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Asset Publisher

83586757

B1 : Liabilities and Assets of Scheduled Commercial Banks : 2005 and 2006 (Part 6 of 6)

(Amount in Rs. lakh)

Items

As on March 31

Lakshmi Vilas Bank

Lord Krishna Bank

Nainital Bank

2005

2006

2005

2006

2005

2006

(37)

(38)

(39)

(40)

(41)

(42)

1.

Cash in hand

4205

4469

1026

1224

870

1149

 

 

 

(1.0)

(0.9)

(0.4)

(0.5)

(0.8)

(0.9)

2.

Balances with RBI

21672

15542

9451

7510

4258

5176

 

 

 

(5.3)

(3.2)

(3.8)

(2.9)

(4.1)

(3.9)

3.

Balances with banks in India

7969

25077

1005

1367

15373

24066

 

 

 

(2.0)

(5.1)

(0.4)

(0.5)

(14.6)

( 18.2)

4.

Money at call and short notice

9998

2075

1250

 

 

 

(3.8)

(2.0)

(0.9)

5.

Balances with banks outside India

1577

1252

1017

2256

 

 

 

(0.4)

(0.3)

(0.4)

(0.9)

6.

Investments

118086

127987

84703

78949

42108

37172

 

 

 

(29.1)

(26.0)

(33.8)

(30.4)

(40.1)

(28.1)

 

6.1.

Investments in India

118086

127987

84703

78949

42108

37172

 

(i)

Government securities

107042

116769

73046

66288

21927

26119

 

(ii)

Other approved securities

1689

1689

1698

894

323

228

 

(iii)

Shares

392

359

74

77

9

 

(iv)

Debentures and Bonds

4509

3940

6135

5695

12549

10675

 

(v)

Subsidiaries and/or joint ventures

 

(vi)

Others

4454

5230

3750

5995

7300

150

 

6.2.

Investments outside India

 

(i)

Government securities

 

(ii)

Subsidiaries and/or joint ventures

 

(iii)

Others

7.

Advances

231771

295281

138682

142086

36321

60347

 

 

 

(57.2)

(60.0)

(55.4)

(54.7)

(34.6)

(45.7)

 

Type-wise

 

 

 

 

 

 

 

7A.1.

Bills purchased and discounted

20959

19416

14819

12685

235

545

 

7A.2.

Cash credits, overdrafts & loans

122037

136324

80432

76932

20296

32656

 

7A.3.

Term loans

88775

139541

43431

52469

15790

27146

 

Security-wise

 

 

 

 

 

 

 

7B.1.

Secured by tangible assets

206561

265113

116839

125200

34003

56062

 

7B.2.

Covered by Bank/Govt. Guarantees

6100

3746

4461

999

 

7B.3.

Unsecured

19111

26423

17382

15887

2318

4285

 

Sector-wise

 

 

 

 

 

 

 

7C.I.

Advances in India

231771

295283

138683

142086

36321

60347

 

(i)

Priority sectors

95043

107860

38109

47347

20262

30348

 

(ii)

Public sectors

14955

9695

3033

 

(iii)

Banks

978

494

 

(iv)

others

120795

177234

97541

94739

16059

29999

 

7C.II.

Advances outside India

8.

Fixed Assets

3411

3247

2906

2463

565

760

 

 

 

(0.8)

(0.7)

(1.2)

(0.9)

(0.5)

(0.6)

 

8.1.

Premises

1670

1692

414

407

255

276

 

8.2.

Fixed assets under construction

 

8.3.

Other Fixed assets

1741

1555

2492

2056

310

484

9.

Other Assets

16647

19083

11724

14079

3445

2221

 

 

 

(4.1)

(3.9)

(4.7)

(5.4)

(3.3)

(1.7)

 

9.1

Inter - office adjustments (net)

694

124

 

9.2

Interest accrued

2666

2429

2063

2151

1865

1415

 

9.3

Tax paid

8746

9661

2760

3325

199

431

 

9.4

Stationery and Stamps

68

71

26

25

 

9.5

Others

5167

6922

6875

8578

687

251

 

Total Assets

405338

491938

250514

259932

105015

132141

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)



(Amount in Rs. lakh)

Items

As on March 31

Ratnakar Bank

Sangli Bank

SBI Comm.& Int. Bank

2005

2006

2005

2006

2005

2006

(43)

(44)

(45)

(46)

(47)

(48)

1.

