Table 3.1 : Bank Group-Wise Liabilities And Assets of Scheduled Commercial Banks In India : 2010 and 2011 - ଆରବିଆଇ - Reserve Bank of India
Table 3.1 : Bank Group-Wise Liabilities And Assets of Scheduled Commercial Banks In India : 2010 and 2011
(Amount in ` crore) |
||||||||
Items |
As on March 31 |
|||||||
State Bank of India & its Associates |
Nationalised |
Public Sector Banks |
Old Private Sector Banks |
|||||
2010 |
2011 |
2010 |
2011 |
2010 |
2011 |
2010 |
2011 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
Number of reporting banks |
7 |
6 |
20 |
20 |
27 |
26 |
15 |
14 |
Liabilities |
||||||||
1. Capital |
1104 |
1097 |
12440 |
17958 |
13544 |
19055 |
1273 |
1396 |
2. Reserves and Surplus |
82622 |
83297 |
144836 |
187900 |
227458 |
271196 |
18898 |
22425 |
2.1. Statutory Reserves |
43834 |
39372 |
37973 |
46467 |
81807 |
85839 |
5238 |
5897 |
2.2. Capital Reserves |
1899 |
1940 |
24538 |
24986 |
26437 |
26926 |
1206 |
784 |
2.3. Share Premium |
21508 |
22035 |
15116 |
32195 |
36624 |
54229 |
5732 |
7485 |
2.4. Investment Fluctuations Reserves |
93 |
42 |
679 |
777 |
773 |
819 |
235 |
212 |
2.5. Revenue and other Reserves |
15286 |
19904 |
62275 |
78183 |
77562 |
98087 |
5980 |
7468 |
2.6. Balance of Profit |
2 |
4 |
4254 |
5292 |
4256 |
5295 |
507 |
579 |
3. Deposits |
1108086 |
1245862 |
2583934 |
3127122 |
3692019 |
4372985 |
229897 |
264157 |
Type-wise |
||||||||
3A.1. Demand deposits |
145374 |
154290 |
223155 |
255820 |
368528 |
410109 |
21597 |
24222 |
(i) From banks |
11405 |
10705 |
8232 |
8898 |
19637 |
19603 |
481 |
442 |
(ii) From others |
133968 |
143585 |
214923 |
246922 |
348891 |
390507 |
21115 |
23780 |
3A.2. Savings bank deposits |
328109 |
406445 |
559158 |
676557 |
887267 |
1083001 |
43567 |
49667 |
3A.3. Term deposits |
634603 |
685128 |
1801621 |
2194746 |
2436224 |
2879874 |
164733 |
190268 |
(i) From banks |
15806 |
14681 |
121127 |
162673 |
136933 |
177354 |
12342 |
13568 |
(ii) From others |
618797 |
670447 |
1680494 |
2032073 |
2299291 |
2702520 |
152391 |
176700 |
Location-wise |
||||||||
3B.1 Deposits of branches in India |
1068687 |
1199081 |
2461676 |
2967242 |
3530363 |
4166323 |
229897 |
264157 |
3B.2 Deposits of branches outside India |
39399 |
46781 |
122258 |
159880 |
161657 |
206661 |
- |
- |
Note : $ Includes IDBI Bank Ltd. |
||||||||
Source : Annual accounts of banks. |
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA : 2010 AND 2011 (Contd.) |
||||||||
(Amount in ` crore) |
||||||||
Items |
As on March 31 |
|||||||
State Bank of India & its Associates |
Nationalised Banks $ |
Public Sector Banks |
Old Private Sector Banks |
|||||
2010 |
2011 |
2010 |
2011 |
2010 |
2011 |
2010 |
2011 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
4. Borrowings |
121567 |
142003 |
192247 |
253141 |
