Table 2.7 : Bank Group-Wise Maturity Profile of Selected Items of Liabilities and Assets : 2012 and 2013 - आरबीआय - Reserve Bank of India
Table 2.7 : Bank Group-Wise Maturity Profile of Selected Items of Liabilities and Assets : 2012 and 2013
(Amount in ` Billion) |
||||||||
Maturity-wise |
SBI and its Associates |
Nationalised Banks $ |
Public Sector Banks |
Old Private Sector Banks |
||||
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
Deposits |
14047.37 |
16182.00 |
35961.77 |
41263.92 |
50009.14 |
57445.92 |
3158.91 |
3738.96 |
a) 1 - 14 days |
853.36 |
1039.68 |
2255.98 |
2938.38 |
3109.35 |
3978.06 |
175.19 |
224.23 |
b) 15 - 28 days |
228.46 |
321.02 |
958.15 |
1119.50 |
1186.61 |
1440.52 |
86.75 |
118.89 |
c) 29 days to 3 months |
859.97 |
871.19 |
4884.63 |
4739.49 |
5744.60 |
5610.69 |
391.67 |
481.23 |
d) Over 3 months to 6 months |
1313.84 |
1182.80 |
3972.04 |
4087.55 |
5285.88 |
5270.35 |
336.60 |
325.82 |
e) Over 6 months to 1 year |
2028.20 |
2448.81 |
7455.34 |
8361.71 |
9483.54 |
10810.52 |
528.54 |
663.62 |
f) Over 1 year to 3 years |
4179.07 |
4648.69 |
8461.42 |
10442.43 |
12640.49 |
15091.12 |
1239.00 |
1401.44 |
g) Over 3 years to 5 years |
2115.90 |
2656.83 |
2158.15 |
2758.76 |
4274.05 |
5415.59 |
217.12 |
277.24 |
h) Over 5 years |
2468.56 |
3012.97 |
5816.06 |
6816.10 |
8284.62 |
9829.07 |
184.04 |
246.50 |
Borrowings |
1572.03 |
2004.42 |
2869.24 |
3391.40 |
4441.27 |
5395.82 |
198.12 |
252.58 |
a) 1 - 14 days |
225.88 |
254.64 |
558.69 |
492.64 |
784.57 |
747.27 |
39.92 |
65.62 |
b) 15 - 28 days |
75.85 |
111.45 |
66.08 |
104.12 |
141.92 |
215.57 |
2.15 |
9.28 |
c) 29 days to 3 months |
251.24 |
411.91 |
179.79 |
348.40 |
431.03 |
760.32 |
15.53 |
31.86 |
d) Over 3 months to 6 months |
127.64 |
209.94 |
265.35 |
418.80 |
392.99 |
628.74 |
39.48 |
35.31 |
e) Over 6 months to 1 year |
80.38 |
126.53 |
185.69 |
283.77 |
266.08 |
410.30 |
29.07 |
25.10 |
f) Over 1 year to 3 years |
167.17 |
337.88 |
375.50 |
414.94 |
542.67 |
752.82 |
26.57 |
36.74 |
g) Over 3 years to 5 years |
219.93 |
127.57 |
455.55 |
467.59 |
675.48 |
595.16 |
15.45 |
21.80 |
h) Over 5 years |
423.94 |
424.51 |
782.58 |
861.14 |
1206.52 |
1285.65 |
29.96 |
26.87 |
Loans and Advances |
11525.93 |
13798.34 |
27339.19 |
31032.97 |
38865.12 |
44831.32 |
2303.35 |
2700.34 |
a) 1 - 14 days |
756.97 |
1322.74 |
1732.27 |
2079.21 |
2489.24 |
3401.95 |
145.01 |
187.48 |
b) 15 - 28 days |
151.57 |
128.30 |
656.74 |
752.87 |
808.30 |
881.17 |
63.60 |
75.35 |
c) 29 days to 3 months |
676.39 |
730.85 |
2993.33 |
3423.85 |
3669.72 |
4154.70 |
215.16 |
227.37 |
d) Over 3 months to 6 months |
490.95 |
600.27 |
2233.14 |
2456.73 |
2724.09 |
3057.00 |
202.75 |
246.48 |
e) Over 6 months to 1 year |
671.48 |
726.38 |
2948.59 |
3457.66 |
3620.07 |
4184.04 |
386.08 |
499.88 |
f) Over 1 year to 3 years |
5311.59 |
6567.79 |
9213.82 |
9922.16 |
14525.41 |
16489.95 |
831.06 |
923.49 |
g) Over 3 years to 5 years |
1114.82 |
1456.28 |
3173.21 |
3499.90 |
4288.03 |
4956.18 |
210.24 |
258.85 |
h) Over 5 years |
2352.17 |
