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B9 : Maturity Profile of Selected Items of Liabilities and Assets of Scheduled Commercial Banks : 2003 and 2004 (Part 5 of 8)

FOREIGN BANKS

(Amount in Rs. Lakh)

Maturity-wise

       Deutsche Bank

Hongkong & Shanghai Bank

ING Bank

J P Morgan Chase Bank

Liabilities/Assets

2003

2004

2003

2004

2003

2004

2003

2004

(41)

(42)

(43)

(44)

(45)

(46)

(47)

(48)

I.  Deposits

194507

253251

1280120

1626987

1201

0

18520

38534

     a) 1 -14 days

55441

78581

134041

225436

7

0

3717

1108

     b) 15-28 days

17406

29574

59681

43983

0

0

0

0

     c) 29 days to 3 months

26702

13514

139832

165555

1116

0

10

1737

     d) Over 3 months to 6 months

7023

5456

158798

126591

37

0

2958

1535

     e) Over 6 months to one year

13893

5924

193304

176552

1

0

4375

27877

     f) Over one year to 3 years

74042

120202

571989

855328

40

0

7460

6277

     g) Over 3 years to 5 years

0

0

22475

33542

0

0

0

0

     h) Over 5 years

0

0

0

0

0

0

0

0

II. Borrowings

272769

470085

317173

253922

11200

0

19200

2373

     a) 1 -14 days

110987

135499

109153

20740

11200

0

19200

2373

     b) 15-28 days

0

0

0

9495

0

0

0

0

     c) 29 days to 3 months

0

0

0

47368

0

0

0

0

     d) Over 3 months to 6 months

0

43013

0

32154

0

0

0

0

     e) Over 6 months to one year

102884

201690

63855

0

0

0

0

0

     f) Over one year to 3 years

58898

70210

144165

144165

0

0

0

0

     g) Over 3 years to 5 years

0

19673

0

0

0

0

0

0

     h) Over 5 years

0

0

0

0

0

0

0

0

III. Loans and Advances

160764

209806

855291

997931

3425

112

0

0

     a) 1 -14 days

50092

63347

105897

162885

3005

0

0

0

     b) 15-28 days

25842

26579

97224

69198

0

0

0

0

     c) 29 days to 3 months

55040

58450

254112

183245

25

0

0

0

     d) Over 3 months to 6 months

16532

29659

39751

107300

0

0

0

0

     e) Over 6 months to one year

6682

27687

72120

55981

395

0

0

0

     f) Over one year to 3 years

6360

3457

60787

82478

0

112

0

0

     g) Over 3 years to 5 years

170

627

61352

101031

0

0

0

0

     h) Over 5 years

46

0

164048

235813

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

FOREIGN BANKS

(Amount in Rs. Lakh)

Maturity-wise

       Deutsche Bank

Hongkong & Shanghai Bank

ING Bank

J P Morgan Chase Bank

Liabilities/Assets

2003

2004

2003

2004

2003

2004

2003

2004

Liabilities/Assets

(41)

(42)

(43)

(44)

(45)

(46)

(47)

(48)

IV. Investments (at book value)

245873

227718

886956

1039539

6756

860

47398

29537

     a) 1 -14 days

181041

184503

52544

28117

4570

0

39987

17240

     b) 15-28 days

0

2000

1556

18808

1186

0

0

0

     c) 29 days to 3 months

6899

7539

19735

107434

0

860

0

0

     d) Over 3 months to 6 months

1000

1586

50279

160774

1000

0

0

0

     e) Over 6 months to one year

14230

0

244376

51407

0

0

542

2246

     f) Over one year to 3 years

29356

31790

222892

273054

0

0

3313

6624

     g) Over 3 years to 5 years

612

0

136992

217339

0

0

1010

1935

     h) Over 5 years

12735

300

158582

182606

0

0

2546

1492

 V.   Foreign Currency Assets

105666

338413

181783

186144

371

11

957

393

     a) 1 -14 days

15686

76771

24240

77735

371

11

326

393

     b) 15-28 days

3268

778

41779

20028

0

0

0

0

     c) 29 days to 3 months

5066

10094

84294

39986

0

0

631

0

     d) Over 3 months to 6 months

836

52518

17809

36576

0

0

0

0

     e) Over 6 months to one year

80725

187270

11176

6940

0

0

0

0

     f) Over one year to 3 years

85

10982

2485

0

0

0

0

0

     g) Over 3 years to 5 years

0

0

0

4879

0

0

0

0

     h) Over 5 years

0

0

0

0

0

0

0

0

VI. Foreign Currency Liabilities

50844

110597

435129

392812

0

0

1853

1131

     a) 1 -14 days

23018

36364

64300

34246

0

0

1812

584

     b) 15-28 days

1052

1849

20814

20846

0

0

0

0

     c) 29 days to 3 months

16107

1482

70917

93402

0

0

0

0

     d) Over 3 months to 6 months

1772

1338

82156

90884

0

0

0

0

     e) Over 6 months to one year

8895

16774

102871

92532

0

0

0

0

     f) Over one year to 3 years

0

33116

94071

60902

0

0

41

547

     g) Over 3 years to 5 years

0

19674

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

FOREIGN BANKS

(Amount in Rs. Lakh)