Capital

1938

2848

2230

2356

10000

10000

 

 

 

 

(2.2)

(2.9)

( 1.1)

( 1.1)

(21.0)

(18.9)

 

 

 

 

 

 

 

 

 

 

2.

Reserves and Surplus

2583

2570

6296

5880

-1162

-587

 

 

 

 

(3.0)

(2.6)

( 3.0)

( 2.7)

 

2.1.

 

Statutory Reserves

1750

1765

2065

2065

1251

1395

 

2.2.

 

Capital Reserves

21

35

181

181

 

2.3.

 

Share Premium

65

 

2.4.

 

Investments Fluctuations Reserves

387

310

111

59

 

2.5.

 

Revenue and other Reserves

817

762

3740

3634

 

2.6.

 

Balance of Profit

-457

8

-2524

-2041

 

 

 

 

 

 

 

 

 

 

3.

Deposits

78375

87418

198490

200423

33148

37817

 

 

 

 

(90.1)

(89.3)

( 93.9)

( 93.2)

(69.5)

(71.5)

 

 

 

 

 

 

 

 

 

 

 

Type-wise

 

 

 

 

 

 

 

3A.1. Demand deposits

9816

14830

18069

22906

1138

3098

 

(i)

 

From banks

240

392

413

469

 

(ii)

 

From others

9576

14438

17656

22437

1138

3098

 

3A.2.

Savings bank deposits

12496

18648

49127

58756

2470

2506

 

3A.3.

Term deposits

56063

53940

131294

118761

29540

32213

 

(i)

 

From banks

4167

4282

39939

29480

500

 

(ii)

 

From others

51896

49658

91355

89281

29040

32213

 

Location-wise

 

 

 

 

 

 

 

3B.1.

Deposits of branches in India

78375

87418

198490

200423

33148

37817

 

3B.2.

Deposits of branches outside India

4.

Borrowings

83

66

22

12

4400

3800

 

 

 

 

(0.1)

(0.1)

( 0.0)

( 0.0)

(9.2)

(7.2)

 

4.1.

 

Borrowings in India

83

66

22

12

4400

3800

 

(i)

 

From Reserve Bank of India

 

(ii)

 

From other banks

4400

3800

 

(iii)

 

From other institutions and agencies

83

66

22

12

 

4.2.

 

Borrowings outside India

 

Secured borrowings included in 4.

5.

Other Liabilities

4002

4939

4291

6412

1309

1882

 

 

 

 

(4.6)

(5.0)

( 2.0)

( 3.0)

(2.7)

(3.6)

 

5.1.

 

Bills Payable

1635

2094

1199

1487

337

615

 

5.2.

 

Inter-office adjustments

 

5.3.

 

Interest accured

320

346

1093

1273

339

435

 

5.4.

 

Others (including provisions)

2047

2499

1999

3652

633

832

 

Total Liabilities

86981

97841

211329

215083

47695

52912

 

 

 

 

(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)

Items

As on March 31

Ratnakar Bank

Sangli Bank

SBI Comm.& Int. Bank

2005

2006

2005

2006

2005

2006

(43)

(44)

(45)

(46)

(47)

(48)

1.

Cash in hand

1292

1489

2777

2889

80

70

 

 

 

(1.5)

(1.5)

(1.3)

(1.3)

(0.2)

(0.1)

2.

Balances with RBI

8119

9974

10659

6585

1694

1985

 

 

 

(9.3)

(10.2)

(5.0)

(3.1)

(3.6)

(3.8)

3.

Balances with banks in India

4392

5784

11873

13286

3771

3974

 

 

 

(5.0)

(5.9)

(5.6)

(6.2)

(7.9)

(7.5)

4.

Money at call and short notice

1000

497

1802

 

 

 

(1.1)

(1.0)

(3.4)

5.

