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83802511

B9 : Maturity Profile of Selected Items of Liabilities and Assets of Scheduled Commercial Banks : 2004 and 2005 (Part 2 of 6)

                         

(Amount in Rs. lakh)

                             
               

As on March 31

       
                             

Maturity-wise

 

Dena

   

IDBI

   

Indian

 

Indian Overseas

Liabilities/Assets

 

Bank

   

Ltd. #

   

Bank

   

Bank

       

2004

 

2005

2004

 

2005

2004

 

2005

2004

2005

                             
       

(17)

 

(18)

(19)

 

(20)

(21)

 

(22)

(23)

(24)

                             

I.

Deposits

1834918

2009609

 

1488772

3044439

3480843

4148258

4424124

 

a)

 

1 - 14 days

149363

 

128312

   

209581

290212

 

354843

430119

223640

 

b)

 

15 - 28 days

36553

 

62106

   

55747

123404

 

108901

104463

87130

 

c)

 

29 days to 3 months

128289

 

192593

   

134684

263718

 

305567

309543

114790

 

d)

 

Over 3 months to 6 months

142622

 

136679

   

90029

227855

 

338268

402188

134629

 

e)

 

Over 6 months to one year

271707

 

235179

   

105356

359527

 

410071

691133

158932

 

f)

 

Over one year to 3 years

991494

1138060

   

765711

1499654

1692168

901646

424528

 

g)

 

Over 3 years to 5 years

68496

 

72706

   

73537

150398

 

139513

1260667

1387674

 

h)

 

Over 5 years

46394

 

43974

   

54127

129671

 

131512

48499

1892801

                             

II.

Borrowings

30837

 

33498

 

4799564

29892

 

72459

72947

59068

 

a)

 

1 - 14 days

4351

 

47

   

176592

9027

 

46415

10479

5378

 

b)

 

15 - 28 days

445

 

10925

   

86928

900

 

1191

7865

8749

 

c)

 

29 days to 3 months

16664

 

21117

   

145028

1010

 

1224

368

8816

 

d)

 

Over 3 months to 6 months

2212

 

1331

   

152002

4014

 

3730

26467

10203

 

e)

 

Over 6 months to one year

1724

 

7

   

548055

3993

 

2942

23395

6260

 

f)

 

Over one year to 3 years

3758

 

37

 

1200086

6607

 

14257

3446

4221

 

g)

 

Over 3 years to 5 years

1106

 

27

   

772715

3286

 

2348

563

1059

 

h)

 

Over 5 years

577

 

7

 

1718158

1055

 

352

364

14382

                             

III.

Loans and Advances

941179

1130859

 

4138937

1412608

1838010

2129319

2627413

 

a)

 

1 - 14 days

66571

 

84901

   

157250

252758

 

130110

317632

289508

 

b)

 

15 - 28 days

16340

 

15948

   

69060

122718

 

133134

37968

87046

 

c)

 

29 days to 3 months

39157

 

54276

   

217335

56656

 

61474

135054

183548

 

d)

 

Over 3 months to 6 months

42077

 

64193

   

236255

96152

 

255384

136083

170980

 

e)

 

Over 6 months to one year

49486

 

109921

   

355601

149106

 

269793

179026

275127

 

f)

 

Over one year to 3 years

483627

 

496262

   

906548

459970

 

566720

679988

850084

 

g)

 

Over 3 years to 5 years

89538

 

89415

   

637058

138593

 

225387

332965

423375

 

h)

 

Over 5 years

154383

 

215943

 

1559830

136655

 

196008

310603

347745

                             

Note:# : See ‘Explanatory Notes’.

Source:Annual accounts of banks of respective years.

 

 

                         

(Amount in Rs. lakh)

                             
               

As on March 31

       
                             

Maturity-wise

 

Dena

   

IDBI

   

Indian

 

Indian Overseas

Liabilities/Assets

 

Bank

   

Ltd. #

   

Bank

   

Bank

       

2004

 

2005

2004

 

2005

2004

 

2005

2004

2005

                             
       

(17)

 

(18)

(19)

 

(20)

(21)

 

(22)

(23)

(24)

                             

IV.