313814 |
395144 |
8674 |
10967 |
4.1. Borrowings in India |
53775 |
67842 |
155132 |
180302 |
208907 |
248144 |
7014 |
7853 |
(i) From Reserve Bank of India |
0 |
1630 |
3574 |
16670 |
3574 |
18300 |
44 |
539 |
(ii) From other banks |
8538 |
9053 |
9446 |
9985 |
17984 |
19038 |
680 |
1088 |
(iii) From other institutions and agencies |
45237 |
57160 |
142112 |
153646 |
187349 |
210806 |
6290 |
6226 |
4.2. Borrowings outside India |
67792 |
74160 |
37115 |
72839 |
104907 |
147000 |
1660 |
3114 |
Secured borrowings included in 4 |
9358 |
7940 |
13877 |
25378 |
23235 |
33318 |
183 |
3 |
5. Other liabilities and provisions |
98875 |
125425 |
95117 |
110013 |
193992 |
235437 |
10164 |
10066 |
5.1. Bill payable |
26332 |
26504 |
17991 |
15490 |
44323 |
41995 |
2070 |
1764 |
5.2. Inter-office adjustment |
11832 |
21689 |
2226 |
1275 |
14058 |
22963 |
325 |
345 |
5.3. Interest accured |
9411 |
11536 |
10296 |
12958 |
19707 |
24494 |
1007 |
1246 |
5.4. Subordinate debt. |
0 |
0 |
1525 |
1525 |
1525 |
1525 |
- |
- |
5.5. Deferred tax liabilities |
0 |
47 |
997 |
1278 |
997 |
1326 |
203 |
194 |
5.6. Others (including provisions) |
51300 |
65649 |
62083 |
77486 |
113383 |
143135 |
6558 |
6517 |
Total Liabilities |
1412253 |
1597684 |
3028574 |
3696133 |
4440827 |
5293817 |
268905 |
309011 |
6. Cash and balances with RBI |
82057 |
119234 |
188802 |
233145 |
270858 |
352379 |
16915 |
18173 |
6.1. Cash in hand |
8547 |
9062 |
9840 |
11930 |
18387 |
20992 |
1769 |
2167 |
6.2. Balances with RBI |
73509 |
110172 |
178962 |
221215 |
252471 |
331387 |
15146 |
16006 |
(i) In current account |
73507 |
110169 |
178777 |
220941 |
252284 |
331110 |
15146 |
16006 |
(ii) In other account |
3 |
3 |
185 |
274 |
188 |
277 |
- |
- |
7. Balances with banks in India and money at call and short notice |
30806 |
33979 |
83594 |
98247 |
114400 |
132225 |
5692 |
3908 |
7.1. In India |
7069 |
8379 |
43291 |
36411 |
50360 |
44790 |
5363 |
3385 |
7.1.1. Balances with banks |
3590 |
3900 |
23407 |
20653 |
26997 |
24553 |
2271 |
2759 |
(i) In current account |
1367 |
1408 |
5542 |
4599 |
6909 |
6007 |
555 |
602 |
(ii) In other deposit accounts |
2223 |
2491 |
17866 |
16054 |
20089 |
18545 |
1715 |
2156 |
7.1.2 Money at call and short notice |
3479 |
4479 |
19884 |
15758 |
23362 |
20237 |
3093 |
627 |
(i) with banks |
1480 |
2769 |
14617 |
14968 |
16097 |
17737 |
2343 |
627 |
(ii) with other institutions |
1999 |
1710 |
5267 |
790 |
7266 |
2500 |
750 |
- |
7.2 Outside India |
23737 |
25600 |
40303 |
61835 |
64040 |
87435 |
329 |
523 |
7.2.1 Balances with Banks |
17858 |
13895 |
25453 |
45521 |
43311 |
59416 |
223 |
326 |
(i) In current account |
16915 |
12635 |
4845 |
12775 |
21760 |
25410 |
158 |
237 |
(ii) In other deposit accounts |
943 |
1260 |
20608 |
32746 |
21551 |
34006 |
65 |
89 |
