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B9 : Maturity Profile of Selected Items of Liabilities and Assets of Scheduled Commercial Banks : 2003 and 2004 (Part 2 of 8)

NATIONALISED BANKS

(Amount in Rs. Lakh)

Maturity-wise

      Bank of Maharashtra

       Canara Bank

    Central Bank of India

           Corporation Bank

Liabilities/Assets

2003

2004

2003

2004

2003

2004

2003

2004

(9)

(10)

(11)

(12)

(13)

(14)

(15)

(16)

I.  Deposits

2217575

2644593

7209482

8634456

5045085

5517216

2172457

2319093

     a) 1 -14 days

69242

82805

460804

350232

185944

155989

134179

123916

     b) 15-28 days

20373

16618

243747

350232

51385

77575

33873

32393

     c) 29 days to 3 months

39390

82412

619484

749187

149977

163412

241284

216113

     d) Over 3 months to 6 months

52364

93454

478645

703161

131267

253632

150311

224480

     e) Over 6 months to one year

117776

149311

691216

973027

168213

209129

369614

326295

     f) Over one year to 3 years

801695

896957

1108911

2479000

1653608

1738760

1118157

1291389

     g) Over 3 years to 5 years

406139

460648

563439

701200

1006799

1012312

86866

69572

     h) Over 5 years

710596

862388

3043236

2328417

1697892

1906407

38173

34935

II. Borrowings

30387

46992

9382

75490

14699

10796

80334

93413

     a) 1 -14 days

18

16633

79

8762

415

880

15833

9353

     b) 15-28 days

0

218

432

41

0

81

0

0

     c) 29 days to 3 months

79

6177

6160

10226

2

81

11600

28213

     d) Over 3 months to 6 months

3290

4453

715

12064

2493

1858

27968

43117

     e) Over 6 months to one year

4154

3744

875

43481

1972

1811

20926

9571

     f) Over one year to 3 years

13781

12481

164

511

5241

3925

2942

2822

     g) Over 3 years to 5 years

5820

2041

895

338

1543

1116

802

70

     h) Over 5 years

3245

1245

62

67

3033

1044

263

267

III. Loans and Advances

950814

1173151

4047160

4763863

2264977

2226675

1202917

1388972

     a) 1 -14 days

102381

129848

454004

508304

74690

106728

137985

114512

     b) 15-28 days

47649

22692

217351

266299

35281

52425

46084

57881

     c) 29 days to 3 months

82008

146009

516908

585479

92642

77547

61059

109574

     d) Over 3 months to 6 months

47730

61711

285581

354908

99544

128806

82896

67331

     e) Over 6 months to one year

53032

98777

685456

695048

97628

114696

113618

140807

     f) Over one year to 3 years

487525

403362

935153

1131417

1286886

1153579

359758

578424

     g) Over 3 years to 5 years

82138

112300

347129

686949

288880

302449

136775

107436

     h) Over 5 years

48351

198452

605578

535459

289426

290445

264742

213007

Source: Annual accounts of banks of respective years.


TABLE B9 : MATURITY PROFILE OF SELECTED ITEMS OF LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004

NATIONALISED BANKS

(Amount in Rs. Lakh)

Maturity-wise

      Bank of Maharashtra

       Canara Bank

    Central Bank of India

           Corporation Bank

Liabilities/Assets

2003

2004

2003

2004

2003

2004

2003

2004

(9)

(10)

(11)

(12)

(13)

(14)

(15)

(16)

