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Appendix Table VI.3 : Select Financial Indicators of Primary Dealers

(Amount in ` crore)

Sr. No.

Name of the Primary Dealer

Capital Funds (Tier I + Tier II + eligible Tier III)

CRAR (per cent)

Stock of Government Securities and Treasury bills (Book Value/MTM)

Total Assets (Net of current liabilities and provisions)

2008-09

2009-10

2008-09

2009-10

2008-09

2009-10

2008-09

2009-10

1

2

3

4

5

6

7

8

9

10

1

Securities Trading Corporation of India Ltd.

253

258

38

33

1,067

960

1,176

1,240

2

SBI DFHI Ltd.

1,084

1,109

49

149

1,188

1,225

2088

1,917

3

ICICI Securities Ltd.

641

807

36

29

1,421

639

2,799

3,046

4

PNB Gilts Ltd.

546

553

26

42

1,824

1,007

2,098

1,308

5

Morgan Stanley India Primary Dealer Pvt. Ltd.*

-

267

-

17

-

1,311

-

1,275

6

Nomura Fixed Income Securities Pvt. Ltd.**

-

246

-

50

-

707

-

793

7

Deutsche Securities (India) Pvt Ltd

221

228

25

53

615

235

663

279

8

IDBI Gilts Ltd.

81

142

36

72

420

175

467

449

 

TOTAL

3,464

3,610

35

43

7,305

6,258

10,307

10,308

* : Morgan Stanley India PD commenced PD operations w.e.f. July 20, 2009.
** : Nomura FIS commenced PD operations w.e.f. September 7 , 2009.
– : Not applicable.
Amount rounded off to the nearest crore.
Source : Primary Dealers’ Returns.

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