Appendix Table III.1(B): Consolidated Balance Sheet of Private Sector Banks - ਆਰਬੀਆਈ - Reserve Bank of India
Appendix Table III.1(B): Consolidated Balance Sheet of Private Sector Banks
(As at end-March) |
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(Amount in Rs.crore) |
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Item |
Private Sector Banks |
Old Private Sector Banks |
New Private Sector Banks |
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2002 |
2003 |
2002 |
2003 |
2002 |
2003 |
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Amount |
per cent |
Amount |
per cent |
Amount |
per cent |
Amount |
per cent |
Amount |
per cent |
Amount |
per cent |
|||
to total |
to total |
to total |
to total |
to total |
to total |
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1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 |
11 |
12 |
13 |
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1. Capital |
2,718.39 |
1.02 |
2,921.06 |
0.98 |
604.80 |
0.65 |
648.77 |
0.62 |
2,113.59 |
1.21 |
2,272.29 |
1.18 |
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2. Reserves & Surplus |
13,468.95 |
5.03 |
15,974.40 |
5.37 |
4,806.25 |
5.16 |
5,646.38 |
5.37 |
8,662.70 |
4.96 |
10,328.02 |
5.37 |
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3. Deposits |
1,69,432.92 |
63.29 |
2,07,173.57 |
69.69 |
80,440.54 |
86.28 |
91,431.26 |
86.99 |
88,992.38 |
51.01 |
1,15,742.31 |
60.23 |
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3.1 |
Demand Deposits |
20,397.76 |
7.62 |
23,274.15 |
7.83 |
8,107.59 |
8.70 |
8,515.54 |
8.10 |
12,290.17 |
7.04 |
14,758.61 |
7.68 |
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3.2 |
Savings Bank Deposits |
20,120.17 |
7.52 |
26,160.42 |
8.80 |
11,828.99 |
12.69 |
13,673.98 |
13.01 |
8,291.18 |
4.75 |
12,486.44 |
6.50 |
|
3.3 |
Term Deposits |
1,28,914.99 |
48.16 |
1,57,739.00 |
53.06 |
60,503.96 |
64.90 |
69,241.74 |
65.88 |
68,411.03 |
39.21 |
88,497.26 |
46.05 |
|
4. Borrowings |
56,591.84 |
21.14 |
42,139.95 |
14.18 |
2,725.11 |
2.92 |
2,385.75 |
2.27 |
53,866.73 |
30.87 |
39,754.20 |
20.69 |
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5. Other Liabilities and Provisions |
25,493.77 |
9.52 |
29,070.33 |
9.78 |
4,652.59 |
4.99 |
4,997.34 |
4.75 |
20,841.18 |
11.94 |
24,072.99 |
12.53 |
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Total Liabilities |
2,67,705.87 |
100.00 |
2,97,279.31 |
100.00 |
93,229.29 |
100.00 |
1,05,109.50 |
100.00 |
1,74,476.58 |
100.00 |
1,92,169.81 |
100.00 |
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1. Cash and balances with RBI |
11,306.23 |
4.22 |
16,393.68 |
5.51 |
5,296.35 |
5.68 |
5,243.58 |
4.99 |
6,009.88 |
3.44 |
11,150.10 |
5.80 |
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2. Balances with banks and |
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money at call and short notice |
23,386.30 |
8.74 |
11,052.34 |
3.72 |
6,489.89 |
6.96 |
5,222.04 |
4.97 |
16,896.41 |
9.68 |
5,830.30 |
3.03 |
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3. Investments |
97,650.61 |
36.48 |
1,07,327.94 |
36.10 |
34,021.77 |
36.49 |
40,001.03 |
38.06 |
63,628.84 |
36.47 |
67,326.91 |
35.04 |
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3.1 |
In Govt. Securities (a+b) |
62,943.45 |
23.51 |
73,303.41 |
24.66 |
23,840.20 |
25.57 |
28,479.37 |
27.09 |
39,103.25 |
22.41 |
44,824.04 |
23.33 |
|
a. In India |
62,859.08 |
23.48 |
73,219.26 |
24.63 |
23,755.83 |
25.48 |
28,395.22 |
27.01 |
39,103.25 |
22.41 |
44,824.04 |
23.33 |
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b. Outside India |
84.37 |
0.03 |
84.15 |
0.03 |
84.37 |
0.09 |
84.15 |
0.08 |
— |
— |
— |
— |
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3.2 |
In other approved Securities |
1,126.64 |
0.42 |
960.93 |
0.32 |
1,012.24 |
1.09 |
882.58 |
0.84 |
114.40 |
0.07 |
78.35 |
0.04 |
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3.3 |
In non-approved Securities |
33,580.52 |
12.54 |
33,063.60 |
11.12 |
9,169.33 |
9.84 |
10,639.08 |
10.12 |
24,411.19 |
13.99 |
22,424.52 |
11.67 |
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4. Loans and Advances |
1,16,840.79 |
43.65 |
1,38,951.10 |
46.74 |
42,285.68 |
45.36 |
49,436.34 |
47.03 |
74,555.11 |
42.73 |
89,514.76 |
46.58 |
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4.1 |
Bills purchased & discounted |
10,405.19 |
3.89 |
11,084.39 |
3.73 |
4,204.38 |
4.51 |
5,321.15 |
5.06 |
6,200.81 |
3.55 |
5,763.24 |
3.00 |
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4.2 |
Cash Credit, Overdrafts, etc. |
35,527.03 |
13.27 |
38,437.75 |
12.93 |
22,412.43 |
24.04 |
23,663.92 |
22.51 |
13,114.60 |
7.52 |
14,773.83 |
7.69 |
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4.3 |
Term Loans |
70,908.57 |
26.49 |
89,428.96 |
30.08 |
15,668.87 |
16.81 |
20,451.27 |
19.46 |
55,239.70 |
31.66 |
68,977.69 |
35.89 |
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5. Fixed Assets |
7,400.97 |
2.76 |
7,499.41 |
2.52 |
1,459.53 |
1.57 |
1,528.16 |
1.45 |
5,941.44 |
3.41 |
5,971.25 |
3.11 |
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6. Other Assets |
11,120.97 |
4.15 |
16,054.84 |
5.40 |
3,676.07 |
3.94 |
3,678.35 |
3.50 |
7,444.90 |
4.27 |
12,376.49 |
6.44 |
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Total Assets |
2,67,705.87 |
100.00 |
2,97,279.31 |
100.00 |
93,229.29 |
100.00 |
1,05,109.50 |
100.00 |
1,74,476.58 |
100.00 |
1,92,169.81 |
100.00 |
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Source: Balance sheets of respective banks. |