IV. Investments (at book value)

1182692

1396161

3045824

3579299

2604535

3140512

1066990

1068504

     a) 1 -14 days

12340

0

52878

41372

1106

162782

3117

9736

     b) 15-28 days

797

2894

30194

37840

6989

16736

6414

12831

     c) 29 days to 3 months

14234

6453

94204

65636

21479

46758

74649

53491

     d) Over 3 months to 6 months

4955

7551

54291

66141

26956

38509

41590

24361

     e) Over 6 months to one year

15567

9598

77530

119157

31053

15092

87664

21040

     f) Over one year to 3 years

129096

205191

387420

362831

258671

383706

169072

131243

     g) Over 3 years to 5 years

230787

232599

341888

426762

460437

430391

141766

162513

     h) Over 5 years

774916

931875

2007419

2459560

1797844

2046538

542718

653289

 V.   Foreign Currency Assets

338244

59588

615883

1126199

68622

68594

287421

198076

     a) 1 -14 days

37686

24031

114918

364813

13468

15123

34308

19432

     b) 15-28 days

17420

1729

39906

82243

4179

5901

2731

13842

     c) 29 days to 3 months

140407

12520

140807

368502

22781

21618

109731

46428

     d) Over 3 months to 6 months

79418

20078

187489

157460

23007

22503

56287

36346

     e) Over 6 months to one year

62221

790

54650

22946

2334

978

53284

27706

     f) Over one year to 3 years

1092

160

46208

105507

2853

2471

19080

44660

     g) Over 3 years to 5 years

0

280

11021

4003

0

0

12000

9662

     h) Over 5 years

0

0

20884

20725

0

0

0

0

VI. Foreign Currency Liabilities

250585

38627

602402

1129048

81437

89570

184752

185485

     a) 1 -14 days

26294

6776

153519

144522

18787

28085

18441

21451

     b) 15-28 days

2292

2486

34963

64984

1450

1154

1057

1029

     c) 29 days to 3 months

88017

11066

79874

266874

8473

3923

96297

34264

     d) Over 3 months to 6 months

72869

5278

63815

125773

5964

6895

36490

50576

     e) Over 6 months to one year

56991

8520

97068

235243

17124

11741

32296

27067

     f) Over one year to 3 years

4103

4305

173163

291652

29639

37772

171

51098

     g) Over 3 years to 5 years

19

196

0

0

0

0

0

0

     h) Over 5 years

0

0

0

0

0

0

0

0

Source: Annual accounts of banks of respective years.


TABLE B9 : MATURITY PROFILE OF SELECTED ITEMS OF LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004

NATIONALISED BANKS

(Amount in Rs. Lakh)

Maturity-wise

                 Dena Bank

            Indian Bank

         Indian Overseas Bank

Oriental Bank of Commerce

Liabilities/Assets

2003

2004

2003

2004

2003

2004

2003

2004

(17)

(18)

(19)

(20)

(21)

(22)

(23)

(24)

I.  Deposits

1649126

1834918

2701593

3044439

3669859

4148258

2980909

3567350

     a) 1 -14 days

111329

149363

197713

290212

148960

430119

287297

228949

     b) 15-28 days

35953

36553

127107

123404

50983

104463

88996

150756

     c) 29 days to 3 months

94219

128289

196634

263718

147257

309543

341845

440195

     d) Over 3 months to 6 months

120816

142622

225668

227855

96990

402188

301099

552025

     e) Over 6 months to one year

254759

271707

342434

359527

123780

691133

708931

715766

     f) Over one year to 3 years

925309

991494

1283418

1499654

403769

901646

541613

831345

     g) Over 3 years to 5 years

68992

68496

204264

150398

940682

1260667

651629

583617

     h) Over 5 years

37749

46394

124355

129671

1757438

48499

59499

64697

II. Borrowings

22821

30837

44921

29892

35597

72947

76602

12718

     a) 1 -14 days

3

4351

17832

9027

2065

10479

3

40

     b) 15-28 days

0

445

0

900

0

7865

0

0

     c) 29 days to 3 months

10165

16664

997

1010

2246

368

12007

3

     d) Over 3 months to 6 months

1604

2212

1230

4014

1775

26467

54670

5839

     e) Over 6 months to one year

1985

1724

38

3993

1555

23395

9883

1023

     f) Over one year to 3 years

6605

3758

120

6607

26130

3446

28

5646

     g) Over 3 years to 5 years

1761

1106

88

3286

1214

563

11

46

     h) Over 5 years

698

577

24616

1055

612

364

0

121

III. Loans and Advances

843560

941179

1227499

1412608

1843127

2129319

1652429

2061230

     a) 1 -14 days

23367

66571

147808

252758

270254

317632

88051

137822

     b) 15-28 days

13562

16340

84106

122718

47115

37968

18371

85704

     c) 29 days to 3 months

33679

39157

42165

56656

98237

135054

45926

137715

     d) Over 3 months to 6 months

31731

42077

52239

96152

106785

136083

39197

123937

     e) Over 6 months to one year

43929

49486

83762

149106

146547

179026

314974

182651

     f) Over one year to 3 years

477194

483627

534230

459970

500125

679988

223969

319528

     g) Over 3 years to 5 years

75048

89538

133330

138593

314708

332965

640048

663924

     h) Over 5 years

145050

154383

149859

136655

359356

310603

281893

409949

Source: Annual accounts of banks of respective years.