Investments (at book Value)

973641

 

969695

 

2505469

1669621

1792099

2019929

1905313

 

a)

 

1 - 14 days

41348

 

3727

   

73345

149155

 

1310

17468

3036

 

b)

 

15 - 28 days

 

633

   

60222

11484

 

10677

11163

5702

 

c)

 

29 days to 3 months

4203

 

12344

   

135472

17041

 

78777

33868

24835

 

d)

 

Over 3 months to 6 months

13271

 

13010

   

97610

1671

 

39812

23666

24835

 

e)

 

Over 6 months to one year

33426

 

18930

   

145393

6675

 

76705

32561

30076

 

f)

 

Over one year to 3 years

87393

 

70961

   

440949

123088

 

170758

209367

182368

 

g)

 

Over 3 years to 5 years

127509

 

133775

   

444516

158503

 

218944

278666

438325

 

h)

 

Over 5 years

666491

 

716315

 

1107962

1202004

1195116

1413170

1196136

                             

V.

Foreign Currency Assets

74819

 

87960

   

456056

123510

117052

412936

424920

 

a)

 

1 - 14 days

9162

 

17647

   

27284

17387

 

18453

92058

91621

 

b)

 

15 - 28 days

26453

 

8845

   

13338

49570

 

39138

16275

17275

 

c)

 

29 days to 3 months

11440

 

31738

   

42984

23316

 

11321

69742

97038

 

d)

 

Over 3 months to 6 months

27129

 

28541

   

38235

2970

 

4146

75399

69408

 

e)

 

Over 6 months to one year

459

 

1189

   

34909

1217

 

8432

28820

44412

 

f)

 

Over one year to 3 years

176

 

   

105315

15554

 

14357

78574

65833

 

g)

 

Over 3 years to 5 years

 

   

59511

11685

 

7955

28098

16812

 

h)

 

Over 5 years

 

   

134480

1811

 

13250

23970

22521

                             

VI.

Foreign Currency Liabilities

51900

 

66203

   

610265

81138

 

72741

379758

413581

 

a)

 

1 - 14 days

7701

 

6959

   

1198

2168

 

13071

72064

89922

 

b)

 

15 - 28 days

1103

 

11367

   

294

27938

 

9329

17706

27719

 

c)

 

29 days to 3 months

19033

 

22553

   

10744

22354

 

19114

49638

58553

 

d)

 

Over 3 months to 6 months

3053

 

3878

   

24701

8273

 

7606

49847

40654

 

e)

 

Over 6 months to one year

3962

 

6669

   

83141

9251

 

11006

68055

79869

 

f)

 

Over one year to 3 years

17048

 

14777

   

148776

11154

 

12615

79423

77449

 

g)

 

Over 3 years to 5 years

 

   

332036

 

5936

1496

 

h)

 

Over 5 years

 

   

9375

 

37089

37919

                             

Note:# : See ‘Explanatory Notes’.
Source:Annual accounts of banks of respective years.

 

 

                 

(Amount in Rs. lakh)

                     
           

As on March 31

     
                     

Maturity-wise

Oriental Bank of

Punjab & Sind

Punjab National

 

Syndicate

Liabilities/Assets

Commerce

 

Bank

 

Bank

 

Bank

     

2004

2005

2004

2005

2004

2005

2004

2005

                     
     

(25)

(26)

(27)

(28)

(29)

(30)

(31)

(32)

                     

I.

Deposits

3567350

4785033

1364203

1417066

8791639

10316688

4025198

4370589

 

a)

1 - 14 days

228949

297471

146979

121274

429766

754216

251971

198571

 

b)

15 - 28 days

150756

234637

25678

21108

87894

162276

69077

82292

 

c)

29 days to 3 months

440195

687796

106841

95805

348445

535622

338594

371319

 

d)

Over 3 months to 6 months

552025

647437

119516

126449

443419

587190

336928

234654

 

e)

Over 6 months to one year

715766

1099593

199404

175547

713432

557366

536733

581894

 

f)

Over one year to 3 years

831345

1025791

350124

418317

4515665

5266425

1686729

1978019

 

g)

Over 3 years to 5 years

583617

739059

119955

122701

245299

366230

209936

179883

 

h)

Over 5 years

64697

53249

295706

335865

2007719

2087363

595230

743957

                     

II.

