Table 2.7 : Bank Group-Wise Maturity Profile of Selected Items of Liabilities and Assets : 2011 and 2012 - ஆர்பிஐ - Reserve Bank of India
Table 2.7 : Bank Group-Wise Maturity Profile of Selected Items of Liabilities and Assets : 2011 and 2012
(Amount in ` Billion) |
||||||||
Maturity-wise liabilities/assets |
SBI and its Associates |
Nationalised Banks $ |
Public Sector Banks |
Old Private Sector Banks |
||||
2011 |
2012 |
2011 |
2012 |
2011 |
2012 |
2011 |
2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
Deposits |
12455.15 |
14047.37 |
31258.65 |
35961.77 |
43713.80 |
50009.14 |
2640.22 |
3158.91 |
a) 1 - 14 days |
825.38 |
853.36 |
2384.51 |
2255.98 |
3209.89 |
3109.35 |
176.82 |
175.19 |
b) 15 - 28 days |
221.83 |
228.46 |
1005.41 |
958.15 |
1227.23 |
1186.61 |
72.76 |
86.75 |
c) 29 days to 3 months |
715.40 |
859.97 |
4146.00 |
4884.63 |
4861.39 |
5744.60 |
301.38 |
391.67 |
d) Over 3 months to 6 months |
1182.19 |
1313.84 |
2888.38 |
3972.04 |
4070.57 |
5285.88 |
190.49 |
336.60 |
e) Over 6 months to 1 year |
1717.40 |
2028.20 |
5996.49 |
7455.34 |
7713.88 |
9483.54 |
454.82 |
528.54 |
f) Over 1 year to 3 years |
3743.84 |
4179.07 |
8767.78 |
8461.42 |
12511.62 |
12640.49 |
1070.73 |
1239.00 |
g) Over 3 years to 5 years |
1880.43 |
2115.90 |
1648.69 |
2158.15 |
3529.12 |
4274.05 |
225.03 |
217.12 |
h) Over 5 years |
2168.70 |
2468.56 |
4421.39 |
5816.06 |
6590.09 |
8284.62 |
148.19 |
184.04 |
Borrowings |
1400.47 |
1572.02 |
2406.26 |
2869.24 |
3806.72 |
4441.26 |
109.67 |
198.12 |
a) 1 - 14 days |
174.31 |
225.88 |
281.00 |
558.69 |
455.31 |
784.57 |
15.90 |
39.92 |
b) 15 - 28 days |
50.25 |
75.85 |
44.30 |
66.08 |
94.55 |
141.92 |
1.11 |
2.15 |
c) 29 days to 3 months |
205.42 |
251.24 |
188.73 |
179.79 |
394.15 |
431.02 |
16.60 |
15.53 |
d) Over 3 months to 6 months |
104.25 |
127.64 |
219.69 |
265.35 |
323.94 |
392.99 |
12.41 |
39.48 |
e) Over 6 months to 1 year |
117.57 |
80.38 |
133.32 |
185.69 |
250.90 |
266.08 |
13.70 |
29.07 |
f) Over 1 year to 3 years |
77.02 |
167.17 |
397.75 |
375.50 |
474.78 |
542.67 |
13.75 |
26.57 |
g) Over 3 years to 5 years |
178.18 |
219.93 |
291.21 |
455.55 |
469.39 |
675.48 |
12.47 |
15.45 |
h) Over 5 years |
493.46 |
423.94 |
850.25 |
782.58 |
1343.71 |
1206.52 |
23.73 |
29.96 |
Loans and Advances |
9929.33 |
11525.93 |
23126.39 |
27339.19 |
33055.72 |
38865.12 |
1846.53 |
2303.50 |
a) 1 - 14 days |
903.36 |
756.97 |
1657.23 |
1732.27 |
2560.59 |
2489.24 |
105.74 |
144.99 |
b) 15 - 28 days |