 

TABLE B9 : MATURITY PROFILE OF SELECTED ITEMS OF LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004

NATIONALISED BANKS

(Amount in Rs. Lakh)

Maturity-wise

                   Dena Bank

              Indian Bank

            Indian Overseas Bank

        Oriental Bank of Commerce

Liabilities/Assets

2003

2004

2003

2004

2003

2004

2003

2004

(17)

(18)

(19)

(20)

(21)

(22)

(23)

(24)

IV. Investments (at book value)

850038

973641

1483901

1669621

1870032

2019929

1479654

1680365

     a) 1 -14 days

13001

41348

1916

149155

36792

17468

975

11108

     b) 15-28 days

1100

0

120

11484

11121

11163

2424

5171

     c) 29 days to 3 months

9265

4203

12960

17041

28466

33868

6905

31643

     d) Over 3 months to 6 months

7409

13271

10718

1671

21629

23666

24217

33871

     e) Over 6 months to one year

21180

33426

15593

6675

73592

32561

30491

27580

     f) Over one year to 3 years

118706

87393

101626

123088

229214

209367

209841

182481

     g) Over 3 years to 5 years

65728

127509

196510

158503

186624

278666

193967

225865

     h) Over 5 years

613649

666491

1144458

1202004

1282594

1413170

1010834

1162646

 V.   Foreign Currency Assets

59596

74819

156162

123510

375135

412936

52892

87585

     a) 1 -14 days

18305

9162

77833

17387

71691

92058

8212

13710

     b) 15-28 days

10844

26453

19651

49570

19608

16275

3680

6667

     c) 29 days to 3 months

13753

11440

2878

23316

75395

69742

25540

35865

     d) Over 3 months to 6 months

14997

27129

1680

2970

46046

75399

12630

25521

     e) Over 6 months to one year

1697

459

10865

1217

45604

28820

2830

5822

     f) Over one year to 3 years

0

176

21800

15554

62480

78574

0

0

     g) Over 3 years to 5 years

0

0

14732

11685

28996

28098

0

0

     h) Over 5 years

0

0

6723

1811

25315

23970

0

0

VI. Foreign Currency Liabilities

39040

51900

88297

81138

382938

379758

53543

96725

     a) 1 -14 days

5576

7701

17145

2168

86853

72064

6285

9966

     b) 15-28 days

641

1103

31283

27938

14628

17706

977

9205

     c) 29 days to 3 months

12852

19033

12592

22354

43573

49638

14673

22705

     d) Over 3 months to 6 months

3388

3053

7639

8273

36455

49847

11449

9298

     e) Over 6 months to one year

5715

3962

9672

9251

63526

68055

8706

30868

     f) Over one year to 3 years

10868

17048

9966

11154

87765

79423

11453

14683

     g) Over 3 years to 5 years

0

0

0

0

7241

5936

0

0

     h) Over 5 years

0

0

0

0

42897

37089

0

0

Source: Annual accounts of banks of respective years.

 

TABLE B9 : MATURITY PROFILE OF SELECTED ITEMS OF LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004

NATIONALISED BANKS

(Amount in Rs. Lakh)

Maturity-wise

     Punjab & Sind Bank

Punjab National Bank

Syndicate Bank

UCO Bank

Liabilities/Assets

2003

2004

2003

2004

2003

2004

2003

2004

(25)

(26)

(27)

(28)

(29)

(30)

(31)

(32)