7.2.2 Money at call and short notice |
5880 |
11705 |
14850 |
16314 |
20729 |
28019 |
106 |
197 |
Note : $ Includes IDBI Bank Ltd. |
||||||||
Source : Annual accounts of banks. |
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA : 2010 AND 2011 (Contd.) |
||||||||
(Amount in ` crore) |
||||||||
Items |
As on March 31 |
|||||||
State Bank of India & its Associates |
Nationalised |
Public Sector Banks |
Old Private Sector Banks |
|||||
2010 |
2011 |
2010 |
2011 |
2010 |
2011 |
2010 |
2011 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
8. Investments |
387473 |
385697 |
828125 |
942837 |
1215598 |
1328534 |
83499 |
92617 |
8.1 Investment in India in |
379252 |
375683 |
814654 |
929701 |
1193906 |
1305384 |
83499 |
92617 |
(i) Government securities |
309729 |
309659 |
690286 |
764752 |
1000015 |
1074411 |
60819 |
64603 |
(ii) Other approved securities |
1254 |
539 |
3761 |
2559 |
5015 |
3098 |
289 |
51 |
(iii) Shares |
7787 |
9497 |
12941 |
14813 |
20728 |
24310 |
657 |
862 |
(iv) Debentures and Bonds |
19070 |
18279 |
36246 |
40142 |
55315 |
58421 |
4251 |
4418 |
(v) Subsidiaries and/or joint ventures |
4319 |
4886 |
3529 |
3822 |
7848 |
8708 |
129 |
219 |
(vi) Others |
37094 |
32822 |
67891 |
103613 |
104984 |
136434 |
17354 |
22463 |
8.2 Investment outside India in |
8222 |
10014 |
13471 |
13136 |
21692 |
23149 |
- |
- |
(i) Government securities |
2010 |
2239 |
6342 |
5864 |
8351 |
8103 |
- |
- |
(ii) Subsidiaries and/or joint ventures |
1404 |
1603 |
1007 |
1555 |
2411 |
3158 |
- |
- |
(iii) Others |
4808 |
6171 |
6121 |
5716 |
10930 |
11888 |
- |
- |
9. Advances |
857937 |
994154 |
1843082 |
2311478 |
2701019 |
3305632 |
154085 |
184647 |
Type-wise |
||||||||
9A. (i) Bills purchased and discounted |
51030 |
61028 |
89740 |
122377 |
140771 |
183405 |
8957 |
9875 |
(ii) Cash credits, overdrafts & loans repayable on demand |
359411 |
433314 |
741440 |
963799 |
1100850 |
1397114 |
68119 |
84039 |
(iii) Term loans |
447496 |
499811 |
1011902 |
1225302 |
1459398 |
1725113 |
77010 |
90733 |
Security-wise |
||||||||
9B. (i) Secured by tangible assets |
600030 |
699441 |
1346992 |
1687902 |
1947022 |
2387343 |
128613 |
155534 |
(ii) Covered by Bank/Government Guarantees |
91018 |
115009 |
118020 |
164552 |
209038 |
279561 |
5804 |
6454 |
(iii) Unsecured |
166889 |
179704 |
378070 |
459025 |
544958 |
638728 |
19667 |
22659 |
Sector-wise & Location-wise |
||||||||
9.C.I. Advances in India |
761777 |
886110 |
1720790 |
2135580 |
2482567 |
3021689 |
154085 |
184647 |
(i) Priority sectors |
252668 |
318386 |
581713 |
691290 |
834381 |
1009676 |
54589 |
64047 |
(ii) Public sectors |
63561 |
64080 |
191173 |
270885 |
254734 |
334965 |
9153 |
8118 |
(iii) Banks |
275 |
465 |
12415 |
31108 |
12690 |
31573 |
303 |
1028 |
(iv) Others |
445272 |