2265.73 |
4388.10 |
5440.59 |
6740.26 |
7706.32 |
249.45 |
281.44 |
Note : $ Includes IDBI Bank Ltd. |
TABLE 2.7 : BANK GROUP-WISE MATURITY PROFILE OF SELECTED ITEMS OF |
||||||||
(Amount in ` Billion) |
||||||||
Maturity-wise liabilities/assets |
New Private Sector Banks |
Private Sector Banks |
Foreign Banks |
All Scheduled Commercial Banks |
||||
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
|
(9) |
(10) |
(11) |
(12) |
(13) |
(14) |
(15) |
(16) |
|
Deposits |
8586.96 |
10219.39 |
11745.87 |
13958.36 |
2769.16 |
2878.98 |
64524.17 |
74283.25 |
a) 1 - 14 days |
601.54 |
813.84 |
776.73 |
1038.07 |
618.14 |
638.19 |
4504.22 |
5654.31 |
b) 15 - 28 days |
303.01 |
315.48 |
389.76 |
434.37 |
185.86 |
195.93 |
1762.23 |
2070.82 |
c) 29 days to 3 months |
1003.64 |
1159.81 |
1395.30 |
1641.04 |
380.65 |
435.27 |
7520.56 |
7687.00 |
d) Over 3 months to 6 months |
920.48 |
994.92 |
1257.08 |
1320.74 |
214.14 |
212.76 |
6757.09 |
6803.85 |
e) Over 6 months to 1 year |
1374.23 |
1324.13 |
1902.77 |
1987.75 |
314.32 |
304.08 |
11700.63 |
13102.36 |
f) Over 1 year to 3 years |
2282.18 |
2417.84 |
3521.18 |
3819.27 |
823.97 |
830.81 |
16985.63 |
19741.20 |
g) Over 3 years to 5 years |
446.81 |
991.26 |
663.94 |
1268.50 |
229.96 |
260.16 |
5167.95 |
6944.25 |
h) Over 5 years |
1655.07 |
2202.11 |
1839.11 |
2448.61 |
2.12 |
1.77 |
10125.86 |
12279.44 |
Borrowings |
2386.41 |
2746.17 |
2584.53 |
2998.75 |
1199.08 |
1534.04 |
8224.87 |
9928.61 |
a) 1 - 14 days |
368.04 |
403.81 |
407.96 |
469.43 |
698.21 |
965.34 |
1890.73 |
2182.04 |
b) 15 - 28 days |
54.87 |
46.26 |
57.01 |
55.54 |
53.98 |
74.38 |
252.92 |
345.50 |
c) 29 days to 3 months |
186.95 |
202.66 |
202.48 |
234.52 |
117.95 |
198.26 |
751.46 |
1193.09 |
d) Over 3 months to 6 months |
246.60 |
267.86 |
286.09 |
303.17 |
59.39 |
56.78 |
738.47 |
988.69 |
e) Over 6 months to 1 year |
316.69 |
288.83 |
345.76 |
313.92 |
84.28 |
78.05 |
696.11 |
802.27 |
f) Over 1 year to 3 years |
279.65 |
394.64 |
306.21 |
431.38 |
110.16 |
92.79 |
959.05 |
1276.99 |
g) Over 3 years to 5 years |
307.18 |
399.51 |
322.63 |
421.31 |
32.64 |
40.87 |
1030.75 |
1057.33 |
h) Over 5 years |
626.43 |
742.60 |
656.39 |
769.47 |
42.47 |
27.57 |
1905.38 |
2082.69 |
Loans and Advances |
7363.11 |
8732.98 |
9666.46 |
11433.32 |
2298.26 |
2636.81 |
50829.84 |
58901.45 |
a) 1 - 14 days |
285.15 |
338.47 |
430.16 |
525.95 |
379.86 |
452.80 |
3299.26 |
4380.70 |
b) 15 - 28 days |
137.62 |
176.86 |
201.22 |
252.21 |
179.73 |
223.49 |
1189.25 |
1356.88 |
c) 29 days to 3 months |
585.10 |
635.54 |
800.26 |
862.91 |
459.01 |
493.70 |
4928.99 |
5511.32 |
d) Over 3 months to 6 months |
564.83 |
654.30 |
767.59 |
900.77 |
297.86 |
340.19 |
3789.54 |
4297.97 |
e) Over 6 months to 1 year |
813.30 |
959.02 |
1199.37 |
1458.90 |
227.21 |
207.47 |
5046.65 |
5850.42 |
f) Over 1 year to 3 years |
2750.80 |
3288.05 |
3581.86 |
4211.54 |
355.69 |
467.46 |
18462.96 |
21168.95 |
g) Over 3 years to 5 years |
886.06 |
1075.32 |
1096.29 |
1334.17 |
111.25 |
166.28 |
5495.57 |
6456.63 |
h) Over 5 years |