I.  Deposits

1322362

1364203

7581350

8791639

2839148

4025198

2974100

3746800

     a) 1 -14 days

135264

146979

510075

429766

151340

251971

534100

259000

     b) 15-28 days

26825

25678

188010

87894

49161

69077

65200

94200

     c) 29 days to 3 months

94468

106841

503520

348445

177967

338594

171800

303000

     d) Over 3 months to 6 months

110736

119516

507515

443419

159583

336928

241500

306800

     e) Over 6 months to one year

217858

199404

759670

713432

305969

536733

413400

619000

     f) Over one year to 3 years

428057

350124

4720545

4515665

1321899

1686729

673700

727500

     g) Over 3 years to 5 years

117526

119955

250850

245299

181638

209936

286800

228600

     h) Over 5 years

191628

295706

141165

2007719

491591

595230

587600

1208700

II. Borrowings

2476

1007

66216

128906

28956

2531

38800

33600

     a) 1 -14 days

839

877

1902

1624

206

181

38800

17200

     b) 15-28 days

0

0

4801

11617

0

0

0

0

     c) 29 days to 3 months

74

33

1590

36576

265

218

0

0

     d) Over 3 months to 6 months

347

26

36370

19079

46

52

0

0

     e) Over 6 months to one year

346

34

1131

13052

320

326

0

0

     f) Over one year to 3 years

779

31

19637

46735

7347

863

0

16400

     g) Over 3 years to 5 years

83

2

258

173

20199

317

0

0

     h) Over 5 years

8

4

527

50

573

574

0

0

III. Loans and Advances

586915

600044

4022812

4722472

1241498

1734747

1488000

1933500

     a) 1 -14 days

43728

30290

267835

432255

143108

233353

493400

217900

     b) 15-28 days

7128

7238

95610

110661

5464

12987

44700

80200

     c) 29 days to 3 months

26865

24988

252684

331367

76334

57520

127700

203200

     d) Over 3 months to 6 months

51679

57561

403443

531863

72400

75624

72600

155300

     e) Over 6 months to one year

31877

35533

503285

655110

142089

152022

86400

153500

     f) Over one year to 3 years

301455

85685

1383407

1453610

571239

759743

191100

254000

     g) Over 3 years to 5 years

52902

162296

472028

543319

86013

185742

185600

215000

     h) Over 5 years

71281

196453

644520

664287

144851

257756

286500

654400

Source: Annual accounts of banks of respective years.


TABLE B9 : MATURITY PROFILE OF SELECTED ITEMS OF LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004

NATIONALISED BANKS

(Amount in Rs. Lakh)

As on March 31

Maturity-wise

Punjab & Sind Bank

Punjab National Bank

Syndicate Bank

UCO Bank

Liabilities/Assets

2003

2004

2003

2004

2003

2004

2003

2004

(25)

(26)

(27)

(28)

(29)

(30)

(31)

(32)

IV. Investments (at book value)

623748

677660

3403005

4212549

1365218

1771628

1345900

1699600

     a) 1 -14 days

5754

6045

79299

3500

38820

8888

142200

225600

     b) 15-28 days

0

1949

32088

50962

11247

8811

25800

12500

     c) 29 days to 3 months

3406

7488

30669

60200

35053

29246

62500

25900

     d) Over 3 months to 6 months

4329

7241

23425

20794

23196

10391

73100

9900

     e) Over 6 months to one year

28954

19788

46035

37595

26516

11474

124500

71900

     f) Over one year to 3 years

91993

97057

368210

340730

176999

199716

404800

244900

     g) Over 3 years to 5 years

93141

121264

368356

550630

175561

187561

191900

267000

     h) Over 5 years

396171

416828

2454923

3148138

877826

1315541

321100

841900

 V.   Foreign Currency Assets

48513

47576

120702

254642

203554

349976

278000

298200

     a) 1 -14 days

15402

20072

15118

87684

0

29654

92700

72800

     b) 15-28 days

4225

3877

1317

14828

48481

8984

15300

29900

     c) 29 days to 3 months

10245

7102

32081

60590

89653

8602

43000

58900

     d) Over 3 months to 6 months

11487

10641

55056

70843

33023

84072

29500

36700

     e) Over 6 months to one year

2619

2040

2335

12856

23137

61783

4000

18300

     f) Over one year to 3 years

4535

3844

10100

5842

9260

54407

31300

38300

     g) Over 3 years to 5 years

0

0

1660

1587

0

97828

36200

19700

     h) Over 5 years

0

0

3035

412

0

4646

26000

23600

VI. Foreign Currency Liabilities

23180

24943

110155

86268

191224

252997

259500

278800

     a) 1 -14 days

3309

3236

19690

8933

0

73576

75400

76500

     b) 15-28 days

657

738

6657

1639

46349

44021

13700

27800

     c) 29 days to 3 months

2210

2045

6210

4850

74229

13216

22300

24000

     d) Over 3 months to 6 months

3517

4073

12155

6827

35208

14775

21900

33800

     e) Over 6 months to one year

7331

7806

18047

17607

21471

9363

21500

22100

     f) Over one year to 3 years

6156

7045

46957

44594

13346

82967

34400

42100

     g) Over 3 years to 5 years

0

0

401

934

6

15079

29600

17900

     h) Over 5 years

0

0

38

884

615

0

40700

34600

Source: Annual accounts of banks of respective years.

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RbiSocialMediaUtility

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RbiWasItHelpfulUtility

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