Borrowings

12718

72810

1007

332

128906

271829

2531

1833

 

a)

1 - 14 days

40

8768

877

297

1624

5096

181

93

 

b)

15 - 28 days

5249

11617

26265

 

c)

29 days to 3 months

3

34697

33

8

36576

76832

218

 

d)

Over 3 months to 6 months

5839

21783

26

6

19079

48431

52

214

 

e)

Over 6 months to one year

1023

1946

34

10

13052

36493

326

277

 

f)

Over one year to 3 years

5646

203

31

10

46735

33285

863

433

 

g)

Over 3 years to 5 years

46

43

2

1

173

45383

317

723

 

h)

Over 5 years

121

121

4

50

44

574

93

                     

III.

Loans and Advances

2061230

2749687

600044

628606

4722472

6041275

1734747

2337033

 

a)

1 - 14 days

137822

239266

30290

38705

432255

701277

233353

279745

 

b)

15 - 28 days

85704

81762

7238

7186

110661

182767

12987

12918

 

c)

29 days to 3 months

137715

172532

24988

25323

331367

499393

57520

64498

 

d)

Over 3 months to 6 months

123937

163710

57561

29331

531863

530329

75624

101838

 

e)

Over 6 months to one year

182651

245486

35533

70361

655110

1012330

152022

188713

 

f)

Over one year to 3 years

319528

503026

85685

95307

1453610

1508238

759743

976062

 

g)

Over 3 years to 5 years

663924

625469

162296

137989

543319

765332

185742

269790

 

h)

Over 5 years

409949

718436

196453

224404

664287

841609

257756

443469

                     

Source : Annual accounts of banks of respective years.

 

 

                 

(Amount in Rs. lakh)

                     
           

As on March 31

     
                     

Maturity-wise

Oriental Bank of

Punjab & Sind

Punjab National

 

Syndicate

Liabilities/Assets

Commerce

 

Bank

 

Bank

 

Bank

     

2004

2005

2004

2005

2004

2005

2004

2005

                     
     

(25)

(26)

(27)

(28)

(29)

(30)

(31)

(32)

                     

IV.

Investments (at book Value)

1680365

1841887

677660

708158

4212549

5067283

1771628

2024824

 

a)

1 - 14 days

11108

450

6045

24500

3500

6841

8888

44639

 

b)

15 - 28 days

5171

3203

1949

2003

50962

59779

8811

8346

 

c)

29 days to 3 months

31643

73306

7488

10980

60200

132374

29246

40139

 

d)

Over 3 months to 6 months

33871

40808

7241

22422

20794

99336

10391

39308

 

e)

Over 6 months to one year

27580

37347

19788

10284

37595

49358

11474

97427

 

f)

Over one year to 3 years

182481

164740

97057

53736

340730

316090

199716

232743

 

g)

Over 3 years to 5 years

225865

254412

121264

71825

550630

1010315

187561

280127

 

h)

Over 5 years

1162646

1267621

416828

512408

3148138

3393190

1315541

1282095

                     

V.

Foreign Currency Assets

87585

103884

47576

42762

254642

249375

349976

348138

 

a)

1 - 14 days

13710

20202

20072

16545

87684

18219

29654

149047

 

b)

15 - 28 days

6667

10191

3877

4592

14828

27049

8984

38073

 

c)

29 days to 3 months

35865

32371

7102

10747

60590

82823

8602

68654

 

d)

Over 3 months to 6 months

25521

31934

10641

5473

70843

76634

84072

19911

 

e)

Over 6 months to one year

5822

9186

2040

4170

12856

21311

61783

12579

 

f)

Over one year to 3 years

3844

1235

5842

21499

54407

27615

 

g)

Over 3 years to 5 years

1587

983

97828

25403

 

h)

Over 5 years

412

857

4646

6856

                     

VI.