503179 |
935489 |
1142297 |
1380761 |
1645476 |
90041 |
111455 |
9.C.II. Advances outside India |
96160 |
108044 |
122292 |
175899 |
218452 |
283943 |
- |
- |
(i) Due from banks |
15657 |
22424 |
15949 |
42087 |
31606 |
64511 |
- |
- |
(ii) Due from others |
80503 |
85620 |
106343 |
133811 |
186846 |
219432 |
- |
- |
a) Bills purchased and discounted |
25294 |
14796 |
31389 |
41472 |
56683 |
56268 |
- |
- |
b) Syndicate loans |
26475 |
36738 |
28012 |
36217 |
54487 |
72955 |
- |
- |
c) Others |
28734 |
34086 |
46943 |
56122 |
75676 |
90208 |
- |
- |
10. Fixed Assets |
6213 |
6565 |
28256 |
29591 |
34469 |
36156 |
2357 |
2509 |
10.1 Premises |
1913 |
1941 |
22656 |
23404 |
24569 |
25345 |
1385 |
1614 |
10.2.Fixed assets under construction |
303 |
335 |
322 |
326 |
625 |
661 |
232 |
51 |
10.3 Other fixed assets |
3998 |
4289 |
5278 |
5861 |
9276 |
10150 |
740 |
845 |
11.Other Assets |
47767 |
58056 |
56715 |
80836 |
104482 |
138892 |
6356 |
7156 |
(i) Inter - office adjustments (net) |
1784 |
1631 |
2838 |
6877 |
4622 |
8508 |
180 |
74 |
(ii) Interest accrued |
10359 |
11862 |
16392 |
19757 |
26752 |
31620 |
1705 |
1848 |
(iii) Tax paid in advance/tax deducted at source |
5729 |
6945 |
16995 |
17274 |
22724 |
24219 |
1751 |
1874 |
(iv) Stationery and stamps |
127 |
123 |
118 |
115 |
245 |
238 |
24 |
23 |
(v) Others |
29767 |
37496 |
20372 |
36813 |
50139 |
74309 |
2696 |
3336 |
Total Assets |
1412253 |
1597684 |
3028574 |
3696133 |
4440827 |
5293817 |
268905 |
309011 |
Note : $ Includes IDBI Bank Ltd. |
||||||||
Source : Annual accounts of banks. |
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA : 2010 AND 2011 (Contd.) |
||||||||
(Amount in ` crore) |
||||||||
Items |
As on March 31 |
|||||||
New Private Sector Banks |
Private Sector Banks |
Foreign Banks |
All Scheduled Commercial Banks |
|||||
2010 |
2011 |
2010 |
2011 |
2010 |
2011 |
2010 |
2011 |
|
(9) |
(10) |
(11) |
(12) |
(13) |
(14) |
(15) |
(16) |
|
Number of reporting banks |
7 |
7 |
22 |
21 |
32 |
34 |
81 |
81 |
Liabilities |
||||||||
1. Capital |
3276 |
3409 |
4549 |
4805 |
30527 |
35383 |
48619 |
59243 |
2. Reserves and Surplus |
96537 |
111359 |
115435 |
133784 |
38649 |
45668 |
381542 |
450648 |
2.1. Statutory Reserves |
11903 |
15756 |
17141 |
21653 |
11197 |
13156 |
110144 |
120649 |
2.2. Capital Reserves |
3194 |
3285 |
4400 |
4069 |
2219 |
2359 |
33056 |
33355 |
2.3. Share Premium |
57791 |
61512 |
63523 |
68997 |
0 |
0 |
100146 |
123226 |
2.4. Investment Fluctuations Reserves |
206 |
64 |
441 |
276 |
84 |
166 |
1297 |
1262 |
2.5. Revenue and other Reserves |
10367 |
11619 |
16347 |
19088 |
19448 |
22324 |
113357 |
139499 |
2.6. Balance of Profit |
13077 |
19122 |
13584 |
19700 |
5701 |
7662 |
23541 |
32658 |
3. Deposits |
592904 |
738602 |
822801 |
1002759 |
232099 |
240689 |