Maturity-wise

Krung Thai Bank

Mashreq Bank

Mizuho Corporate Bank

Oman International Bank

Liabilities/Assets

2003

2004

2003

2004

2003

2004

2003

2004

(49)

(50)

(51)

(52)

(53)

(54)

(55)

(56)

I.  Deposits

1602

1651

29748

27925

14226

4982

22179

19116

     a) 1 -14 days

180

136

799

905

7666

775

1731

1738

     b) 15-28 days

226

0

276

124

611

493

459

352

     c) 29 days to 3 months

28

190

507

393

5517

1049

1724

1950

     d) Over 3 months to 6 months

1

0

1016

518

257

1368

2263

3350

     e) Over 6 months to one year

11

533

1363

794

149

205

4577

4571

     f) Over one year to 3 years

1156

792

25787

25191

26

1090

10086

7155

     g) Over 3 years to 5 years

0

0

0

0

0

0

1339

0

     h) Over 5 years

0

0

0

0

0

2

0

0

II. Borrowings

0

50

600

0

4000

3050

2129

4372

     a) 1 -14 days

0

50

0

0

4000

3050

0

0

     b) 15-28 days

0

0

0

0

0

0

0

0

     c) 29 days to 3 months

0

0

0

0

0

0

0

4372

     d) Over 3 months to 6 months

0

0

300

0

0

0

0

0

     e) Over 6 months to one year

0

0

300

0

0

0

2129

0

     f) Over one year to 3 years

0

0

0

0

0

0

0

0

     g) Over 3 years to 5 years

0

0

0

0

0

0

0

0

     h) Over 5 years

0

0

0

0

0

0

0

0

III. Loans and Advances

1167

1550

4132

1742

21155

20642

18984

19282

     a) 1 -14 days

156

143

1171

148

2786

7149

454

374

     b) 15-28 days

150

144

1071

180

1458

2950

16

4

     c) 29 days to 3 months

373

717

885

1084

10245

4694

56

54

     d) Over 3 months to 6 months

488

448

358

134

2248

783

107

11

     e) Over 6 months to one year

0

0

308

4

199

1405

414

30

     f) Over one year to 3 years

0

0

31

79

1447

1045

307

36

     g) Over 3 years to 5 years

0

98

110

31

77

0

30

20

     h) Over 5 years

0

0

198

82

2695

2616

17600

18753

# :- See Explanatory notes'

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

FOREIGN BANKS

(Amount in Rs. Lakh)

Maturity-wise

Krung Thai Bank

Mashreq Bank

Mizuho Corporate Bank

Oman International Bank

Liabilities/Assets

2003

2004

2003

2004

2003

2004

2003

2004

Liabilities/Assets

(49)

(50)

(51)

(52)

(53)

(54)

(55)

(56)

IV. Investments (at book value)

767

845

23395

20636

6499

3257

11049

14171

     a) 1 -14 days

0

0

152

0

0

0

2905

2500

     b) 15-28 days

230

0

75

477

850

0

1439

0

     c) 29 days to 3 months

0

493

2400

500

1640

1672

1166

0

     d) Over 3 months to 6 months

238

51

435

0

1521

913

0

0

     e) Over 6 months to one year

0

53

366

500

2188

672

0

0

     f) Over one year to 3 years

51

125

19934

18527

300

0

1399

1099

     g) Over 3 years to 5 years

125

0

24

132

0

0

100

102

     h) Over 5 years

123

123

9

500

0

0

4040

10470

 V.   Foreign Currency Assets

282

414

3206

1801

97

82

10366

760

     a) 1 -14 days

143

393

1543

572

69

0

2784

758

     b) 15-28 days

44

21

923

228

0

56

0

0

     c) 29 days to 3 months

24

0

49

917

0

0

2878

0

     d) Over 3 months to 6 months

71

0

363

84

0

0

1548

0

     e) Over 6 months to one year

0

0

308

0

0

0

429

2

     f) Over one year to 3 years

0

0

20

0

0

0

2727

0

     g) Over 3 years to 5 years

0

0

0

0

0

0

0

0

     h) Over 5 years

0

0

0

0

28

26

0

0

VI. Foreign Currency Liabilities

130

235

2043

1108

4833

4446

14248

14196

     a) 1 -14 days

17

32

985

548

55

57

1233

620

     b) 15-28 days

0

0

16

23

0

0

409

294

     c) 29 days to 3 months

0

0

19

103

4773

2196

1638

5484

     d) Over 3 months to 6 months

0

0

156

86

0

0

2916

2360

     e) Over 6 months to one year

0

0

555

348

5

2193

4745

4743

     f) Over one year to 3 years

113

203

312

0

0

0

3307

695

     g) Over 3 years to 5 years

0

0

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

FOREIGN BANKS

(Amount in Rs. Lakh)

