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Table 3.1 : Bank Group-Wise Liabilities And Assets of Scheduled Commercial Banks In India : 2008 and 2009

(Amount in Rs. crore)

Items

As on March 31

State Bank of India & its Associates

Nationalised Banks $

Foreign Banks

Other Scheduled Commercial Banks

All Scheduled Commercial Banks

2008

2009

2008

2009

2008

2009

2008

2009

2008

2009

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

 Number of reporting banks

8

7

20

20

28

31

23

22

79

80

 Liabilities

 

 

 

 

 

 

 

 

 

 

 1. Capital

1566

1080

11499

12456

22286

25911

4613

4590

39964

44037

 2. Reserves and Surplus

60140

71342

101581

123421

27046

34026

86757

95430

275524

324219

2.1. Statutory Reserves

30535

36572

25149

30994

7880

9805

10940

13739

74505

91110

2.2. Capital Reserves

643

1693

14680

22500

2107

2349

2718

4206

20148

30748

2.3. Share Premium

20452

21011

14853

14854

-

-

52657

51845

87962

87710

2.4. Investment Fluctuations Reserves

62

-

186

445

155

316

252

281

655

1042

2.5. Revenue and other Reserves

8446

12064

44420

51931

14177

17121

12253

15256

79295

96373

2.6. Balance of Profit

2

2

2293

2697

2727

4435

7937

10103

12959

17237

3. Deposits ( 3.1+3.2+3.3 )

773874

1007043

1679993

2105705

191161

214077

675033

736379

3320062

4063204

Type-wise

 

 

 

 

 

 

 

 

 

 

3.1. Demand deposits

120195

132374

163127

178862

59200

60551

99534

100793

442056

472579

(i) From banks

15390

13295

5923

6123

1582

1494

2772

3392

25668

24303

(ii) From others

104805

119079

157204

172739

57618

59057

96762

97401

416388

448275

3.2. Savings bank deposits

204635

255855

391099

449627

26254

28789

122064

140269

744052

874540

3.3. Term deposits

449044

618814

1125767

1477216

105707

124737

453435

495317

2133954

2716085

(i) From banks

9198

14539

52623

80566

8035

11910

32253

39623

102110

146639

(ii) From others

439846

604275

1073144

1396650

97672

112827

421182

455694

2031844

2569446

Location-wise

 

 

 

 

 

 

 

 

 

 

3A. Deposits of branches in India

751147

975001

1605527

2005576

191161

214077

666591

723400

3214426

3918053

3B. Deposits of branches outside India

22728

32042

74466

100129

-

-

8442

12979

105636

145150

Total ( 3A. + 3B. )

773874

1007043

1679993

2105705

191161

214077

675033

736379

3320062

4063204

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 : 2008 AND  2009 (Contd.)

(Amount in Rs. crore)