105.88 |
151.57 |
731.07 |
656.74 |
836.95 |
808.30 |
42.83 |
63.60 |
c) 29 days to 3 months |
637.84 |
676.39 |
2527.18 |
2993.33 |
3165.02 |
3669.72 |
155.01 |
215.16 |
d) Over 3 months to 6 months |
421.34 |
490.95 |
1938.64 |
2233.14 |
2359.98 |
2724.09 |
157.62 |
202.75 |
e) Over 6 months to 1 year |
476.84 |
671.48 |
2505.03 |
2948.59 |
2981.87 |
3620.07 |
311.68 |
386.08 |
f) Over 1 year to 3 years |
4574.38 |
5311.59 |
7408.47 |
9213.82 |
11982.85 |
14525.41 |
709.05 |
831.06 |
g) Over 3 years to 5 years |
950.04 |
1114.82 |
2669.07 |
3173.21 |
3619.11 |
4288.03 |
183.68 |
210.24 |
h) Over 5 years |
1859.65 |
2352.17 |
3689.69 |
4388.10 |
5549.34 |
6740.26 |
180.92 |
249.62 |
Note : $ Includes IDBI Bank Ltd. |
TABLE 2.7 : BANK GROUP-WISE MATURITY PROFILE OF SELECTED ITEMS OF LIABILITIES AND ASSETS - 2011 AND |
||||||||
(Amount in ` Billion) |
||||||||
Maturity-wise liabilities/assets |
New Private Sector Banks |
Private Sector Banks |
Foreign Banks |
All Scheduled Commercial Banks |
||||
2011 |
2012 |
2011 |
2012 |
2011 |
2012 |
2011 |
2012 |
|
(9) |
(10) |
(11) |
(12) |
(13) |
(14) |
(15) |
(16) |
|
Deposits |
7386.02 |
8586.96 |
10026.24 |
11745.87 |
2405.96 |
2770.32 |
56146.00 |
64525.33 |
a) 1 - 14 days |
626.97 |
601.54 |
803.79 |
776.73 |
506.57 |
618.17 |
4520.25 |
4504.25 |
b) 15 - 28 days |
250.97 |
303.01 |
323.73 |
389.76 |
208.84 |
185.87 |
1759.80 |
1762.24 |
c) 29 days to 3 months |
889.78 |
1003.64 |
1191.16 |
1395.30 |
337.10 |
380.66 |
6389.66 |
7520.56 |
d) Over 3 months to 6 months |
592.06 |
920.48 |
782.56 |
1257.08 |
206.91 |
214.21 |
5060.04 |
6757.16 |
e) Over 6 months to 1 year |
1069.82 |
1374.23 |
1524.63 |
1902.77 |
273.23 |
314.41 |
9511.75 |
11700.72 |
f) Over 1 year to 3 years |
2802.83 |
2282.18 |
3873.56 |
3521.18 |
657.90 |
824.93 |
17043.08 |
16986.59 |
g) Over 3 years to 5 years |
385.90 |
446.81 |
610.94 |
663.94 |
214.75 |
229.96 |
4354.80 |
5167.95 |
h) Over 5 years |
767.69 |
1655.07 |
915.88 |
1839.11 |
0.66 |
2.12 |
7506.63 |
10125.85 |
Borrowings |
1750.17 |
2386.41 |
1859.84 |
2584.53 |
928.69 |
1199.08 |
6595.26 |
8224.87 |
a) 1 - 14 days |
117.27 |
368.04 |
133.17 |
407.96 |
477.81 |
698.21 |
1066.28 |
1890.73 |
b) 15 - 28 days |
53.88 |
54.87 |
54.99 |
57.01 |
28.87 |
53.98 |
178.40 |
252.92 |
c) 29 days to 3 months |
189.20 |
186.95 |
205.80 |
202.48 |
99.18 |
117.95 |
699.14 |
751.46 |
d) Over 3 months to 6 months |
181.84 |
246.60 |
194.24 |
286.09 |
69.26 |
59.39 |
587.45 |