4746920 |
5616432 |
Type-wise |
||||||||
3A.1. Demand deposits |
112992 |
134707 |
134589 |
158929 |
68250 |
72900 |
571367 |
641939 |
(i) From banks |
4076 |
4744 |
4557 |
5186 |
1596 |
1819 |
25790 |
26608 |
(ii) From others |
108916 |
129963 |
130032 |
153743 |
66654 |
71081 |
545577 |
615331 |
3A.2. Savings bank deposits |
142653 |
179463 |
186220 |
229130 |
36427 |
39650 |
1109915 |
1351782 |
3A.3. Term deposits |
337259 |
424432 |
501992 |
614699 |
127422 |
128138 |
3065638 |
3622712 |
(i) From banks |
19475 |
29506 |
31817 |
43074 |
4007 |
4116 |
172757 |
224544 |
(ii) From others |
317784 |
394926 |
470175 |
571625 |
123415 |
124023 |
2892881 |
3398168 |
Location-wise |
||||||||
3B.1 Deposits of branches in India |
578880 |
720355 |
808777 |
984512 |
232099 |
240689 |
4571239 |
5391525 |
3B.2 Deposits of branches outside India |
14024 |
18247 |
14024 |
18247 |
- |
- |
175680 |
224908 |
Source : Annual accounts of banks. |
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA : 2010 AND 2011 (Contd.) |
||||||||
(Amount in ` crore) |
||||||||
Items |
As on March 31 |
|||||||
New Private Sector Banks |
Private Sector Banks |
Foreign Banks |
All Scheduled Commercial Banks |
|||||
2010 |
2011 |
2010 |
2011 |
2010 |
2011 |
2010 |
2011 |
|
(9) |
(10) |
(11) |
(12) |
(13) |
(14) |
(15) |
(16) |
|
4. Borrowings |
140676 |
175017 |
149350 |
185984 |
68247 |
92797 |
531412 |
673925 |
4.1. Borrowings in India |
69277 |
76954 |
76291 |
84807 |
34803 |
53440 |
320001 |
386391 |
(i) From Reserve Bank of India |
- |
4925 |
44 |
5464 |
825 |
21496 |
4443 |
45260 |
(ii) From other banks |
6768 |
9477 |
7449 |
10565 |
12526 |
20680 |
37959 |
50284 |
(iii) From other institutions and agencies |
62509 |
62552 |
68799 |
68778 |
21452 |
11263 |
277600 |
290847 |
4.2. Borrowings outside India |
71399 |
98063 |
73059 |
101178 |
33444 |
39357 |
211410 |
287534 |
Secured borrowings included in 4 |
2784 |
802 |
2967 |
806 |
16013 |
27190 |
42215 |
61314 |
5. Other liabilities and provisions |
48438 |
60778 |
58601 |
70844 |
65839 |
76992 |
318433 |
383273 |
5.1. Bill payable |
14571 |
13826 |
16641 |
15590 |
3604 |
4528 |
64568 |
62113 |
5.2. Inter-office adjustment |
30 |
93 |
355 |
438 |
116 |
98 |
14529 |
23499 |
5.3. Interest accured |
5751 |
7137 |
6758 |
8383 |
1998 |
2259 |
28463 |
35136 |
5.4. Subordinate debt. |
- |
- |
- |
- |
- |
- |
1525 |
1525 |
5.5. Deferred tax liabilities |
- |
- |
203 |
194 |
4 |
4 |
1204 |
1524 |
5.6. Others (including provisions) |
28086 |
39723 |
34644 |
46240 |
60117 |
70102 |
208144 |
259476 |
Total Liabilities |
881831 |
1089165 |
1150736 |
1398176 |
435362 |
491528 |
6026925 |
7183522 |
6. Cash and balances with RBI |
58951 |
67938 |
75866 |
86111 |
19097 |
20293 |
365821 |
458783 |
6.1. Cash in hand |
8162 |
9566 |
9931 |