Balances with banks outside India

440

318

2582

2216

 

 

 

(0.2)

(0.1)

(5.4)

(4.2)

6.

Investments

26464

27664

92028

82528

10135

11055

 

 

 

(30.4)

(28.3)

(43.5)

(38.4)

(21.2)

(20.9)

 

6.1.

Investments in India

26464

27664

92028

82528

10135

11055

 

(i)

Government securities

20385

20988

83780

74101

9451

10375

 

(ii)

Other approved securities

115

15

1088

1088

505

505

 

(iii)

Shares

283

276

226

145

23

19

 

(iv)

Debentures and Bonds

3350

3078

736

311

156

156

 

(v)

Subsidiaries and/or joint ventures

 

(vi)

Others

2331

3307

6198

6883

 

6.2.

Investments outside India

 

(i)

Government securities

 

(ii)

Subsidiaries and/or joint ventures

 

(iii)

Others

7.

Advances

42376

49083

81192

88829

23075

25375

 

 

 

(48.7)

(50.2)

(38.4)

(41.3)

(48.4)

(48.0)

 

Type-wise

 

 

 

 

 

 

 

7A.1.

Bills purchased and discounted

2633

1971

13479

36768

7485

3171

 

7A.2.

Cash credits, overdrafts & loans

20924

23968

48399

41400

10869

8189

 

7A.3.

Term loans

18819

23144

19314

10661

4721

14015

 

Security-wise

 

 

 

 

 

 

 

7B.1.

Secured by tangible assets

34139

41204

65269

49434

11521

20232

 

7B.2.

Covered by Bank/Govt. Guarantees

778

11379

27503

7441

3220

 

7B.3.

Unsecured

7459

7880

4543

11891

4113

1923

 

Sector-wise

 

 

 

 

 

 

 

7C.I.

Advances in India

42376

49084

81192

88828

23075

25376

 

(i)

Priority sectors

13242

15963

11892

7468

907

2359

 

(ii)

Public sectors

4178

2153

 

(iii)

Banks

778

11095

27500

 

(iv)

others

28356

33121

58205

53860

17990

20864

 

7C.II.

Advances outside India

8.

Fixed Assets

1316

1548

3144

2930

4825

4751

 

 

 

(1.5)

(1.6)

(1.5)

(1.4)

(10.1)

(9.0)

 

8.1.

Premises

302

390

2772

2653

4762

4692

 

8.2.

Fixed assets under construction

82

215

 

8.3.

Other Fixed assets

932

943

372

277

63

59

9.

Other Assets

2023

2298

9218

17721

1036

1682

 

 

 

(2.3)

(2.3)

(4.4)

(8.2)

(2.2)

(3.2)

 

9.1

Inter - office adjustments (net)

19

347

127

248

 

9.2

Interest accrued

655

578

1759

1738

356

335

 

9.3

Tax paid

925

852

1526

2439

401

155

 

9.4

Stationery and Stamps

27

24

58

59

2

2

 

9.5

Others

397

497

5748

13237

277

1190

 

Total Assets

86982

97840

211331

215086

47695

52910

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)



(Amount in Rs. lakh)

Items

As on March 31

South Indian Bank

Tamilnad Mercantile Bank

United Western Bank

2005

2006

2005

2006

2005

2006

(49)

(50)

(51)

(52)

(53)

(54)

1.

Capital

4768

7041

28

28

2989

9450

 

 

 

 

(0.5)

(0.7)

(0.0)

(0.0)

(0.4)

(1.3)

2.

Reserves and Surplus

40757

57045

55855

65651

21406

20682

 

 

 

 

(4.3)

(5.3)

(9.9)

(10.8)

(3.0)

(2.9)

 

2.1.

 

Statutory Reserves

10027

11300

17220

20270

8713

8713

 

2.2.

 

Capital Reserves

2815

4077

340

414

19

19

 

2.3.

 

Share Premium

10062

22789

5473

4875

 

2.4.

 

Investments Fluctuations Reserves

8206

8206

4925

4925

 

2.5.