738.47 |
e) Over 6 months to 1 year |
186.79 |
316.69 |
200.50 |
345.76 |
56.38 |
84.28 |
507.77 |
696.11 |
f) Over 1 year to 3 years |
287.07 |
279.65 |
300.83 |
306.21 |
136.93 |
110.16 |
912.53 |
959.05 |
g) Over 3 years to 5 years |
170.38 |
307.18 |
182.85 |
322.63 |
19.27 |
32.64 |
671.50 |
1030.75 |
h) Over 5 years |
563.74 |
626.43 |
587.47 |
656.39 |
41.00 |
42.47 |
1972.18 |
1905.38 |
Loans and Advances |
6128.82 |
7363.11 |
7975.34 |
9666.61 |
1955.12 |
2298.50 |
42986.18 |
50830.23 |
a) 1 - 14 days |
252.52 |
285.15 |
358.27 |
430.14 |
363.08 |
379.97 |
3281.94 |
3299.35 |
b) 15 - 28 days |
149.69 |
137.62 |
192.52 |
201.22 |
150.30 |
180.54 |
1179.77 |
1190.06 |
c) 29 days to 3 months |
606.34 |
585.10 |
761.35 |
800.26 |
369.27 |
462.63 |
4295.63 |
4932.61 |
d) Over 3 months to 6 months |
520.31 |
564.83 |
677.93 |
767.59 |
249.17 |
298.55 |
3287.09 |
3790.23 |
e) Over 6 months to 1 year |
696.83 |
813.30 |
1008.51 |
1199.37 |
198.99 |
228.40 |
4189.38 |
5047.85 |
f) Over 1 year to 3 years |
2197.12 |
2750.80 |
2906.18 |
3581.86 |
331.54 |
356.48 |
15220.56 |
18463.75 |
g) Over 3 years to 5 years |
727.16 |
886.06 |
910.84 |
1096.29 |
82.97 |
104.23 |
4612.92 |
5488.55 |
h) Over 5 years |
978.83 |
1340.25 |
1159.74 |
1589.87 |
209.80 |
287.70 |
6918.88 |
8617.83 |
Source : Annual accounts of banks. |
TABLE 2.7 : BANK GROUP-WISE MATURITY PROFILE OF SELECTED ITEMS OF LIABILITIES AND ASSETS - 2011 AND |
||||||||
(Amount in ` Billion) |
||||||||
Maturity-wise liabilities/assets |
SBI and its Associates |
Nationalised Banks $ |
Public Sector Banks |
Old Private Sector Banks |
||||
2011 |
2012 |
2011 |
2012 |
2011 |
2012 |
2011 |
2012 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
Investments (at book value) |
3856.30 |
4175.00 |
9437.54 |
10949.54 |
13293.84 |
15124.54 |
926.75 |
1093.57 |
a) 1 - 14 days |
39.51 |
63.33 |
416.11 |
664.55 |
455.63 |
727.87 |
66.29 |
66.98 |
b) 15 - 28 days |
27.76 |
44.39 |
143.95 |
115.37 |
171.71 |
159.76 |
25.97 |
21.93 |
c) 29 days to 3 months |
125.30 |
244.28 |
744.82 |
724.36 |
870.13 |
968.63 |
90.18 |
122.89 |
d) Over 3 months to 6 months |
149.17 |
127.89 |
245.70 |
322.89 |
394.87 |
450.77 |
38.33 |
46.67 |
e) Over 6 months to 1 year |
100.05 |
148.73 |
415.55 |
580.33 |
515.60 |
729.06 |
45.62 |
72.95 |
f) Over 1 year to 3 years |
682.03 |
628.84 |
1005.85 |
1274.46 |
1687.87 |
1903.30 |
113.08 |
133.82 |
g) Over 3 years to 5 years |
689.57 |
720.07 |
1218.77 |
1427.62 |
