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சொத்து வெளியீட்டாளர்

83502355

Table 48 : Liabilities and Assets of Scheduled Commercial Banks : 1999 and 2000 (Part 2 of 12)

NATIONALISED BANKS

 
 
 
 
 
 
 
 
 
 
 
 

(Amount in Rs. lakh)


       

As on March 31


Items

   

Allahabad Bank

Andhra Bank

Bank of Baroda

Bank of India

Bank of

         
 
 
 
 

Maharashtra


       

1999


2000


1999


2000


1999


2000


1999


2000


1999


2000


 
 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


(7)


(8)


(9)


(10)


1.

Capital

 

24670

24670

34795

34795

29414

29433

63833

63839

33051

33052

       

(1.4)

(1.3)

(3.0)

(2.2)

(0.6)

(0.5)

(1.2)

(1.1)

(2.7)

(2.2)

2.

Reserves and Surplus

60237

64309

14362

23481

260430

294027

176833

187266

14774

21394

       

(3.5)

(3.3)

(1.2)

(1.5)

(5.0)

(5.0)

(3.3)

(3.3)

(1.2)

(1.4)

 

2.1.

Statutory Reserves

15802

17882

7820

11440

46619

59219

74017

78417

2415

4668

 

2.2.

Capital Reserves

23671

23547

-

-

66438

45399

20835

21411

-

33

 

2.3.

Share Premium

7076

-

-

9265

73582

73724

57864

52317

5283

-

 

2.4.

Revenue and other Reserves

13210

21257

2568

2772

73791

94925

24117

35121

7076

16693

 

2.5.

Balance of Profit

478

1622

3974

4

-

20760

-

-

1

-

3.

Deposits

 

1551036

1764210

1043874

1441795

4461404

5130819

4443023

4774389

1092852

1340655

       

(89.0)

(89.5)

(90.3)

(91.2)

(85.4)

(87.5)

(82.4)

(85.2)

(89.7)

(88.0)

 

3.1.

Demand deposits

150342

169643

91712

157506

524309

552452

597628

609290

145214

154533

   

(i)

From banks

4930

6004

2192

2759

42915

53770

16711

35492

1875

2145

   

(ii)

From others

145412

163639

89520

154746

481394

498683

580917

573798

143339

152388

 

3.2.

Savings bank deposits

497001

570118

225903

276094

910679

1084225

851584

991624

312106

359667

 

3.3.

Term deposits

903692

1024450

726259

1008195

3026416

3494141

2993811

3173474

635532

826455

   

(i)

From banks

52723

65071

9262

13266

196473

249150

256833

213572

14992

15088

   

(ii)

From others

850969

959379

716997

994929

2829943

3244991

2736978

2959902

620541

811366

 

3.A.

Deposits of branches in India

1551036

1764210

1043874

3890408

8890408

4495736

3508937

3852557

1092852

1340655

 

3.B.

Deposits of branches outside India

-

-

-

-

570995

635082

934086

921832

-

-

4.

Borrowings

7046

3458

16361

14640

47929

36867

297910

187593

13620

39592

       

(0.4)

(0.2)

(1.4)

(0.9)

(0.9)

(0.6)

(5.5)

(3.3)

(1.1)

(2.6)

 

4.1.

Borrowings in India

7036

3439

16361

14640

45041

36867

249592

183691

9440

24201

   

(i)

From Reserve Bank of India

-

-

-

-

-

-

58600

76600

-

12411

   

(ii)

From other banks

-

-

2157

1573

1698

557

21952

27519

-

33

   

(iii)

From other institutions and agencies

7036

3439

14204

13068

43342

36309

169040

79572

9440

11756

 

4.2.

Borrowings outside India

11

19

-

-

2888

-

48318

3902

4180

15392

5.

Other liabilities

99286

114501

46281

65634

424063

369371

410737

393366

64206

87975

       

(5.7)

(5.8)

(4.0)

(4.2)

(8.1)

(6.3)

(7.6)

(7.0)

(5.3)

(5.8)

 

5.1.

Bills Payable

32817

27637

22174

18358

87162

78240

83792

90164

26657

23339

 

5.2.

Inter-office adjustments

-

-

-

3196

-

-

62993

6368

-

-

 

5.3.

Interest accrued

6150

6369

4185

5199

41771

50091

15347

16615

8294

9782

 

5.4.

Others (including provisions)

60319


80495


19922


38881


295131


241040


248605


280219


29255


54854


 

Total Liabilities

1742275

1971149

1155673

1580345

5223240

5860516

5392336

5606454

1218504

1522668

 
 
 
 

(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


 
 
 
 
 
 
 
 
 
 
 
 

(Amount in Rs. lakh)


       

As on March 31


Items

   

Allahabad Bank

Andhra Bank

Bank of Baroda

Bank of India

Bank of

         
 
 
 

Maharashtra


       

1999


2000


1999


2000


1999


2000


1999


2000


1999


2000


 
 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


(7)


(8)


(9)


(10)


1.

Cash in hand

12035

14156

11210

13773

24772

26762

20219

20071

13238

13473

       

(0.7)

(0.7)

(1.0)

(0.9)

(0.5)

(0.5)

(0.4)

(0.4)

(1.1)

(0.9)

2.

Balances with RBI

197610

183008

119711

156479

343678

323790

343682

302831

142904

113638

       

(11.3)

(9.3)

(10.4)

(9.9)

(6.6)

(5.5)

(6.4)

(5.4)

(11.7)

(7.5)

3.

Balances with banks in India

10441

11058

23778

21259

23886

49684

11096

31000

10870

12230

       

(0.6)

(0.6)

(2.1)

(1.3)

(0.5)

(0.8)

(0.2)

(0.6)

(0.9)

(0.8)

4.

Money at call and short notice

-

-

1000

10275

545493

617315

242822

100825

-

-

       

(-)

(-)

(0.1)

(0.7)

(10.4)

(10.5)

(4.5)

(1.8)

(0.0)

(0.0)

5.

Balances with banks outside India

10504

8137

11116

12187

264104

230137

466633

434572

15226

26538

       

(0.6)

(0.4)

(1.0)

(0.8)

(5.1)

(3.9)

(8.7)

(7.8)

(1.2)

(1.7)

6.

Investments

716106

822061

495161

762606

1590533

1855650

1528200

1666577

568665

747974

       

(41.1)

(41.7)

(42.8)

(48.3)

(30.5)

(31.7)

(28.3)

(29.7)

(46.7)

(49.1)

 

6.A.

Investments in India

716106

822061

495161

762606

1499710

1738493

1257465

1385027

568665

747974

   

(i)

Government securities

487607

594271

329770

623013

971924

1105239

948205

1064037

415719

569456

   

(ii)

Other approved securities

104270

100144

39257

32201

171728

173588

120448

113802

42393

38894

   

(iii)

Shares

3499

6425

3405

3364

22248

24893

26689

28884

3364

4887

   

(iv)

Debentures and Bonds

104114

103641

107921

86898

255258

288617

151674

151704

89514

110899

   

(v)

Subsidiaries and/or joint ventures

8412

5440

510

943

17422

18656

2146

7580

326

326

   

(vi)

Others

8204

12140

14299

16187

61130

127500

8304

19020

17349

23511

 

6.B.

Investments outside India

-

-

-

-

90823

117157

270734

281550

-

-

   

(i)

Government securities

-

-

-

-

34356

46891

108861

109197

-

-

   

(ii)

Subsidiaries and/or joint ventures

-

-

-

-

9985

11512

217

208

-

-

   

(iii)

Others

-

-

-

-

46482

58755

161656

172146

-

-

7.

Advances

698480

824006

452393

557360

2109153

2439291

2432702

2523105

406184

525221

       

(40.1)

(41.8)

(39.1)

(35.3)

(40.4)

(41.6)

(45.1)

(45.0)

(33.3)

(34.5)

 

7.1.

Bills purchased and discounted

52934

50017

38458

45332

136451

143766

164233

179607

31521

31147

 

7.2.

Cash credits, overdrafts & loans

315546

399099

245778

313256

1317658

1496928

1341009

1342417

226200

282647

 

7.3.

Term loans

330001

374890

168157

198772

655045

798597

927460

1001081

148462

211427

 

Priority sector advances included in 7

235876

324110

176019

213586

605704

659196

627222

659277

169502

184801

8.

Fixed Assets

32018

32916

5236

7083

59724

60775

71015

74064

9321

10614

       

(1.8)

(1.7)

(0.5)

(0.4)

(1.1)

(1.0)

(1.3)

(1.3)

(0.8)

(0.7)

 

8.1.

Premises

26397

26273

1516

2703

46756

44930

55917

45873

6479

6411

 

8.2.

Fixed assets under construction

-

-

-

-

-

-

-

2734

-

-

 

8.2.

Other Fixed assets

5620

6643

3720

4380

12968

15846

15098

25457

2842

4203

9.

Other Assets

65082

75806

36067

39323

261899

257112

275968

453407

52096

72980

       

(3.7)

(3.8)

(3.1)

(2.5)

(5.0)

(4.4)

(5.1)

(8.1)

(4.3)

(4.8)

 

9.1.

Inter - office adjustments (net)

12183

23011

1648

-

49464

27836

-

-

13720

29441

 

9.2.

Interest accrued

26170

27996

18718

25708

85283

90680

42627

48444

22424

31334

 

9.3.

Tax paid

12966

15403

3002

2060

90153

100603

96257

101053

3651

2537

 

9.4.

Stationery and Stamps

412

477

472

431

387

387

141

142

279

298

 

9.5.

Others

13350


8919


12226


11124


36612


37606


136943


303767


12021


9369


 

Total Assets

1742275

1971149

1155673

1580345

5223240

5860516

5392336

5606454

1218504

1522668

 
 
 
 

(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


 
 
 
 

(Amount in Rs. lakh)


       

As on March 31


Items

   

Canara Bank

Central Bank of

Corporation

Dena Bank

Indian Bank

         

India


Bank


 
 
       

1999


2000


1999


2000


1999


2000


1999


2000


1999


2000


 
 
 
 

(11)


(12)


(13)


(14)


(15)


(16)


(17)


(18)


(19)


(20)


1.

Capital

 

57787

57787

180545

180545

11999

12000

20682

20682

250396

250396

       

(1.2)

(1.1)

(5.1)

(4.4)

(0.8)

(0.7)

(1.4)

(1.2)

(11.7)

(10.6)

2.

Reserves and Surplus

183494

201801

78939

76661

85462

102476

48987

61962

39467

39024

       

(3.8)

(3.7)

(2.2)

(1.8)

(5.7)

(6.1)

(3.3)

(3.7)

(1.8)

(1.7)

 

2.1.

Statutory Reserves

59968

56600

7490

7490

21274

28331

12976

14862

6741

6741

 

2.2.

Capital Reserves

14280

13787

64768

63347

2861

3

14771

18022

25649

25205

 

2.3.

Share Premium

995

-

858

-

26593

26597

12001

12001

-

-

 

2.4.

Revenue and other Reserves

108252

131414

5761

5761

34734

47545

9239

15839

7078

7078

 

2.5.

Balance of Profit

-

-

62

62

-

-

-

1238

-

-

3.

Deposits

 

4195861

4800136

3064931

3587171

1260143

1427963

1179535

1328662

1715592

1911350

       

(87.2)

(88.2)

(86.8)

(86.5)

(84.1)

(85.2)

(79.5)

(78.8)

(80.0)

(81.2)

 

3.1.

Demand deposits

589729

710442

363549

436930

164728

191009

121895

159934

191935

176228

   

(i)

From banks

52954

31422

16184

27744

2526

2102

6649

6660

8882

5879

   

(ii)

From others

536775

679019

347365

409186

162202

188907

115246

153273

183053

170349

 

3.2.

Savings bank deposits

954293

1112934

911762

1053367

159958

195772

291006

334977

350922

392646

 

3.3.

Term deposits

2651840

2976761

1789620

2096875

935457

1041182

766634

833751

1166953

1342476

   

(i)

From banks

117201

122350

136463

178256

2066

2698

43824

61888

49208

54109

   

(ii)

From others

2534639

2854411

1653157

1918618

933391

1038483

722811

771863

1117745

1288367

 

3.A.

Deposits of branches in India

4089499

4671627

3064931

3587171

1260143

1427963

1179535

1328662

1590138

1795118

 

3.B.

Deposits of branches outside India

106362

128510

-

-

-

-

-

-

119672

116232

4.

Borrowings

138239

132416

15129

29098

19763

29628

58556

75469

35783

29445

       

(2.9)

(2.4)

(0.4)

(0.7)

(1.3)

(1.8)

(3.9)

(4.5)

(1.7)

(1.3)

 

4.1.

Borrowings in India

138239

132416

10570

28627

19741

29590

58556

75469

27997

25188

   

(i)

From Reserve Bank of India

37500

53000

-

18500

13436

14552

23021

36728

16024

13000

   

(ii)

From other banks

-

-

2109

1520

2

1

16905

5000

50

142

   

(iii)

From other institutions and agencies

100739

79416

8461

8607

6302

15037

18629

33741

11923

12046

 

4.2.

Borrowings outside India

-

-

4559

471

22

38

-

-

7786

4257

5.

Other liabilities

236583

248109

193336

273933

120943

104162

176593

198309

103593

122547

       

(4.9)

(4.6)

(5.5)

(6.6)

(8.1)

(6.2)

(11.9)

(11.8)

(4.8)

(5.2)

 

5.1.

Bills Payable

102545

99868

47734

39794

50873

36078

33177

25486

10543

15838

 

5.2.

Inter-office adjustments

-

5158

4421

11643

23917

19304

73547

-

40008

41790

 

5.3.

Interest accrued

5296

143083

14027

15918

5116

6339

69870

93137

9927

11239

 

5.4.

Others (including provisions)

128742


-


127154


206578


41038


42442


-


79686


43116


53679


 

Total Liabilities

4811964

5440249

3532881

4147409

1498309

1676228

1484353

1685084

2144831

2352762

 
 
 
 

(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


 
 
 
 
 
 
 
 
 
 
 
 

(Amount in Rs. lakh)


       

As on March 31


Items

   

Canara Bank

Central Bank of

Corporation

Dena Bank

Indian Bank

         

India


Bank


 
 
       

1999


2000


1999


2000


1999


2000


1999


2000


1999


2000


 
 
 
 

(11)


(12)


(13)


(14)


(15)


(16)


(17)


(18)


(19)


(20)


1.

Cash in hand

29769

32224

26630

28165

9107

9128

9225

11061

6618

8458

       

(0.6)

(0.6)

(0.8)

(0.7)

(0.6)

(0.5)

(0.6)

(0.7)

(0.3)

(0.4)

2.

Balances with RBI

379671

351619

295445

332711

112861

107039

122204

114041

166994

145035

       

(7.9)

(6.5)

(8.4)

(8.0)

(7.5)

(6.4)

(8.2)

(6.8)

(7.8)

(6.2)

3.

Balances with banks in India

37996

39320

8558

14652

34751

55884

15853

17516

5927

5537

       

(0.8)

(0.7)

(0.2)

(0.4)

(2.3)

(3.3)

(1.1)

(1.0)

(0.3)

(0.2)

4.

Money at call and short notice

90750

43500

-

15000

-

2413

-

-

-

40153

       

(1.9)

(0.8)

(0.0)

(0.4)

(0.0)

(0.1)

(0.0)

(0.0)

(0.0)

(1.7)

5.

Balances with banks outside India

279773

287862

93605

135636

88060

53719

32885

14273

11973

8773

       

(5.8)

(5.3)

(2.6)

(3.3)

(5.9)

(3.2)

(2.2)

(0.8)

(0.6)

(0.4)

6.

Investments

1735650

2002280

1526257

1708417

551069

596243

564674

691530

772793

854658

       

(36.1)

(36.8)

(43.2)

(41.2)

(36.8)

(35.6)

(38.0)

(41.0)

(36.0)

(36.3)

 

6.A.

Investments in India

1705629

1962094

1526191

1708351

551069

596243

564674

691530

760935

844688

   

(i)

Government securities

995545

1177451

1120902

1207811

294519

369955

340928

432197

589027

636793

   

(ii)

Other approved securities

168320

162676

142759

125358

33473

32074

60543

28652

81923

76892

   

(iii)

Shares

24642

25636

12051

14407

7201

8442

4271

5928

4500

5407

   

(iv)

Debentures and Bonds

397788

493930

231495

341657

160261

150143

152347

216135

70113

120548

   

(v)

Subsidiaries and/or joint ventures

13428

13487

4468

6902

-

8764

1934

2172

12998

996

   

(vi)

Others

105906

88913

14515

12217

55616

26865

4650

6446

2375

4052

 

6.B.

Investments outside India

30021

40186

66

66

-

-

-

-

11859

9970

   

(i)

Government securities

3395

1428

-

-

-

-

-

-

11717

9913

   

(ii)

Subsidiaries and/or joint ventures

2513

2513

66

66

-

-

-

-

-

-

   

(iii)

Others

24112

36244

-

-

-

-

-

-

142

57

7.

Advances

1953011

2354673

1279984

1580492

628620

777747

639570

711788

749652

820340

       

(40.6)

(43.3)

(36.2)

(38.1)

(42.0)

(46.4)

(43.1)

(42.2)

(35.0)

(34.9)

 

7.1.

Bills purchased and discounted

233857

271237

79338

87907

44123

45471

56342

60527

44526

39412

 

7.2.

Cash credits, overdrafts & loans

1141466

1294905

743327

879460

288790

305478

342980

399732

571857

626840

 

7.3.

Term loans

577688

788531

457319

613126

295707

426798

240248

251529

133269

154089

 

Priority sector advances included in 7

627067

680723

415268

581443

187311

225740

266939

285479

178104

203922

8.

Fixed Assets

54978

55967

79335

78528

11669

14347

28918

33485

44857

44041

       

(1.1)

(1.0)

(2.2)

(1.9)

(0.8)

(0.9)

(1.9)

(2.0)

(2.1)

(1.9)

 

8.1.

Premises

40091

37435

69495

66765

5401

6687

21372

25039

35004

34752

 

8.2.

Fixed assets under construction

-

-

-

-

-

-

545

325

798

650

 

8.2.

Other Fixed assets

14887

18532

9840

11763

6269

7661

7001

8121

9055

8640

9.

Other Assets

250367

272804

223067

253807

62172

59708

71025

91389

386016

425767

       

(5.2)

(5.0)

(6.3)

(6.1)

(4.1)

(3.6)

(4.8)

(5.4)

(18.0)

(18.1)

 

9.1.

Inter - office adjustments (net)

16315

60930

-

-

-

-

927

8385

-

-

 

9.2.

Interest accrued

55011

63019

51013

63505

22334

23623

23219

28881

24692

27443

 

9.3.

Tax paid

25535

25600

24518

25124

-

26663

13837

22088

16750

12856

 

9.4.

Stationery and Stamps

572

402

1043

1041

23034

152

359

362

753

835

 

9.5.

Others

152933


122852


146493


164138


16803


9270


32683


31674


343820


384633


 

Total Assets

4811964

5440249

3532881

4147409

1498309

1676228

1484353

1685084

2144831

2352762

 
 
 
 

(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


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