 

Revenue and other Reserves

9643

10025

38272

44936

2276

2150

 

2.6.

 

Balance of Profit

4

648

23

31

3.

Deposits

849232

957865

482688

520287

645287

648019

 

 

 

 

(89.6)

(88.5)

(85.9)

(85.3)

(91.1)

(90.4)

 

Type-wise

 

 

 

 

 

 

 

3A.1. Demand deposits

47872

56357

67403

74840

89236

122247

 

(i)

 

From banks

220

369

308

150

2486

3972

 

(ii)

 

From others

47652

55988

67095

74690

86750

118275

 

3A.2.

Savings bank deposits

162630

196631

59927

73011

118438

137557

 

3A.3.

Term deposits

638730

704877

355358

372436

437613

388215

 

(i)

 

From banks

54920

31416

20400

10490

63250

52023

 

(ii)

 

From others

583810

673461

334958

361946

374363

336192

 

Location-wise

 

 

 

 

 

 

 

3B.1.

Deposits of branches in India

849231

957866

482688

520287

645288

648019

 

3B.2.

Deposits of branches outside India

4.

Borrowings

373

72

1134

2314

3790

3042

 

 

 

 

(0.0)

(0.0)

(0.2)

(0.4)

(0.5)

(0.4)

 

4.1.

 

Borrowings in India

97

72

1134

2314

3352

3042

 

(i)

 

From Reserve Bank of India

2000

 

(ii)

 

From other banks

2

 

(iii)

 

From other institutions and agencies

95

72

1134

314

3352

3042

 

4.2.

 

Borrowings outside India

276

438

 

Secured borrowings included in 4.

5.

Other Liabilities

52623

60719

21976

21993

34892

35506

 

 

 

 

(5.6)

(5.6)

(3.9)

(3.6)

(4.9)

(5.0)

 

5.1.

 

Bills Payable

9093

9135

11448

13245

3359

5817

 

5.2.

 

Inter-office adjustments

601

2179

2053

 

5.3.

 

Interest accured

3158

3525

1579

1743

5514

5949

 

5.4.

 

Others (including provisions)

39771

48059

8949

7005

23840

21687

 

Total Liabilities

947753

1082742

561681

610273

708364

716699

 

 

 

 

(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)

Items

As on March 31

South Indian Bank

Tamilnad Mercantile Bank

United Western Bank

2005

2006

2005

2006

2005

2006

(49)

(50)

(51)

(52)

(53)

(54)

1.

Cash in hand

5987

6763

4317

3811

5840

5901

 

 

 

(0.6)

(0.6)

(0.8)

(0.6)

(0.8)

(0.8)

2.

Balances with RBI

37329

47845

26073

24320

31542

23536

 

 

 

(3.9)

(4.4)

(4.6)

(4.0)

(4.5)

(3.3)

3.

Balances with banks in India

20366

56853

15512

11413

23230

18089

 

 

 

(2.1)

(5.3)

(2.8)

(1.9)

(3.3)

(2.5)

4.

Money at call and short notice

10500

4725

2625

 

 

 

(1.0)

(0.8)

(0.4)

5.

Balances with banks outside India

6440

12387

1329

703

477

2293

 

 

 

(0.7)

(1.1)

(0.2)

(0.1)

(0.1)

(0.3)

6.

Investments

313342

273938

228556

236194

210235

221393

 

 

 

(33.1)

(25.3)

(40.7)

(38.7)

(29.7)

(30.9)

 

6.1.

Investments in India

313342

273938

228556

236194

210235

221393

 

(i)

Government securities

287864

245605

137566

143011

160980

170094

 

(ii)

Other approved securities

5101

4902

4821

3777

2561

2561

 

(iii)

Shares

739

1004

85

155

1011

1024

 

(iv)

Debentures and Bonds

13233

11460

81855

81820

36873

34444

 

(v)

Subsidiaries and/or joint ventures

8

8

 

(vi)

Others

6405

10967

4229

7431

8802

13262

 

6.2.

Investments outside India

 

(i)

Government securities

 

(ii)

Subsidiaries and/or joint ventures

 

(iii)

Others

7.