1340.25 |
1605.42 |
1589.70 |
1886.86 |
287.65 |
285.41 |
8617.62 |
9878.59 |
Source : Annual accounts of banks. |
TABLE 2.7 : BANK GROUP-WISE MATURITY PROFILE OF SELECTED ITEMS OF |
||||||||
(Amount in ` Billion) |
||||||||
Maturity-wise |
SBI and its Associates |
Nationalised Banks $ |
Public Sector Banks |
Old Private Sector Banks |
||||
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
Investments (at book value) |
4175.00 |
4728.19 |
10949.54 |
12910.02 |
15124.54 |
17638.21 |
1093.57 |
1345.53 |
a) 1 - 14 days |
63.33 |
87.11 |
664.55 |
748.50 |
727.87 |
835.61 |
66.98 |
137.79 |
b) 15 - 28 days |
44.39 |
51.47 |
115.37 |
118.16 |
159.76 |
169.63 |
21.93 |
30.25 |
c) 29 days to 3 months |
244.28 |
313.25 |
724.36 |
723.97 |
968.63 |
1037.22 |
122.89 |
144.03 |
d) Over 3 months to 6 months |
127.89 |
195.65 |
322.89 |
457.72 |
450.77 |
653.37 |
46.67 |
83.72 |
e) Over 6 months to 1 year |
148.73 |
132.71 |
580.33 |
571.08 |
729.06 |
703.79 |
72.95 |
121.60 |
f) Over 1 year to 3 years |
628.84 |
647.95 |
1274.46 |
1689.25 |
1903.30 |
2337.20 |
133.82 |
219.48 |
g) Over 3 years to 5 years |
720.07 |
912.01 |
1427.62 |
1746.82 |
2147.69 |
2658.83 |
142.43 |
149.67 |
h) Over 5 years |
2197.49 |
2388.04 |
5839.96 |
6854.53 |
8037.45 |
9242.57 |
485.90 |
458.99 |
Foreign Currency Assets |
1806.83 |
2305.49 |
4639.33 |
5839.66 |
6446.16 |
8145.15 |
224.38 |
197.69 |
a) 1 - 14 days |
340.98 |
735.37 |
806.49 |
966.86 |
1147.47 |
1702.23 |
37.67 |
28.16 |
b) 15 - 28 days |
63.17 |
65.70 |
219.48 |
370.00 |
282.65 |
435.69 |
5.70 |
15.42 |
c) 29 days to 3 months |
266.56 |
225.69 |
1168.41 |
1580.60 |
1434.97 |
1806.29 |
70.14 |
84.59 |
d) Over 3 months to 6 months |
223.37 |
234.18 |
965.38 |
1187.82 |
1188.75 |
1422.00 |
68.13 |
47.11 |
e) Over 6 months to 1 year |
148.25 |
110.71 |
458.88 |
561.93 |
607.13 |
672.63 |
37.84 |
19.13 |
f) Over 1 year to 3 years |
248.43 |
317.86 |
415.54 |
486.82 |
663.97 |
804.67 |
4.15 |
1.81 |
g) Over 3 years to 5 years |
284.09 |
288.16 |
323.76 |
358.84 |
607.85 |
646.99 |
0.38 |
0.67 |
h) Over 5 years |
231.98 |
327.82 |
281.40 |
326.81 |
513.38 |
654.63 |
0.37 |
0.79 |
Foreign Currency Liabilities |
1700.11 |
2053.28 |
4533.00 |
5646.57 |
6233.12 |
7699.85 |
230.76 |
242.95 |
a) 1 - 14 days |
329.76 |
390.27 |
762.25 |
914.08 |
1092.01 |
1304.34 |
25.25 |
20.09 |
b) 15 - 28 days |
94.69 |
155.07 |
252.26 |
427.03 |
346.95 |
582.10 |
1.95 |
15.69 |
c) 29 days to 3 months |
327.99 |
371.49 |
1162.30 |
1355.06 |
1490.29 |
1726.55 |
71.50 |
101.72 |
d) Over 3 months to 6 months |
233.36 |
256.62 |
899.93 |
1044.28 |
1133.28 |
1300.90 |
73.71 |
56.32 |
e) Over 6 months to 1 year |
238.44 |
250.58 |
587.68 |
861.91 |
826.11 |
1112.48 |
45.36 |
36.43 |
f) Over 1 year to 3 years |
243.13 |
416.89 |
308.78 |
403.48 |
551.91 |
820.37 |
5.78 |
5.40 |
g) Over 3 years to 5 years |
192.72 |
165.01 |
383.79 |
430.03 |
576.51 |
595.04 |
1.78 |
2.30 |
h) Over 5 years |
40.03 |
47.35 |
176.01 |
210.72 |
216.04 |
258.06 |
5.42 |
5.00 |
Note : $ Includes IDBI Bank Ltd. |