Foreign Currency Liabilities

96725

118269

24943

27133

86268

91878

252997

269882

 

a)

1 - 14 days

9966

16393

3236

4104

8933

5972

73576

117439

 

b)

15 - 28 days

9205

5687

738

645

1639

2507

44021

20086

 

c)

29 days to 3 months

22705

42381

2045

2144

4850

6655

13216

66808

 

d)

Over 3 months to 6 months

9298

29954

4073

3626

6827

9122

14775

38887

 

e)

Over 6 months to one year

30868

13046

7806

8973

17607

24758

9363

19557

 

f)

Over one year to 3 years

14683

10808

7045

7641

44594

41669

82967

7105

 

g)

Over 3 years to 5 years

934

1024

15079

 

h)

Over 5 years

884

171

                     

Source : Annual accounts of banks of respective years.

 

 

                   

(Amount in Rs. lakh)

                       
             

As on March 31

     
                       

Maturity-wise

 

UCO

 

Union Bank of

United Bank of

 

Vijaya

Liabilities/Assets

 

Bank

   

India

 

India

 

Bank

     

2004

 

2005

2004

2005

2004

2005

2004

2005

                       
     

(33)

 

(34)

(35)

(36)

(37)

(38)

(39)

(40)

                       

I.

Deposits

3746800

4727700

5055893

6183100

2275821

2534839

2101505

2561798

 

a)

1 - 14 days

259000

 

280800

273927

317400

119082

115132

123328

140691

 

b)

15 - 28 days

94200

 

181200

101520

190400

37414

27760

36156

56581

 

c)

29 days to 3 months

303000

 

581700

348719

532600

120906

89644

151831

207703

 

d)

Over 3 months to 6 months

306800

 

453100

522623

591500

179539

154913

220488

226274

 

e)

Over 6 months to one year

619000

 

900500

742151

976400

229509

338534

542355

601368

 

f)

Over one year to 3 years

727500

 

754900

2671996

3186500

645045

691593

926928

1156525

 

g)

Over 3 years to 5 years

228600

 

221900

281499

263500

129193

133924

71119

129071

 

h)

Over 5 years

1208700

1353600

113458

124800

815133

983339

29300

43585

                       

II.

Borrowings

33600

 

28700

93424

202100

2949

2699

7959

10113

 

a)

1 - 14 days

17200

 

22600

6605

5900

75

16

360

 

b)

15 - 28 days

 

13115

 

c)

29 days to 3 months

 

41215

56400

81

76

19

11

 

d)

Over 3 months to 6 months

 

260

3500

768

472

14

10005

 

e)

Over 6 months to one year

 

6100

31244

99900

750

528

7525

13

 

f)

Over one year to 3 years

16400

 

490

29100

1165

956

30

32

 

g)

Over 3 years to 5 years

 

215

6100

89

587

9

26

 

h)

Over 5 years

 

280

1200

21

64

2

26

                       

III.

Loans and Advances

1933500

2608700

2942591

4010500

796334

1138968

1104531

1433578

 

a)

1 - 14 days

217900

 

272800

150603

173400

75843

126385

42876

35724

 

b)

15 - 28 days

80200

 

57500

35324

57200

28576

18557

13948

17009

 

c)

29 days to 3 months

203200

 

226700

300961

338300

79809

95763

48491

41725

 

d)

Over 3 months to 6 months

155300

 

282200

218378

400300

32225

59963

32598

64848

 

e)

Over 6 months to one year

153500

 

190700

307528

298600

51569

100980

124885

134786

 

f)

Over one year to 3 years

254000

 

315000

1330296

1828600

333462

562460

607458

731846

 

g)

Over 3 years to 5 years

215000

 

319900

315733

468800

59371

95764

102619

154748

 

h)

Over 5 years

654400

 

943900

283768

445300

135479

79096

131656

252892

                       

Source : Annual accounts of banks of respective years.