Advances

536526

637023

262624

312639

397628

400627

 

 

 

(56.6)

(58.8)

(46.8)

(51.2)

(56.1)

(55.9)

 

Type-wise

 

 

 

 

 

 

 

7A.1.

Bills purchased and discounted

53318

56069

25171

24280

86667

63809

 

7A.2.

Cash credits, overdrafts & loans

186251

237704

151067

169658

201731

218014

 

7A.3.

Term loans

296957

343250

86386

118701

109230

118804

 

Security-wise

 

 

 

 

 

 

 

7B.1.

Secured by tangible assets

449368

530805

232853

278912

292721

307190

 

7B.2.

Covered by Bank/Govt. Guarantees

32566

31730

1080

14743

64581

27232

 

7B.3.

Unsecured

54593

74488

28691

18984

40326

66205

 

Sector-wise

 

 

 

 

 

 

 

7C.I.

Advances in India

536526

637023

262624

312639

397628

400626

 

(i)

Priority sectors

170973

226685

124431

143986

127574

155094

 

(ii)

Public sectors

56967

60432

8664

 

(iii)

Banks

60453

20000

 

(iv)

others

308586

349906

129529

168653

209601

225532

 

7C.II.

Advances outside India

8.

Fixed Assets

7760

8981

5090

5243

10806

10341

 

 

 

(0.8)

(0.8)

(0.9)

(0.9)

(1.5)

(1.4)

 

8.1.

Premises

6385

7564

2859

2723

7932

7805

 

8.2.

Fixed assets under construction

 

8.3.

Other Fixed assets

1375

1417

2231

2520

2874

2536

9.

Other Assets

20000

28453

13454

13327

28607

34521

 

 

 

(2.1)

(2.6)

(2.4)

(2.2)

(4.0)

(4.8)

 

9.1

Inter - office adjustments (net)

6613

 

9.2

Interest accrued

10061

10664

7482

7841

4691

4240

 

9.3

Tax paid

7046

5708

 

9.4

Stationery and Stamps

140

115

21

15

270

307

 

9.5

Others

9799

11061

5951

5471

16600

24266

 

Total Assets

947750

1082743

561680

610275

708365

716701

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)



(Amount in Rs. lakh)

 

 

 

 

As on March 31

 

 

 

Items

UTI Bank

Yes Bank

 

 

 

 

2005

2006

2005

2006

 

 

 

 

(55)

(56)

(57)

(58)

1.

Capital

27380

27869

20000

27000

 

 

 

 

(0.7)

(0.6)

( 15.6)

( 6.5)

2.

Reserves and Surplus

214780

260693

1700

30269

 

 

 

 

(5.7)

(5.2)

(1.3)

(7.3)

 

2.1.

 

Statutory Reserves

29865

41992

1383

 

2.2.

 

Capital Reserves

6226

7271

 

2.3.

 

Share Premium

126895

135546

1700

25113

 

2.4.

 

Investments Fluctuations Reserves

29281

 

2.5.

 

Revenue and other Reserves

2772

2780

 

2.6.

 

Balance of Profit

19741

73104

3773

3.

Deposits

3171199

4011353

66304

291038

 

 

 

 

(84.0)

(80.7)

(51.9)

(69.9)

 

Type-wise

 

 

 

 

 

3A.1. Demand deposits

715483

797008

715

30093

 

(i)

 

From banks

32200

43952

 

(ii)

 

From others

683283

753056

715

30093

 

3A.2.

Savings bank deposits

489086

806544

198

1077

 

3A.3.

Term deposits

1966630

2407801

65391

259868

 

(i)

 

From banks

437874

505358

53900

 

(ii)

 

From others

1528756

1902443

65391

205968

 

Location-wise

 

 

 

 

 

3B.1.

Deposits of branches in India

3171200

4011353

66303

291038

 

3B.2.

Deposits of branches outside India

4.

Borrowings

178141

268093

36974

46476

 

 

 

 

(4.7)

(5.4)

(28.9)

(11.2)

 

4.1.