TABLE 2.7 : BANK GROUP-WISE MATURITY PROFILE OF SELECTED ITEMS OF |
||||||||
(Amount in ` Billion) |
||||||||
Maturity-wise liabilities/assets |
New Private Sector Banks |
Private Sector Banks |
Foreign Banks |
All Scheduled Commercial Banks |
||||
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
|
(9) |
(10) |
(11) |
(12) |
(13) |
(14) |
(15) |
(16) |
|
Investments (at book value) |
4166.49 |
4934.07 |
5260.06 |
6279.60 |
2008.85 |
2276.00 |
22393.45 |
26193.81 |
a) 1 - 14 days |
737.17 |
855.35 |
804.15 |
993.14 |
927.97 |
978.34 |
2460.00 |
2807.09 |
b) 15 - 28 days |
184.11 |
177.73 |
206.04 |
207.98 |
46.72 |
133.08 |
412.52 |
510.69 |
c) 29 days to 3 months |
308.11 |
372.60 |
431.00 |
516.63 |
219.11 |
214.52 |
1618.75 |
1768.37 |
d) Over 3 months to 6 months |
270.25 |
290.03 |
316.92 |
373.75 |
85.49 |
137.95 |
853.18 |
1165.08 |
e) Over 6 months to 1 year |
411.01 |
411.83 |
483.96 |
533.43 |
261.32 |
310.19 |
1474.34 |
1547.41 |
f) Over 1 year to 3 years |
774.86 |
925.32 |
908.68 |
1144.80 |
259.91 |
250.50 |
3071.89 |
3732.50 |
g) Over 3 years to 5 years |
338.46 |
470.65 |
480.89 |
620.31 |
103.62 |
80.65 |
2732.20 |
3359.80 |
h) Over 5 years |
1142.52 |
1430.56 |
1628.42 |
1889.55 |
104.71 |
170.77 |
9770.58 |
11302.88 |
Foreign Currency Assets |
1525.37 |
1835.02 |
1749.75 |
2032.71 |
1121.79 |
1031.03 |
9317.71 |
11208.88 |
a) 1 - 14 days |
213.02 |
280.02 |
250.69 |
308.18 |
274.74 |
276.21 |
1672.90 |
2286.62 |
b) 15 - 28 days |
41.21 |
90.00 |
46.92 |
105.42 |
82.53 |
104.88 |
412.10 |
646.00 |
c) 29 days to 3 months |
147.26 |
235.79 |
217.40 |
320.38 |
291.40 |
238.47 |
1943.77 |
2365.14 |
d) Over 3 months to 6 months |
145.81 |
178.85 |
213.94 |
225.96 |
236.01 |
214.11 |
1638.70 |
1862.07 |
e) Over 6 months to 1 year |
124.47 |
109.77 |
162.31 |
128.90 |
82.96 |
62.84 |
852.41 |
864.38 |
f) Over 1 year to 3 years |
264.20 |
306.80 |
268.35 |
308.61 |
67.07 |
60.29 |
999.39 |
1173.57 |
g) Over 3 years to 5 years |
220.88 |
285.48 |
221.26 |
286.15 |
36.21 |
44.39 |
865.32 |
977.53 |
h) Over 5 years |
368.50 |
348.32 |
368.88 |
349.11 |
50.87 |
29.84 |
933.13 |
1033.58 |
Foreign Currency Liabilities |
1668.71 |
1976.25 |
1899.47 |
2219.21 |
1453.85 |
1289.22 |
9586.44 |
11208.28 |
a) 1 - 14 days |
120.03 |
146.19 |
145.27 |
166.28 |
295.36 |
285.67 |
1532.64 |
1756.29 |
b) 15 - 28 days |
60.58 |
56.64 |
62.53 |
72.32 |
57.84 |
70.64 |
467.32 |
725.06 |
c) 29 days to 3 months |
216.77 |
220.99 |
288.27 |
322.71 |
245.84 |
290.47 |
2024.41 |
2339.73 |
d) Over 3 months to 6 months |
219.22 |
297.89 |
292.93 |
354.21 |
191.84 |
100.89 |
1618.05 |
1756.00 |
e) Over 6 months to 1 year |
328.11 |
367.39 |
373.47 |
403.82 |
245.29 |
221.86 |
1444.87 |
1738.17 |
f) Over 1 year to 3 years |
274.49 |
335.11 |
280.28 |
340.50 |
240.20 |
211.03 |
1072.39 |
1371.91 |
g) Over 3 years to 5 years |
207.90 |
301.11 |
209.69 |
303.41 |
89.37 |
59.81 |
875.56 |
958.26 |
h) Over 5 years |
241.61 |
250.94 |
247.03 |
255.94 |
88.12 |
48.85 |
551.19 |
562.86 |
Source : Annual accounts of banks. |