Items

As on March 31

State Bank of India & its Associates

Nationalised Banks $

Foreign Banks

Other Scheduled Commercial Banks

All Scheduled Commercial Banks

2008

2009

2008

2009

2008

2009

2008

2009

2008

2009

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

4. Borrowings

64591

62240

91766

96064

58315

70127

87957

94753

302629

323185

4.1. Borrowings in India

22121

10754

66178

69947

29573

39662

21549

25349

139419

145710

(i) From Reserve Bank of India

2027

700

3771

7986

9652

1606

1715

1490

17165

11782

(ii) From other banks

10345

1220

4220

1619

11310

10627

5947

4965

31820

18430

(iii) From other institutions and agencies

9749

8834

58187

60342

8611

27429

13887

18894

90433

115498

4.2. Borrowings outside India

42470

51486

25588

26118

28742

30465

66409

69405

163210

177475

Secured borrowings included in 4

5774

6732

10006

9344

13872

22092

772

3109

30424

41277

5. Other liabilities and provisions

110787

138508

126126

148858

65291

103009

85783

96310

387987

486686

5.1. Bill payable

24833

24086

18772

15481

3867

2883

12045

9542

59517

51991

5.2. Inter-office adjustment

149

5847

2540

4417

30

6

1203

697

3922

10967

5.3. Interest accured

8003

10021

8211

8932

1882

2559

6053

8077

24149

29589

5.4. Subordinate debt.

4542

4267

42391

55322

4768

8123

29741

40609

81441

108320

5.5. Deferred tax liabilities

-

-

264

452

73

10

175

113

512

574

5.6. Others (including provisions)

73260

94288

53949

64254

54671

89429

36566

37274

218446

285245

Total Liabilities

1010959

1280212

2010965

2486505

364099

447149

940144

1027465

4326166

5241331

6. Cash and balances with RBI

74714

74107

154965

150033

22011

15646

71282

57477

322972

297264

6.1.  Cash in hand

3716

5443

8847

9138

567

587

7198

7966

20328

23133

6.2. Balances with RBI

70998

68665

146118

140895

21444

15058

64084

49512

302643

274131

(i) In current account

43584

68662

145899

139211

21442

15055

63984

49412

274909

272341

(ii) In other account

27414

3

219

1684

2

3

100

100

27735

1790

7. Balances with banks and money at call and short notice (7.1+7.2)

19069

53522

44517

77781

19935

33251

25588

34026

109109

198582

7.1. In India (7.1.1+7.2.2)

12390

28491

24673

28975

8003

6534

14705

21450

59773

85452

7.1.1. Balances with banks

5611

14579

15920

19350

7015

6072

12390

16147

40937

56149

(i) In current account

1609

1278

6599

5848

1439

1126

3570

2529

13217

10781

(ii) In other deposit accounts

4002

13301

9321

13502

5576

4946

8820

13618

27719

45368

7.1.2 Money at call and short notice

6779

13912

8753

9625

988

462

2315

5303

18836

29303

(i) with banks

6779

13912

7563

7396

768

347

1777

3056

16888

24712

(ii) with other institutions

-

-

1190

2229

220

115

538

2247

1947

4591

7.2 Outside India (7.2.1+7.2.2)

6680

25031

19844

48806

11931

26717

10883

12576

49337

113130

7.2.1 Balances with Banks

3198

15979

14629

35941

7101

15330

6398

7772

31326

75023

(i) In current account

2328

14531

3794

10820

1778

4189

2648

4160

10548

33700

(ii) In other deposit accounts

870

1448

10835

25121

5323

11141

3750

3612

20778

41322

7.2.2 Money at call and short notice

3482

9052

5215

12865

4830

11387

4485

4804

18011

38107

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 : 2008 AND  2009 (Contd.)

  (Amount in Rs. crore)

Items

As on March 31

State Bank of India & its Associates

Nationalised Banks $

Foreign Banks

Other Scheduled Commercial Banks

All Scheduled Commercial Banks

2008

2009

2008

2009

2008

2009

2008

2009

2008

2009

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

8. Investments

263823

357624

536018

655042

98910

130354

278578

306455

1177330

1449475

8.1 Investment in India in

258653

351140

523087

641526

98910

130353

271618

296073

1152267

1419093

(i) Government securities

208370

300264

435060

541332

82851

99997

193885

217121

920166

1158715

(ii) Other approved securities

3260

2252

7014

5678

33

6

281

217

10588

8154

(iii) Shares

5162

5117

10847

9713

104

98

4221

2846

20334

17774

(iv) Debentures and Bonds

19534

17487

39477

41346

2561

2959

23869

24419

85441

86211

(v) Subsidiaries and/or joint ventures

3808

3650

2788

3177

-

-

5421

7087

12017

13913

(vi) Others

18519

22370

27901

40280

13361

27293

43941

44383

103721

134326

8.2 Investment outside India in

5171

6483

12931

13516

-

-

6961

10382

25062

30381

 (i) Government securities

394

743

5024

4892

-

-

140

95

5558

5730

(ii) Subsidiaries and/or joint ventures

614

1255

608

847

-

-

3886

6606

5107

8708

(iii)Others

4163

4485

7299

7777

-

-

2935

3681

14397

15943

9. Advances

593722

739606

1203678

1520549

161133

165415

518402

575336

2476936

3000906

Type-wise

 