1908.34 |
2147.69 |
108.88 |
142.43 |
h) Over 5 years |
2042.92 |
2197.49 |
5246.78 |
5839.96 |
7289.69 |
8037.45 |
438.38 |
485.90 |
Foreign Currency Assets |
1624.75 |
1806.83 |
3436.52 |
4639.33 |
5061.27 |
6446.16 |
119.61 |
224.38 |
a) 1 - 14 days |
384.42 |
340.98 |
544.02 |
806.49 |
928.44 |
1147.47 |
12.92 |
37.67 |
b) 15 - 28 days |
64.53 |
63.17 |
187.20 |
219.48 |
251.72 |
282.65 |
7.57 |
5.70 |
c) 29 days to 3 months |
285.70 |
266.56 |
779.02 |
1168.41 |
1064.72 |
1434.97 |
39.64 |
70.14 |
d) Over 3 months to 6 months |
177.03 |
223.37 |
633.91 |
965.38 |
810.94 |
1188.75 |
23.11 |
68.13 |
e) Over 6 months to 1 year |
110.19 |
148.25 |
537.09 |
458.88 |
647.27 |
607.13 |
31.85 |
37.84 |
f) Over 1 year to 3 years |
182.49 |
248.43 |
298.69 |
415.54 |
481.18 |
663.97 |
3.89 |
4.15 |
g) Over 3 years to 5 years |
210.62 |
284.09 |
251.12 |
323.76 |
461.74 |
607.85 |
0.43 |
0.38 |
h) Over 5 years |
209.78 |
231.98 |
205.47 |
281.40 |
415.24 |
513.38 |
0.21 |
0.37 |
Foreign Currency Liabilities |
1492.70 |
1700.11 |
3427.97 |
4533.00 |
4920.67 |
6233.12 |
118.92 |
217.47 |
a) 1 - 14 days |
336.14 |
329.76 |
603.38 |
762.25 |
939.52 |
1092.01 |
13.05 |
24.42 |
b) 15 - 28 days |
76.26 |
94.69 |
217.47 |
252.26 |
293.73 |
346.95 |
6.72 |
1.95 |
c) 29 days to 3 months |
248.64 |
327.99 |
755.51 |
1162.30 |
1004.15 |
1490.29 |
41.52 |
70.48 |
d) Over 3 months to 6 months |
174.07 |
233.36 |
608.18 |
899.93 |
782.25 |
1133.28 |
18.02 |
62.77 |
e) Over 6 months to 1 year |
241.31 |
238.44 |
512.36 |
587.68 |
753.67 |
826.11 |
27.32 |
44.85 |
f) Over 1 year to 3 years |
157.76 |
243.13 |
279.08 |
308.78 |
436.85 |
551.91 |
6.83 |
5.78 |
g) Over 3 years to 5 years |
202.41 |
192.72 |
239.45 |
383.79 |
441.86 |
576.51 |
0.78 |
1.78 |
h) Over 5 years |
56.11 |
40.03 |
212.54 |
176.01 |
268.65 |
216.04 |
4.69 |
5.42 |
Note : $ Includes IDBI Bank Ltd. |
TABLE 2.7 : BANK GROUP-WISE MATURITY PROFILE OF SELECTED ITEMS OF LIABILITIES AND ASSETS - 2011 AND |
||||||||
(Amount in ` Billion) |
||||||||
Maturity-wise liabilities/assets |
New Private Sector Banks |
Private Sector Banks |
Foreign Banks |
All Scheduled Commercial Banks |
||||
2011 |
2012 |
2011 |
2012 |
2011 |
2012 |
2011 |
2012 |
|
(9) |
(10) |
(11) |
(12) |
(13) |
(14) |
(15) |
(16) |
|
Investments (at book value) |
3294.03 |
4166.49 |
4220.78 |
5260.06 |
1657.58 |
2011.39 |
19172.20 |
22395.99 |
a) 1 - 14 days |
300.70 |
737.17 |
366.99 |
804.15 |
627.35 |
927.01 |
1449.97 |
2459.04 |