 

 

 

                   

(Amount in Rs. lakh)

                       
             

As on March 31

     
                       

Maturity-wise

 

UCO

 

Union Bank of

United Bank of

 

Vijaya

Liabilities/Assets

 

Bank

   

India

 

India

 

Bank

     

2004

 

2005

2004

2005

2004

2005

2004

2005

                       
     

(33)

 

(34)

(35)

(36)

(37)

(38)

(39)

(40)

                       

IV.

Investments (at book Value)

1699600

1861400

2244203

2279300

1391614

1440332

1083699

1206874

 

a)

1 - 14 days

225600

 

106400

12175

11800

19837

120795

109873

98717

 

b)

15 - 28 days

12500

 

58300

73794

32400

19344

889

 

c)

29 days to 3 months

25900

 

166800

61307

107300

39336

13991

16934

27783

 

d)

Over 3 months to 6 months

9900

 

120400

24751

53500

12557

12098

3860

27805

 

e)

Over 6 months to one year

71900

 

294200

44158

59400

36687

34954

11951

9310

 

f)

Over one year to 3 years

244900

 

311200

305129

347300

172072

169595

111947

105148

 

g)

Over 3 years to 5 years

267000

 

423700

356556

519100

246395

201587

127570

151887

 

h)

Over 5 years

841900

 

380400

1366333

1148500

845386

887312

700675

786224

                       

V.

Foreign Currency Assets

298200

 

371400

302218

352600

69369

59560

50281

82190

 

a)

1 - 14 days

72800

 

78100

44083

111100

13884

17645

32230

18829

 

b)

15 - 28 days

29900

 

35100

17166

15600

7763

3176

2943

 

c)

29 days to 3 months

58900

 

100700

89609

74800

20567

17157

4369

39443

 

d)

Over 3 months to 6 months

36700

 

52300

106347

124400

22990

18803

12614

19524

 

e)

Over 6 months to one year

18300

 

23000

24325

23400

4165

2779

1068

1451

 

f)

Over one year to 3 years

38300

 

25700

20480

2500

 

g)

Over 3 years to 5 years

19700

 

35400

208

800

 

h)

Over 5 years

23600

 

21100

                       

VI.

Foreign Currency Liabilities

278800

 

318900

256853

305600

69685

59527

52009

82192

 

a)

1 - 14 days

76500

 

66900

35873

40800

14642

17694

8573

24645

 

b)

15 - 28 days

27800

 

31200

15788

4800

6506

1753

6308

7838

 

c)

29 days to 3 months

24000

 

68300

47967

36900

22870

22228

11923

28780

 

d)

Over 3 months to 6 months

33800

 

33300

17778

21800

20856

14107

7944

4412

 

e)

Over 6 months to one year

22100

 

25700

71907

140900

3007

2191

7146

5863

 

f)

Over one year to 3 years

42100

 

30900

67540

60400

1803

1554

9679

10654

 

g)

Over 3 years to 5 years

17900

 

30100

 

h)

Over 5 years

34600

 

32500

1

436

                       

Source :Annual accounts of banks of respective years.

 

 

 

                 

(Amount in Rs. lakh)

                     
           

As on March 31

       
                     

Maturity-wise

ABN Amro

Abu-Dhabi

American Express

Antwerp Diamond

Liabilities/Assets

 

Bank

Commercial Bank

 

Bank

 

Bank

     

2004

2005

2004

2005

2004

2005

2004

2005

                     
     

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

                     

I.

Deposits

585644

707679

181598

166255

278852

226442

4444

5045

 

a)

1 - 14 days

93404

126741

13284

6665

30727

10858

841

1125

 

b)

15 - 28 days

27649

59061

1503

491

23476

14144

10

 

c)

29 days to 3 months

20744

38823

4767

11409

30397

5425

84

36

 

d)

Over 3 months to 6 months

16190

18014

9433

11017

6922

4482

3005

3219

 

e)

Over 6 months to one year

26399

118627

117115

116184

4812

117422

514

641

 

f)

Over one year to 3 years

399530

10067

35477

20479

182248

73884

14

 

g)

Over 3 years to 5 years

1681

1643

19

10

270

227

 

h)

Over 5 years

47

334703

                     

II.

Borrowings

292493

491538

11843

13201

15374

27436

42784

 

a)

1 - 14 days

150663

206233

11843

140

4374

1866

5208

 

b)

15 - 28 days

13506

6148

3978

3826

 

c)

29 days to 3 months

88446

133038

11749

11000

17139

25823

 

d)

Over 3 months to 6 months

39055

145069

4453

7927

 

e)

Over 6 months to one year

615

1050

1312

 

f)

Over one year to 3 years

208

 

g)

Over 3 years to 5 years

 

h)

Over 5 years

                     

III.

Loans and Advances

674659

991145

16757

8986

126260

148285

29775

43443

 

a)

1 - 14 days

91071

100004

519

2394

44929

47242

3926

5837

 

b)

15 - 28 days

41280

46269

1016

346

8052

13158

1464

3217

 

c)

29 days to 3 months

142251

254130

1637

1824

19325

37320

16194

26225

 

d)

Over 3 months to 6 months

113333

145430

2022

622

10260

11976

8092

8061

 

e)

Over 6 months to one year

20216

89009

3585

662

11282

11265

12

13

 

f)

Over one year to 3 years

158827

228404

628

993

21223

25369

34

36

 

g)

Over 3 years to 5 years

85417

38364

523

799

4242

1430

24

30

 

h)

Over 5 years

22264

89535

6827

1346

6947

525

29

24

                     

Source : Annual accounts of banks of respective years.

 

 

                 

(Amount in Rs. lakh)

                     
           

As on March 31

       
                     

Maturity-wise

ABN Amro

Abu-Dhabi

American Express

Antwerp Diamond

Liabilities/Assets

 

Bank

Commercial Bank

 

Bank

 

Bank

     

2004

2005

2004

2005

2004

2005

2004

2005

                     
     

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

                     

IV.

Investments (at book Value)

291748

340444

135385

125735

81217

74897

9583

16453

 

a)

1 - 14 days

230

10933

24956

10341

1585

2376

 

b)

15 - 28 days

55689

5313

500

1308

 

c)

29 days to 3 months

724

15566

2283

11593

4578

5499

5905

651

 

d)

Over 3 months to 6 months

3505

13912

9770

32166

610

18195

1549

10216

 

e)

Over 6 months to one year

34301

7563

6827

67100

7217

18151

1902

 

f)

Over one year to 3 years

121247

42840

74703

12307

21186

1123

544

 

g)

Over 3 years to 5 years

39668

1737

10465

1361

1211

9712

 

h)

Over 5 years

92073

192204

1068

708

36074

22217

                     

V.

Foreign Currency Assets

171290

259589

5695

3922

47101

44453

24246

38766

 

a)

1 - 14 days

25512

43359

300

3922

16415

3130

4229

4613

 

b)

15 - 28 days

13536

19685

599

189

1421

899

2916

 

c)

29 days to 3 months

76763

121952

21174

30250

12040

24431

 

d)

Over 3 months to 6 months

55479

69350

3207

5102

7078

6806

 

e)

Over 6 months to one year

5243

4796

1945

 

f)

Over one year to 3 years

4171

4550

 

g)

Over 3 years to 5 years

 

h)

Over 5 years

                     

VI.

Foreign Currency Liabilities

183899

412413

14793

13606

14485

14835

35018

51194

 

a)

1 - 14 days

62267

92839

1433

160

1407

6199

1375

5258

 

b)

15 - 28 days

10514

6462

125

136

299

3989

3847

 

c)

29 days to 3 months

70159

98896

1435

1878

1749

17161

25909

 

d)

Over 3 months to 6 months

25703

148629

5168

4916

25

7465

10974

 

e)

Over 6 months to one year

12983

10788

4834

4273

1317

175

 

f)

Over one year to 3 years

2273

1355

1798

2243

9987

8337

 

g)

Over 3 years to 5 years

2

 

h)

Over 5 years

53442

5028

5031

                     

Source : Annual accounts of banks of respective years.

 

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