 

Borrowings in India

130021

209178

31899

33300

 

(i)

 

From Reserve Bank of India

 

(ii)

 

From other banks

17030

86798

20700

32300

 

(iii)

 

From other institutions and agencies

112991

122380

11199

1000

 

4.2.

 

Borrowings outside India

48120

58915

5075

13176

 

Secured borrowings included in 4.

22787

12994

5.

Other Liabilities

182868

405103

2840

21472

 

 

 

 

(4.8)

(8.1)

(2.2)

(5.2)

 

5.1.

 

Bills Payable

48709

113529

175

1229

 

5.2.

 

Inter-office adjustments

 

5.3.

 

Interest accured

4780

6452

284

1588

 

5.4.

 

Others (including provisions)

129379

285122

2381

18655

 

Total Liabilities

3774368

4973111

127818

416255

 

 

 

 

(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)

Items

As on March 31

UTI Bank

Yes Bank

2005

2006

2005

2006

(55)

(56)

(57)

(58)

1.

Cash in hand

27290

48983

28

90

 

 

 

(0.7)

(1.0)

(0.0)

(0.0)

2.

Balances with RBI

317584

193957

4105

8727

 

 

 

(8.4)

(3.9)

(3.2)

(2.1)

3.

Balances with banks in India

50652

43085

6

24

 

 

 

(1.3)

(0.9)

(0.0)

(0.0)

4.

Money at call and short notice

46021

69978

1000

11626

 

 

 

(1.2)

(1.4)

(0.8)

(2.8)

5.

Balances with banks outside India

8746

8182

163

1090

 

 

 

(0.2)

(0.2)

(0.1)

(0.3)

6.

Investments

1504802

2152735

39486

135014

 

 

 

(39.9)

(43.3)

(30.9)

(32.4)

 

6.1.

Investments in India

1504802

2152735

39486

135014

 

(i)

Government securities

751869

1176967

26870

81194

 

(ii)

Other approved securities

 

(iii)

Shares

21741

42980

163

 

(iv)

Debentures and Bonds

598491

693491

12566

31741

 

(v)

Subsidiaries and/or joint ventures

 

(vi)

Others

132701

239297

50

21916

 

6.2.

Investments outside India

 

(i)

Government securities

 

(ii)

Subsidiaries and/or joint ventures

 

(iii)

Others

7.

Advances

1560292

2231423

76098

240709

 

 

 

(41.3)

(44.9)

(59.5)

(57.8)

 

Type-wise

 

 

 

 

 

7A.1.

Bills purchased and discounted

74265

58381

2784

5335

 

7A.2.

Cash credits, overdrafts & loans

445484

604662

8329

37721

 

7A.3.

Term loans

1040543

1568380

64985

197653

 

Security-wise

 

 

 

 

 

7B.1.

Secured by tangible assets

1347846

1978890

36987

170198

 

7B.2.

Covered by Bank/Govt. Guarantees

10003

26655

126

690

 

7B.3.

Unsecured

202443

225879

38985

69821

 

Sector-wise

 

 

 

 

 

7C.I.

Advances in India

1560293

2231419

76098

240710

 

(i)

Priority sectors

440359

772993

2500

63432

 

(ii)

Public sectors

3834

6360

 

(iii)

Banks

198

2517

 

(iv)

others

1115902

1449549

73598

177278

 

7C.II.

Advances outside India

3

8.

Fixed Assets

51843

56772

1964

3472

 

 

 

(1.4)

(1.1)

(1.5)

(0.8)

 

8.1.

Premises

2985

2818

 

8.2.

Fixed assets under construction

1564

1437

330

529

 

8.3.

Other Fixed assets

47294

52517

1634

2943

9.

Other Assets

207137

167998

4966

15501

 

 

 

(5.5)

(3.4)

(3.9)

(3.7)

 

9.1

Inter - office adjustments (net)

 

9.2

Interest accrued

26725

39709

793

1990

 

9.3

Tax paid

9678

10947

34

2487

 

9.4

Stationery and Stamps

70

80

 

9.5

Others

170664

117262

4139

11024

 

Total Assets

3774367

4973113

127816

416253

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)



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