b) 15 - 28 days |
177.91 |
184.11 |
203.88 |
206.04 |
115.39 |
46.68 |
490.99 |
412.48 |
c) 29 days to 3 months |
299.69 |
296.46 |
389.87 |
419.35 |
193.03 |
221.50 |
1453.03 |
1609.48 |
d) Over 3 months to 6 months |
202.81 |
272.63 |
241.14 |
319.30 |
147.50 |
85.34 |
783.51 |
855.42 |
e) Over 6 months to 1 year |
297.34 |
413.29 |
342.96 |
486.24 |
241.11 |
260.31 |
1099.67 |
1475.61 |
f) Over 1 year to 3 years |
844.45 |
775.86 |
957.53 |
909.68 |
235.55 |
260.23 |
2880.96 |
3073.22 |
g) Over 3 years to 5 years |
312.60 |
339.80 |
421.48 |
482.23 |
56.04 |
104.69 |
2385.85 |
2734.61 |
h) Over 5 years |
858.54 |
1147.17 |
1296.92 |
1633.06 |
41.61 |
105.62 |
8628.22 |
9776.13 |
Foreign Currency Assets |
1205.99 |
1498.36 |
1325.60 |
1722.74 |
949.19 |
1261.52 |
7336.06 |
9430.43 |
a) 1 - 14 days |
171.35 |
213.02 |
184.27 |
250.69 |
262.57 |
292.48 |
1375.29 |
1690.64 |
b) 15 - 28 days |
40.22 |
41.21 |
47.79 |
46.92 |
64.44 |
82.53 |
363.95 |
412.10 |
c) 29 days to 3 months |
121.02 |
147.26 |
160.66 |
217.40 |
193.35 |
291.40 |
1418.74 |
1943.77 |
d) Over 3 months to 6 months |
90.17 |
145.81 |
113.27 |
213.94 |
158.22 |
236.01 |
1082.43 |
1638.70 |
e) Over 6 months to 1 year |
98.86 |
124.47 |
130.71 |
162.31 |
51.26 |
82.96 |
829.24 |
852.41 |
f) Over 1 year to 3 years |
287.10 |
264.20 |
290.99 |
268.35 |
87.21 |
67.07 |
859.38 |
999.39 |
g) Over 3 years to 5 years |
186.96 |
220.88 |
187.39 |
221.26 |
32.83 |
36.21 |
681.96 |
865.32 |
h) Over 5 years |
210.30 |
341.50 |
210.51 |
341.87 |
99.32 |
172.86 |
725.07 |
1028.11 |
Foreign Currency Liabilities |
1272.76 |
1641.70 |
1391.68 |
1859.17 |
1484.75 |
2630.98 |
7797.10 |
10723.27 |
a) 1 - 14 days |
95.47 |
120.03 |
108.53 |
144.45 |
548.38 |
1318.06 |
1596.42 |
2554.52 |
b) 15 - 28 days |
43.65 |
60.58 |
50.37 |
62.53 |
31.20 |
57.84 |
375.29 |
467.32 |
c) 29 days to 3 months |
162.14 |
216.77 |
203.66 |
287.25 |
178.11 |
245.84 |
1385.92 |
2023.39 |
d) Over 3 months to 6 months |
201.47 |
219.22 |
219.48 |
281.99 |
126.78 |
191.84 |
1128.51 |
1607.11 |
e) Over 6 months to 1 year |
222.44 |
328.11 |
249.76 |
372.96 |
159.00 |
245.29 |
1162.43 |
1444.36 |
f) Over 1 year to 3 years |
250.51 |
274.49 |
257.34 |
280.28 |
201.40 |
240.12 |
895.59 |
1072.31 |
g) Over 3 years to 5 years |
105.00 |
207.90 |
105.78 |
209.69 |
60.47 |
88.96 |
608.11 |
875.16 |
h) Over 5 years |
192.07 |
214.60 |
196.76 |
220.02 |
179.41 |
243.03 |
644.82 |
679.09 |
Source : Annual accounts of banks. |