11733 |
607 |
797 |
28925 |
33521 |
6.2. Balances with RBI |
50789 |
58372 |
65935 |
74378 |
18489 |
19497 |
336895 |
425262 |
(i) In current account |
50689 |
58272 |
65835 |
74278 |
18485 |
19491 |
336604 |
424880 |
(ii) In other account |
100 |
100 |
100 |
100 |
4 |
5 |
292 |
382 |
7. Balances with banks in India and money at call and short notice |
32978 |
27708 |
38670 |
31616 |
20559 |
27365 |
173629 |
191206 |
7.1. In India |
20586 |
14293 |
25949 |
17678 |
5344 |
11171 |
81653 |
73639 |
7.1.1. Balances with banks |
10028 |
11660 |
12299 |
14419 |
4645 |
8431 |
43942 |
47403 |
(i) In current account |
2414 |
1447 |
2969 |
2049 |
974 |
1032 |
10852 |
9088 |
(ii) In other deposit accounts |
7615 |
10214 |
9330 |
12370 |
3671 |
7399 |
33089 |
38314 |
7.1.2 Money at call and short notice |
10557 |
2633 |
13650 |
3259 |
699 |
2740 |
37711 |
26236 |
(i) with banks |
624 |
2086 |
2967 |
2713 |
679 |
2663 |
19743 |
23113 |
(ii) with other institutions |
9933 |
547 |
10683 |
547 |
20 |
77 |
17968 |
3124 |
7.2 Outside India |
12392 |
13415 |
12721 |
13938 |
15215 |
16194 |
91976 |
117567 |
7.2.1 Balances with Banks |
8101 |
6003 |
8325 |
6330 |
12506 |
14587 |
64142 |
80334 |
(i) In current account |
2995 |
3354 |
3153 |
3591 |
2141 |
4795 |
27055 |
33796 |
(ii) In other deposit accounts |
5106 |
2650 |
5172 |
2739 |
10365 |
9793 |
37087 |
46537 |
7.2.2 Money at call and short notice |
4291 |
7412 |
4397 |
7608 |
2709 |
1606 |
27835 |
37234 |
Source : Annual accounts of banks. |
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA : 2010 AND 2011 (Concld.) |
||||||||
(Amount in ` crore) |
||||||||
Items |
As on March 31 |
|||||||
New Private Sector Banks |
Private Sector Banks |
Foreign Banks |
All Scheduled Commercial Banks |
|||||
2010 |
2011 |
2010 |
2011 |
2010 |
2011 |
2010 |
2011 |
|
(9) |
(10) |
(11) |
(12) |
(13) |
(14) |
(15) |
(16) |
|
8. Investments |
270618 |
329403 |
354117 |
422020 |
159291 |
165499 |
1729006 |
1916053 |
8.1 Investment in India in |
260741 |
319336 |
344240 |
411953 |
159291 |
165499 |
1697437 |
1882836 |
(i) Government securities |
180209 |
197649 |
241028 |
262252 |
117497 |
111960 |
1358539 |
1448624 |
(ii) Other approved securities |
21 |
38 |
311 |
89 |
4 |
2 |
5330 |
3189 |
(iii) Shares |
3511 |
3704 |
4168 |
4566 |
98 |
104 |
24993 |
28981 |
(iv) Debentures and Bonds |
20398 |
39978 |
24650 |
44396 |
6634 |
6166 |
86599 |
108983 |
(v) Subsidiaries and/or joint ventures |
6848 |
7814 |
6978 |
8033 |
- |
- |
14825 |
16741 |
(vi) Others |
49753 |
70154 |
67107 |
92617 |
35058 |
47267 |
207150 |
276319 |
8.2 Investment outside India in |
9877 |
10067 |
9877 |
10067 |
- |
- |
31569 |
33217 |
(i) Government securities |
165 |
929 |
165 |
929 |
- |
- |
8516 |
9033 |
(ii) Subsidiaries and/or joint ventures |
6614 |