Maturity-wise

Oversea Chinese Bank #

Societe Generale

Sonali Bank

Standard Chartered Bank

Liabilities/Assets

2003

2004

2003

2004

2003

2004

2003

2004

(57)

(58)

(59)

(60)

(61)

(62)

(63)

(64)

I.  Deposits

0

0

12792

41247

2896

2865

1800250

1994898

     a) 1 -14 days

0

0

1555

4366

573

567

316870

422680

     b) 15-28 days

0

0

334

330

595

589

128493

71938

     c) 29 days to 3 months

0

0

3268

2485

366

362

159500

223884

     d) Over 3 months to 6 months

0

0

559

17705

263

260

126546

170506

     e) Over 6 months to one year

0

0

5834

14365

220

217

284666

223695

     f) Over one year to 3 years

0

0

1242

1996

442

438

754695

867285

     g) Over 3 years to 5 years

0

0

0

0

244

241

27461

12890

     h) Over 5 years

0

0

0

0

193

191

2019

2020

II. Borrowings

0

0

27007

14498

0

0

483372

612404

     a) 1 -14 days

0

0

20771

8262

0

0

190426

211887

     b) 15-28 days

0

0

0

0

0

0

36050

47253

     c) 29 days to 3 months

0

0

0

0

0

0

134617

171120

     d) Over 3 months to 6 months

0

0

0

0

0

0

112531

114992

     e) Over 6 months to one year

0

0

0

0

0

0

9748

48320

     f) Over one year to 3 years

0

0

6236

6236

0

0

0

18832

     g) Over 3 years to 5 years

0

0

0

0

0

0

0

0

     h) Over 5 years

0

0

0

0

0

0

0

0

III. Loans and Advances

299

0

8681

17083

619

564

1304179

1615226

     a) 1 -14 days

0

0

707

301

163

149

171750

509995

     b) 15-28 days

0

0

42

332

172

157

60714

16937

     c) 29 days to 3 months

0

0

201

5345

49

45

147242

66254

     d) Over 3 months to 6 months

0

0

1673

6044

45

41

178439

24794

     e) Over 6 months to one year

0

0

10

4

41

37

125444

90922

     f) Over one year to 3 years

0

0

5946

4784

63

57

467342

437081

     g) Over 3 years to 5 years

299

0

12

12

35

33

63772

126108

     h) Over 5 years

0

0

90

261

51

45

89476

343135

# : See 'Explanatory Notes'.

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

FOREIGN BANKS

(Amount in Rs. Lakh)

As on March 31

Maturity-wise

Oversea Chinese Bank #

Societe Generale

Sonali Bank

Standard Chartered Bank

Liabilities/Assets

2003

2004

2003

2004

2003

2004

2003

2004

Liabilities/Assets

(57)

(58)

(59)

(60)

(61)

(62)

(63)

(64)

IV. Investments (at book value)

100

0

27616

45939

541

633

1022296

1007870

     a) 1 -14 days

0

0

11565

23524

0

0

257730

203122

     b) 15-28 days

0

0

84

4935

0

0

49926

41065

     c) 29 days to 3 months

0

0

4221

8741

0

0

67569

197923

     d) Over 3 months to 6 months

0

0

140

1215

0

0

79652

78876

     e) Over 6 months to one year

0

0

280

4929

0

0

90534

105607

     f) Over one year to 3 years

100

0

4447

1956

93

189

181202

313149

     g) Over 3 years to 5 years

0

0

2382

400

0

0

190420

41789

     h) Over 5 years

0

0

4497

239

448

444

105263

26339

 V.   Foreign Currency Assets

101

0

3792

12295

1694

1556

164005

235440

     a) 1 -14 days

101

0

2843

1335

339

309

15359

34016

     b) 15-28 days

0

0

0

279

474

432

4997

20758

     c) 29 days to 3 months

0

0

0

4663

254

232

25919

80856

     d) Over 3 months to 6 months

0

0

949

6018

169

154

117255

93193

     e) Over 6 months to one year

0

0

0

0

135

135

475

6617

     f) Over one year to 3 years

0

0

0

0

122

111

0

0

     g) Over 3 years to 5 years

0

0

0

0

102

93

0

0

     h) Over 5 years

0

0

0

0

99

90

0

0

VI. Foreign Currency Liabilities

0

0

19218

27257

0

0

383628

480491

     a) 1 -14 days

0

0

14294

427

0

0

79941

105949

     b) 15-28 days

0

0

0

0

0

0

22765

25253

     c) 29 days to 3 months

0

0

0

135

0

0

67179

129191

     d) Over 3 months to 6 months

0

0

0

13150

0

0

128492

105477

     e) Over 6 months to one year

0

0

4924

13171

0

0

65412

99226

     f) Over one year to 3 years

0

0

0

371

0

0

19839

15395

     g) Over 3 years to 5 years

0

0

0

0

0

0

0

0

     h) Over 5 years

0

0

0

3

0

0

0

0

# : See 'Explanatory Notes'.

Source: Annual accounts of banks of respective years.

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