 

 

 

 

 

 

 

 

 

9A. (i) Bills purchased and discounted

44280

53465

63503

74058

15763

15160

27441

31227

150988

173911

(ii)Cash credits,overdrafts & loans repayable on  demand

221771

300331

470672

595667

66578

72723

129861

144835

888882

1113556

 (iii)  Term loans

327672

385809

669503

850825

78791

77531

361100

399274

1437066

1713439

Security-wise

 

 

 

 

 

 

 

 

 

 

9B. (i)    Secured by tangible assets

430102

513218

899288

1136947

66932

77454

395941

443080

1792263

2170699

 (ii)   Covered by Bank/Government Guarantees

25535

83871

63215

87365

6487

5053

14713

10795

109950

187084

 (iii)  Unsecured

138086

142517

241175

296237

87714

82908

107749

121461

574723

643123

 Sector-wise & Location-wise

 

 

 

 

 

 

 

 

 

 

9.C.I. Advances in India

537583

653819

1140236

1423327

161133

165414

465276

510045

2304227

2752606

(i)   Priority sectors

182958

212215

399129

469116

47668

51607

151721

176958

781476

909896

(ii)  Public sectors

36535

48648

132519

173851

497

517

10127

9230

179678

232246

(iii) Banks

204

350

9661

6218

922

1013

569

648

11356

8230

(iv) Others

317886

392606

598927

774142

112046

112277

302859

323209

1331717

1602234

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 : 2008 AND  2009 (Concld.)

(Amount in Rs. crore)

Items

As on March 31

State Bank of India & its Associates

Nationalised Banks $

Foreign Banks

Other Scheduled Commercial Banks

All Scheduled Commercial Banks

2008

2009

2008

2009

2008

2009

2008

2009

2008

2009

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

9.C.II. Advances outside India

56140

85787

63443

97222

-

-

53128

65292

172709

248300

(i) Due from banks

2135

4412

9897

16392

-

-

4123

1565

16154

22369

(ii) Due from others

54005

81375

53546

80830

-

-

49005

63727

156555

225931

a) Bills purchased and discounted

15543

29309

16840

22334

-

-

2212

1813

34595

53455

b) Syndicate loans

19857

27094

13382

23829

-

-

29186

31433

62425

82356

c) Others

18605

24972

23324

34667

-

-

17607

30481

59535

90120

10. Fixed Assets

4591

5512

24206

28231

3969

4738

9628

9880

42394

48362

10.1 Premises

1356

1870

19837

23274

3066

3024

4278

4542

28538

32709

10.2.Fixed assets under construction

241

278

144

250

127

712

275

227

787

1467

10.3 Other fixed assets

2995

3363

4222

4707

777

1003

5075

5113

13069

14185

11.Other Assets

55039

49840

47580

54867

58141

97746

36666

44290

197425

246743

(i)  Inter - office adjustments (net)

12980

3470

3371

3474

155

96

172

122

16677

7161

(ii)  Interest accrued

8815

9313

13691

15354

2714

3066

7886

9153

33107

36886

(iii) Tax paid in advance/tax deducted at source

4355

5289

13011

15024

854

1029

6040

6407

24259

27749

(iv)  Stationery and stamps

122

121

108

120

1

1

51

56

282

299

(v)   Others

28768

31648

17399

20896

54417

93554

22516

28552

123100

174649

Total Assets

1010959

1280212

2010965

2486505

364099

447149

940144

1027465

4326166

5241331

Note : $ Includes IDBI Bank Ltd.
Source : Annual accounts of banks of respective years.

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