6616 |
6614 |
6616 |
- |
- |
9025 |
9774 |
(iii)Others |
3098 |
2522 |
3098 |
2522 |
- |
- |
14028 |
14410 |
9. Advances |
478356 |
612886 |
632441 |
797534 |
163260 |
195539 |
3496720 |
4298704 |
Type-wise |
||||||||
9A. (i) Bills purchased and discounted |
18505 |
23138 |
27462 |
33013 |
21307 |
25182 |
189540 |
241600 |
(ii) Cash credits,overdrafts & loans repayable on demand |
90600 |
119717 |
158719 |
203756 |
73034 |
91172 |
1332603 |
1692042 |
(iii) Term loans |
369250 |
470032 |
446260 |
560765 |
68919 |
79186 |
1974577 |
2365063 |
Security-wise |
||||||||
9B. (i) Secured by tangible assets |
354511 |
468860 |
483124 |
624394 |
75474 |
85587 |
2505621 |
3097324 |
(ii) Covered by Bank/Government Guarantees |
8734 |
10518 |
14539 |
16972 |
7326 |
8926 |
230902 |
305460 |
(iii) Unsecured |
115111 |
133509 |
134778 |
156168 |
80461 |
101025 |
760197 |
895921 |
Sector-wise & Location-wise |
||||||||
9.C.I. Advances in India |
418910 |
533559 |
572995 |
718206 |
163260 |
195539 |
3218822 |
3935434 |
(i) Priority sectors |
147142 |
178226 |
201730 |
242272 |
55399 |
63913 |
1091510 |
1315861 |
(ii) Public sectors |
9471 |
10035 |
18624 |
18153 |
2739 |
2971 |
276097 |
356089 |
(iii) Banks |
1164 |
479 |
1467 |
1507 |
3607 |
3640 |
17764 |
36720 |
(iv) Others |
261133 |
344818 |
351174 |
456273 |
101516 |
125015 |
1833451 |
2226763 |
9.C.II. Advances outside India |
59446 |
79328 |
59446 |
79328 |
- |
- |
277898 |
363270 |
(i) Due from banks |
1385 |
5542 |
1385 |
5542 |
- |
- |
32991 |
70053 |
(ii) Due from others |
58061 |
73786 |
58061 |
73786 |
- |
- |
244907 |
293218 |
a) Bills purchased and discounted |
1983 |
1191 |
1983 |
1191 |
- |
- |
58666 |
57459 |
b) Syndicate loans |
47574 |
57567 |
47574 |
57567 |
- |
- |
102061 |
130522 |
c) Others |
8504 |
15028 |
8504 |
15028 |
- |
- |
84180 |
105236 |
10. Fixed Assets |
7882 |
10470 |
10239 |
12980 |
4860 |
4959 |
49568 |
54094 |
10.1 Premises |
3360 |
5558 |
4744 |
7172 |
3127 |
3111 |
32440 |
35628 |
10.2.Fixed assets under construction |
76 |
50 |
309 |
101 |
808 |
964 |
1742 |
1725 |
10.3 Other fixed assets |
4445 |
4862 |
5185 |
5707 |
924 |
884 |
15386 |
16740 |
11.Other Assets |
33047 |
40760 |
39404 |
47915 |
68295 |
77874 |
212181 |
264681 |
(i) Inter - office adjustments (net) |
0 |
21 |
180 |
95 |
154 |
226 |
4955 |
8829 |
(ii) Interest accrued |
6889 |
9282 |
8594 |
11130 |
2904 |
3046 |
38249 |
45796 |
(iii) Tax paid in advance/tax deducted at source |
5825 |
5910 |
7576 |
7784 |
2270 |
2841 |
32570 |
34844 |
(iv) Stationery and stamps |
30 |
40 |
54 |
63 |
1 |
1 |
300 |
301 |
(v) Others |
20303 |
25507 |
23000 |
28843 |
62967 |
71759 |
136106 |
174911 |
Total Assets |
881831 |
1089165 |
1150736 |
1398176 |
435362 |
491528 |
6026925 |
7183522 |
Source : Annual accounts of banks. |