684
177983
2822
210
8820
9417
731
922
1541
569
13914
11116
others
246079
317880
464067
608300
89822
111951
246480
302833
1046449
1340964
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA : 2007 AND 2008 (Concld.)
9.C.II.
Advances Outside India
38053
56140
47833
63443
26985
53128
112870
172707
Due from Banks
2834
2135
7854
9897
3003
4123
13691
16154
Due from Others
35219
54005
39979
53546
23982
49005
99179
156553
a) Bills purchased and discounted
10449
15543
14236
16840
2491
2212
27176
34594
b) Syndicate loans
12606
19857
9140
13382
14902
29186
36647
62424
c) Others
12164
18605
16603
23324
6589
17607
35356
59535
Total(9CI+9CII)
9578771203783
518404 1981233 2477035
10.
Fixed Assets
3962
4592
16232
24205
3002
3968
8168
9629
31363
42394
10.1
Premises
1347
1356
12252
19826
2194
3354
4278
19148
28531
(i) At cost as on 31st March of the
1874
1988
8263
15670
1770
1991
3702
15608
23651
preceding year
(ii) Additions during the Year
117
87
6517
7171
714
1360
456
1125
7804
9742
(iii) Deductions during the Year
3
1
235
327
67
32
160
81
464
440
(iv) Depreciation to date
641
718
2293
2688
223
248
768
3800
4422
10.2.
Assets under construction
145
93
144
127
153
275
423
787
10.3
Other Fixed assets
2380
2950
3787
4182
751
682
3565
4215
10483
12028
7097
7852
10598
12336
1975
1912
6696
7862
26364
29961
910
1556
2075
408
424
1421
1861
4814
5867
155
133
337
382
254
184
929
804
5472
6325
8549
9799
1378
1521
4368
5352
19766
22996
10.4
Assets on Lease
90
45
53
24
88
1096
861
1309
1048
1177
1176
1801
1127
115
2705
2579
5714
4997
21
63
59
76
192
732
52
15
191
99
1010
358
1011
939
990
35
1641
3458
3650
11.
Other Assets
33804
55250
44555
47539
34825
58143
29628
36643
142809
197570
Inter - office adjustments (net)
1808
13190
2155
3371
510
172
4522
16887
Interest accrued
7229
8815
12027
2710
2715
7055
7886
29021
33106
Tax paid in advance/tax de
3454
4355
11836
13011
1146
854
5793
6050
22228
24269
ducted at source
Stationery and Stamps
106
122
105
108
39
51
251
282
21207
28768
18432
17358
30918
54418
16231
22484
86787
123026
Total Assets
805795
1011173
1634368
2011067
274393
364099
745406
3459946
4326469
Note : $ Includes IDBI Bank Ltd. Source :Annual accounts of banks of respective years.
ಭಾರತೀಯ ರಿಸರ್ವ್ ಬ್ಯಾಂಕ್ ಮೊಬೈಲ್ ಅಪ್ಲಿಕೇಶನ್ ಅನ್ನು ಇನ್ಸ್ಟಾಲ್ ಮಾಡಿ ಮತ್ತು ಇತ್ತೀಚಿನ ಸುದ್ದಿಗಳಿಗೆ ತ್ವರಿತ ಅಕ್ಸೆಸ್ ಪಡೆಯಿರಿ!
ಈ ಪುಟದ ಬಗ್ಗೆ ನೀವು ಏನನ್ನು ಯೋಚಿಸಿದ್ದೀರಿ?* (ಗರಿಷ್ಠ 2000 ಕ್ಯಾರೆಕ್ಟರ್ಗಳು)
ಕ್ಯಾಪ್ಚಾ ಕೋಡ್ ನಮೂದಿಸಿ*: