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83475096

Table 4: Bank Group-Wise Liabilities and Assets of Scheduled Commercial Banks in India - 1996-97

 
 
 
 
 
 
 

(Amount in Rs. lakh)


     

As on 31st March


     

State Bank of India

 

Nationalised Banks

 

Other Scheduled

     

and its Associates


   
 

Commercial Banks


     

1996


1997


 

1996


1997


 

1996


1997


 
 
 

(1)


(2)


 

(3)


(4)


 

(5)


(6)


Number of reporting banks

8

8

 

19

19

 

33

34

                     

LIABILITIES

               
                     

1.

Capital

95491

100720

 

1317680

1286235

 

128629

128889

                     

2.

Reserves and Surplus

612214

880608

 

814505

1058295

 

200067

260914

                   
 

2.1.

Statutory Reserves

209363

335838

 

185274

246353

 

51209

73225

                     
   

(i)

Opening balance

132087

209363

 

142609

185274

 

34125

50556

   

(ii)

Additions during the year

77276

126475

 

42665

61079

 

17095

22669

   

(iii)

Deductions during the year

-

-

 

-

-

 

12

-

                       
 

2.2.

Capital Reserves

4897

7879

 

281669

266542

 

14219

12796

                     
   

(i)

Opening balance

4808

4897

 

254528

254408

 

11851

11923

   

(ii)

Additions during the year

89

2982

 

35898

19444

 

3194

1284

   

(iii)

Deductions during the year

-

-

 

8757

7310

 

827

411

                       
 

2.3.

Share Premium

246723

372863

 

32274

148499

 

47649

60902

                     
   

(i)

Opening balance

224917

246723

 

32274

85899

 

15915

49034

   

(ii)

Additions during the year

21805

126141

 

-

75281

 

31907

13809

   

(iii)

Deductions during the year

-

1

 

-

12681

 

173

1941

                       
 

2.4.

Revenue and other Reserves

151200

163994

 

324874

394986

 

80229

109996

                     
   

(i)

Opening balance

137206

151200

 

199861

341469

 

51581

83141

   

(ii)

Additions during the year

13994

15146

 

127021

57749

 

28806

27000

   

(iii)

Deductions during the year

-

2352

 

2008

4232

 

159

145

                       
 

2.5.

Balance of Profit

31

34

 

-9585

1915

 

6762

3995

                   

3.

Deposits (3.1+3.2+3.3)

12818854

14789241

 

26263148

30143678

 

3617465

4977250

                   
 

3.1.

Demand deposits [(i)+(ii)]

2777359

3220627

 

3632806

4265326

 

534145

570026

                     
   

(i)

From banks

400420

491999

 

167749

176736

 

18908

18154

   

(ii)

From others

2376939

2728628

 

3465057

4088590

 

515237

551872

                       
 

3.2.

Savings bank deposits

2846392

3202929

 

6227123

7095623

 

507503

586119

                     
 

3.3.

Term deposits [(i)+(ii)]

7195103

8365685

 

16403220

18782729

 

2575817

3821105

                     
   

(i)

From banks

283215

307607

 

867229

869355

 

192537

464231

   

(ii)

From others

6911888

8058078

 

15535991

17913374

 

2383280

3356874

                       
 

3.A.

Deposits of branches in India

12193852

14095857

 

24640961

28550600

 

3617465

4901269

                     
 

3.B.

Deposits of branches outside India

625001

693383

 

1622187

1593079

 

-

75980

                     
 

Total (3.A. + 3.B.)


12818854


14789240


 

26263148


30143679


 

3617465


4977249


                   

4.

Borrowings

1481682

797231

 

1549566

540850

 

353990

191318

                   
 

4.1.

Borrowings in India

593397

133636

 

1442577

455042

 

340144

185966

                     
   

(i)

From Reserve Bank of India

451061

6

 

704964

9165

 

193813

14944

   

(ii)

From other banks

3042

15563

 

131764

94257

 

64409

55732

   

(iii)

From other institutions and agencies

139294

118067

 

605849

351620

 

81922

115290

                       
 

4.2.

Borrowings outside India

888285

663595

 

106989

85808

 

13846

5352

   

Secured borrowings included in 4.

726283

123484

 

76391

123575

 

35766

8817

                   

5.

Other liabilities and provisions

3668557

3867782

 

1962796

2161441

 

251592

318302

                   
   

(i)

Bills Payable

897204

1046090

 

654546

763910

 

79269

110810

   

(ii)

Inter-office adjustments

81965

96492

 

148865

169057

 

38681

29887

   

(iii)

Interest accrued

902635

1009786

 

293638

293662

 

37653

60260

   

(iv)

Others (including provisions)

1786753


1715414


 

865747


934812


 

95988


117345


Total Liabilities


18676798


20435582


 

31907694


35190499


 

4551742


5876673


 
 
 
 
 
 
 
 
 
 

(Amount in Rs. lakh)


       

As on 31st March


       

Foreign Banks


 

Regional Rural Banks


 

Total


       

1996


1997


 

1996


1997


 

1996


1997


 
 
 
 

(7)


(8)


 

(9)


(10)


 

(11)


(12)


Number of reporting banks

30

33

 

194

190

 

284

284

                       

LIABILITIES

               
                       

1.

Capital

75935

102075

 

34241

70348

 

1651975

1688267

                       

2.

Reserves and Surplus

424943

513691

 

7406

19238

 

2059134

2732746

                   
 

2.1.

Statutory Reserves

65811

78773

 

4920

5640

 

516576

739829

                     
   

(i)

Opening balance

51617

64932

 

4291

3951

 

364729

514076

   

(ii)

Additions during the year

14194

13841

 

879

1836

 

152109

225900

   

(iii)

Deductions during the year

-

-

 

250

147

 

262

147

                       
 

2.2.

Capital Reserves

102852

147219

 

20

1535

 

403657

435971

                     
   

(i)

Opening balance

56563

122972

 

20

623

 

327770

394823

   

(ii)

Additions during the year

46821

24297

 

-

912

 

86003

48919

   

(iii)

Deductions during the year

532

50

 

-

-

 

10116

7771

                       
 

2.3.

Share Premium

-

-

 

708

8483

 

327353

590747

                     
   

(i)

Opening balance

-

-

 

676

8483

 

273782

390139

   

(ii)

Additions during the year

-

-

 

32

-

 

53744

215231

   

(iii)

Deductions during the year

-

-

 

-

-

 

173

14623

                       
 

2.4.

Revenue and other Reserves

127027

127838

 

9066

15351

 

692395

812165

                     
   

(i)

Opening balance

109759

108260

 

6532

12362

 

504939

696432

   

(ii)

Additions during the year

18699

29270

 

2751

4154

 

191271

133319

   

(iii)

Deductions during the year

1431

9692

 

217

1165

 

3815

17586

                       
 

2.5.

Balance of Profit

129253

159861

 

-7307

-11771

 

119153

154034

                       

3.

Deposits (3.1+3.2+3.3)

3061188

3728491

 

1402384

1736884

 

47163039

55375544

                   
 

3.1.

Demand deposits [(i)+(ii)]

503281

743166

 

77973

85507

 

7525563

8884652

                     
   

(i)

From banks

16230

21876

 

1389

764

 

604696

709529

   

(ii)

From others

487052

721290

 

76584

84743

 

6920868

8175123

                       
 

3.2.

Savings bank deposits

232410

271049

 

615164

717557

 

10428591

11873277

                       
 

3.3.

Term deposits [(i)+(ii)]

2325497

2714276

 

709248

933820

 

29208885

34617615

                       
   

(i)

From banks

162913

80549

 

10241

10525

 

1516135

1732267

   

(ii)

From others

2162584

2633727

 

699006

923295

 

27692749

32885348

                       
 

3.A.

Deposits of branches in India

3061188

3728491

 

1402384

1736883

 

44915850

53013100

                     
 

3.B.

Deposits of branches outside India

-

-

 

-

-

 

2247188

2362442

                     
 

Total (3.A. + 3.B.)


3061188


3728491


 

1402384


1736883


 

47163038


55375542


                       

4.

Borrowings

841481

746529

 

255334

290289

 

4482053

2566217

                   
 

4.1.

Borrowings in India

739247

572674

 

255200

288941

 

3370565

1636259

                     
   

(i)

From Reserve Bank of India

187850

70507

 

2146

1710

 

1539834

96332

   

(ii)

From other banks

377781

328057

 

76252

80017

 

653248

573626

   

(iii)

From other institutions and agencies

173616

174110

 

176803

207214

 

1177483

966301

                       
 

4.2.

Borrowings outside India

102234

173855

 

134

1348

 

1111488

929958

   

Secured borrowings included in 4.

47218

18820

 

64912

66316

 

950570

341012

                       

5.

Other liabilities and provisions

351215

416856

 

172543

246228

 

6406702

7010609

                   
   

(i)

Bills Payable

84386

107529

 

10268

13300

 

1725674

2041639

   

(ii)

Inter-office adjustments

32163

46774

 

10978

9283

 

312653

351493

   

(iii)

Interest accrued

94945

103510

 

39420

54532

 

1368291

1521750

   

(iv)

Others (including provisions)

139721


159043


 

111876


169113


 

3000084


3095727


Total Liabilities


4754762


5507642


 

1871908


2362987


 

61762904


  69373383


      

-

:

Nil or negligible.

Source

:

Annual accounts of banks.4th PROOF/15/2/994th PROOF/15/2/99.


Table 4: Bank Group-Wise Liabilities and Assets of Scheduled Commercial Banks in India - 1996-97

 
 
 
 
 
 
 
 

(Amount in Rs. lakh)


       

As on 31st March


       

State Bank of India

 

Nationalised Banks

 

Other Scheduled

       

and its Associates


   
 

Commercial Banks


       

1996


1997


 

1996


1997


 

1996


1997


 
 
 
 

(1)


(2)


 

(3)


(4)


 

(5)


(6)


ASSETS

               
                 

6.

Cash and balances with RBI

2139823

1804764

 

3867296

3356588

 

542943

552072

                   
 

6.1.

Cash in hand

58573

67154

 

218980

265657

 

46297

58439

                     
 

6.2.

Balances with RBI

2081250

1737610

 

3648316

3090931

 

496647

493633

                     
   

(i)

in current account

2081250

1736276

 

3648316

3090931

 

462795

493633

   

(ii)

in other account

-

1334

 

-

-

 

33852

-

                       

7.

Balances with banks and money at

1132882

1858411

 

1298648

2054755

 

226261

324014

 

call and short notice (7.1+7.2)

               
                   
 

7.1.

In India (7.1.1+7.1.2)

260303

288918

 

403320

634527

 

166190

252037

                       
   

7.1.1.

Balances with banks

29753

87418

 

190535

299951

 

96943

216100

                         
     

(i)

in current account

20105

27192

 

155252

188279

 

46450

50079

     

(ii)

in other deposit account

9648

60226

 

35283

111672

 

50493

166021

                       
   

7.1.2.

Money at call and short notice

230550

201500

 

212785

334576

 

69247

35937

                         
     

(i)

with banks

221550

195500

 

199785

271360

 

65929

34037

     

(ii)

with other institutions

9000

6000

 

13000

63216

 

3318

1900

                     
 

7.2.

Outside India (7.2.1+7.2.2)

872579

1569493

 

895327

1420228

 

60072

71977

                       
   

7.2.1.

Balances with banks

222955

255436

 

757432

1001685

 

47472

57024

     

(i)

in current account

105190

88373

 

167610

135276

 

20782

23172

     

(ii)

in other deposit account

117764

167063

 

589822

866409

 

26690

33852

                       
   

7.2.2.

Money at call and short notice

649624

1314057

 

137896

418543

 

12600

14953

                       

8.

Investments (8.1+8.2)

5562861

6174585

 

10703816

12930889

 

1230952

1766753

                   
 

8.1.

In India in

5471888

6063072

 

10453499

12640058

 

1228827

1764175

                     
   

(i)

Government securities

3938541

4540548

 

7173646

8738373

 

817451

1236912

   

(ii)

Other approved securities

973418

929373

 

1903863

1833855

 

123521

133281

   

(iii)

Shares

49013

54466

 

111642

120573

 

17836

19461

   

(iv)

Debentures and Bonds

412317

418000

 

1029293

1527457

 

142060

281846

   

(v)

Subsidiaries and/or joint ventures

78984

89410

 

47806

72322

 

2791

3324

   

(vi)

Others

19615

31275

 

187249

347478

 

125169

89351

                     
 

8.2.

Outside India in

90973

111513

 

250317

290831

 

2125

2578

                       
   

(i)

Government securities

8908

8666

 

149382

167388

 

2125

2577

   

(ii)

Subsidiaries and/or joint ventures

23434

32504

 

13330

11320

 

-

-

   

(iii)

Others

58632

70343

 

87605

112123

 

-

1

                       

9.

Advances

7812570

8290159

 

12941357

13734939

 

2193234

2806217

                     
 

(i)

Bills purchased and discounted

1040294

831810

 

1405993

1388737

 

462798

536646

 

(ii)

Cash credits, overdrafts & loans

4968970

5306256

 

8086614

8358596

 

1199266

1572107

 

(iii)

Term loans

1803306

2152093

 

3448751

3987606

 

531170

697464

                       

10.

Fixed Assets (10.1+10.2+10.3)

109997

143769

 

548796

568802

 

138929

176575

                     
 

10.1.

Premises

45566

51656

 

427046

434931

 

36733

57688

                       
   

(i)

At cost as on 31st March of the preceding year

42706

61613

 

331856

405402

 

22452

41671

   

(ii)

Additions during the year

19324

7908

 

141322

89081

 

18428

21999

   

(iii)

Deductions during the year

14

14

 

2453

66

 

85

265

   

(iv)

Depreciation to date

16450

17851

 

43680

59486

 

4061

5717

                       
 

10.2.

Assets under construction

20759

20848

 

3886

3621

 

3769

605

                     
 

10.3.

Other Fixed assets

43673

71265

 

117864

130250

 

98427

118282

                       
   

(i)

At cost as on 31st March of the preceding year

87318

104693

 

195369

246614

 

64277

121990

   

(ii)

Additions during the year

18602

40503

 

54736

42686

 

56858

43785

   

(iii)

Deductions during the year

820

1286

 

3448

3162

 

724

878

   

(iv)

Depreciation to date

61428

72645

 

128793

155888

 

21984

46615

                       

11.

Other Assets

1918664

2163896

 

2547781

2544526

 

219421

251044

                       
   

(i)

Inter - office adjustments (net)

265413

451046

 

114603

82600

 

19864

17100

   

(ii)

Interest accrued

334364

329376

 

442949

507996

 

55078

66204

   

(iii)

Tax paid in advance/ Tax deducted at source

295827

277740

 

432230

453379

 

26889

51253

   

(iv)

Stationery and Stamps

8267

9032

 

9578

9910

 

6373

1714

   

(v)

Others

1014796


1096702


 

1548420


1490641


 

111217


114773


Total Assets


18676798


20435584


 

31907694


35190499


 

4551741


5876675


 
 
 
 
 
 
 
 
 
 

(Amount in Rs. lakh)


       

As on 31st March


       

Foreign Banks


 

Regional Rural Banks


 

Total


       

1996


1997


 

1996


1997


 

1996


1997


 
 
 
 

(7)


(8)


 

(9)


(10)


 

(11)


(12)


ASSETS

               
                       

6.

Cash and balances with RBI

457968

356823

 

67955

88248

 

7075987

6158495

                       
 

6.1.

Cash in hand

6686

9378

 

25211

34985

 

355746

435613

                       
 

6.2.

Balances with RBI

451283

347445

 

42745

53263

 

6720240

5722882

                       
   

(i)

in current account

451283

347445

 

41935

52448

 

6685579

5720733

   

(ii)

in other account

-

-

 

810

815

 

34661

2149

                       

7.

Balances with banks and money at

365834

434527

 

544313

740573

 

3567938

5412280

 

call and short notice (7.1+7.2)

               
                       
 

7.1.

In India (7.1.1+7.1.2)

75909

122646

 

544313

740573

 

1450036

2038701

                       
   

7.1.1.

Balances with banks

59897

70611

 

395110

590848

 

772238

1264928

                       
     

(i)

in current account

49244

59901

 

75681

93509

 

346732

418960

     

(ii)

in other deposit account

10653

10710

 

319429

497339

 

425506

845968

                       
   

7.1.2.

Money at call and short notice

16012

52035

 

149204

149725

 

677798

773773

                       
     

(i)

with banks

16012

52035

 

139044

146832

 

642321

699764

     

(ii)

with other institutions

-

-

 

10159

2893

 

35477

74009

                       
 

7.2.

Outside India (7.2.1+7.2.2)

289925

311881

 

-

-

 

2117902

3373579

                       
   

7.2.1.

Balances with banks

245610

285396

 

-

-

 

1273468

1599541

                       
     

(i)

in current account

152650

107335

 

-

-

 

446232

354156

     

(ii)

in other deposit account

92960

178061

 

-

-

 

827236

1245385

                       
   

7.2.2.

Money at call and short notice

44315

26485

 

-

-

 

844434

1774038

                       

8.

Investments (8.1+8.2)

1118571

1412944

 

286086

377778

 

18902287

22662949

                       
 

8.1.

In India in

1118571

1412944

 

286086

377778

 

18558872

22258027

                       
   

(i)

Government securities

870961

1116007

 

49001

49088

 

12849601

15680928

   

(ii)

Other approved securities

30675

28403

 

53876

48049

 

3085352

2972961

   

(iii)

Shares

2831

2302

 

5566

5145

 

186888

201947

   

(iv)

Debentures and Bonds

153540

160609

 

84792

174271

 

1822001

2562183

   

(v)

Subsidiaries and/or joint ventures

15

2948

 

4933

28

 

134529

168032

   

(vi)

Others

60549

102675

 

87918

101197

 

480501

671976

                       
 

8.2.

Outside India in

-

-

 

-

-

 

343415

404922

                       
   

(i)

Government securities

-

-

 

-

-

 

160415

178631

   

(ii)

Subsidiaries and/or joint ventures

-

-

 

-

-

 

36763

43824

   

(iii)

Others

-

-

 

-

-

 

146236

182467

                       

9.

Advances

2249589

2652812

 

694419

770974

 

25891170

28255101

                       
 

(i)

Bills purchased and discounted

289055

296559

 

5589

8379

 

3203729

3062131

 

(ii)

Cash credits, overdrafts & loans

1086725

893797

 

225624

266374

 

15567199

16397130

 

(iii)

Term loans

873809

1462456

 

463205

496221

 

7120241

8795840

                       

10.

Fixed Assets (10.1+10.2+10.3)

153726

185618

 

3745

4049

 

955194

1078813

                       
 

10.1.

Premises

115426

137356

 

356

309

 

625126

681940

                       
   

(i)

At cost as on 31st March of the preceding year

80455

112779

 

436

360

 

477906

621825

   

(ii)

Additions during the year

39725

29540

 

59

37

 

218858

148565

   

(iii)

Deductions during the year

899

114

 

5

-

 

3457

459

   

(iv)

Depreciation to date

3856

4849

 

134

88

 

68181

87991

                       
 

10.2.

Assets under construction

1865

1190

 

-

20

 

30280

26284

                       
 

10.3.

Other Fixed assets

36435

47072

 

3388

3720

 

299787

370589

                       
   

(i)

At cost as on 31st March of the preceding year

55855

70109

 

6477

7188

 

409296

550594

   

(ii)

Additions during the year

13983

21483

 

825

862

 

145005

149319

   

(iii)

Deductions during the year

1592

2916

 

115

74

 

6700

8316

   

(iv)

Depreciation to date

31810

41604

 

3799

4256

 

247814

321008

                       

11.

Other Assets

409072

464914

 

275390

381365

 

5370328

5805745

                       
 

(i)

Inter - office adjustments (net)

29717

40104

 

6480

13405

 

436078

604255

 

(ii)

Interest accrued

70104

67764

 

34069

59264

 

936565

1030604

 

(iii)

Tax paid in advance/ Tax deducted at source

48675

58138

 

343

451

 

803964

840961

 

(iv)

Stationery and Stamps

349

559

 

3339

1345

 

27907

22560

 

(v)

Others

260227


298349


 

231158


306900


 

3165814


3307365


Total Assets


4754761


5507638


 

1871908


2362987


 

61762902


  69373383


     

- :

Nil or negligible.

Source :

Annual accounts of banks.

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