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83759838

3.1 : Bank group-wise Liabilities and Assets of scheduled commercial banks in India: 2002 and 2003

 

(Amount in Rs. crore)

 

As on March 31

State Bank of India and its Associates

Nationalised Banks

Regional Rural Banks

Foreign Banks

Other Scheduled

All Scheduled Commercial

Items

Commercial Banks

Banks

2002

2003

2002

2003

2002

2003

2002

2003

2002

2003

2002

2003

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

(11)

(12)


Number of reporting banks

8

8

19

19

196

196

40

38

30

29

291

288

Liabilities

                       

1. Capital

1036

1036

14142

13140

2143

2111

3576

4498

2719

2862

23616

23646

2. Reserves and Surplus

19023

22097

23253

29310

1883

2385

6939

8889

13472

15499

64570

78180

2.1. Statutory Reserves

11448

12964

6507

8456

561

790

2023

2544

2574

3297

23113

28052

(i) Opening balance

9247

11464

5282

6507

435

634

1657

1787

2042

2560

18663

22951

(ii) Additions during the year

2219

1500

1225

1950

126

156

366

757

532

862

4468

5225

(iii) Deductions during the year

18

0

0

0

0

0

0

0

0

125

18

125

2.2. Capital Reserves

143

1017

2898

2614

64

38

977

1254

300

573

4383

5495

(i) Opening balance

124

837

2742

2589

61

47

938

936

222

294

4086

4704

(ii) Additions during the year

19

209

229

148

3

5

40

317

82

288

373

967

(iii) Deductions during the year

0

29

72

123

0

15

0

0

4

8

76

176

2.3. Share Premium

3863

3863

2406

3083

35

10

0

0

3083

3253

9387

10209

(i) Opening balance

3863

3863

1982

2975

30

9

0

0

2187

3071

8062

9919

(ii) Additions during the year

0

0

438

159

5

0

0

0

938

210

1380

369

(iii) Deductions during the year

0

0

14

51

0

0

0

0

41

28

55

79

2.4. Revenue and other Reserves

3560

4244

10974

14871

687

874

3656

3752

7142

7808

26019

31549

(i) Opening balance

2998

2850

8675

11410

550

729

3083

2924

2048

7072

17354

24984

(ii) Additions during the year

962

2176

2665

4360

138

154

779

927

5460

1021

10003

8638

(iii) Deductions during the year

400

781

366

899

1

9

205

99

367

286

1339

2074

2.5. Balance of Profit

8

8

469

285

536

674

282

1339

373

568

1668

2875

3. Deposits (3.1+3.2+3.3)

351077

391033

617673

688361

44539

48867

64511

69313

169440

206917

1247239

1404490

3.1. Demand deposits [(i)+(ii)]

53269

56626

65783

70248

1962

2271

13614

14441

20404

23225

155033

166811

(i) From banks

8454

8426

2470

2319

29

10

455

394

1013

1122

12421

12270

(ii) From others

44815

48200

63313

67930

1934

2261

13159

14047

19392

22103

142612

154541

3.2. Savings bank deposits

74893

87923

153246

179251

17821

20496

7339

8969

20120

26160

273418

322799

3.3. Term deposits [(i)+(ii)]

222915

246484

398644

438862

24756

26100

43558

45902

128915

157532

818788

914880

(i) From banks

8091

6944

22501

16438

87

512

9170

11784

17035

18823

56883

54501

(ii) From others

214824

239540

376142

422424

24669

25588

34388

34118

111880

138709

761904

860378

3.A. Deposits of branches in India

343065

383775

592953

665846

44539

48867

64511

69297

169214

206657

1214282

1374444

3.B. Deposits of branches outside India

8011

7257

24720

22515

0

0

0

15

226

259

32957

30047

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

351077

391033

617673

688361

44539

48867

64511

69313

169440

206917

1247239

1404490


 

As on March 31

State Bank of India and its Associates

Nationalised Banks

Regional Rural Banks

Foreign Banks

Other Scheduled

All Scheduled Commercial

Items

Commercial Banks

Banks

2002

2003

2002

2003

2002

2003

2002

2003

2002

2003

2002

2003

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

(11)

(12)


4. Borrowings

10052

11593

10516

10838

4524

4684

29755

22904

56858

41200

111705

91219

4.1. Borrowings in India

2663

2434

8659

6932

4524

4522

28721

16027

49414

34999

93982

64913

(i) From Reserve Bank of India

75

0

1432

25

97

57

965

875

803

52

3371

1008

(ii) From other banks

188

700

1901

1784

1047

943

24267

13272

5934

5960

33337

22658

(iii) From other institutions and agencies

2400

1734

5326

5123

3381

3523

3489

1879

42678

28988

57274

41247

4.2. Borrowings outside India

7389

9159

1856

3907

0

162

1034

6878

7443

6200

17723

26306

5. Other liabilities and provisions

68321

68196

40645

49632

3712

3561

7316

10780

25192

28649

145186

160818

(i) Bills Payable

18178

18098

9538

10938

359

302

1581

1787

3101

3605

32757

34730

(ii) Inter-office adjustments

5539

4975

2147

3617

235

346

161

96

582

464

8663

9498

(iii) Interest accrued

24022

24864

3921

2959

1460

1260

1555

1298

3679

3074

34637

33454

(iv) Others (including provisions)

20583

20259

25039

32119

1659

1653

4019

7599

17830

21507

69129

83137

Total Liabilities

449509

493954

706228

791281

56802

61608

112096

116384

267680

295127

1592315

1758354

6. Cash and balances with RBI

27287

19112

44120

46054

3146

3085

4047

4557

11306

16340

89907

89149

6.1. Cash in hand

1362

1422

4396

4635

647

653

240

418

1372

1643

8016

8772

6.2. Balances with RBI

25925

17690

39725

41419

2492

2431

3807

4139

9934

14697

81884

80377

(i) in current account

25925

17690

39725

35472

2361

2234

3807

4129

9934

14697

81752

74222

(ii) in other account

0

0

0

5947

132

197

0

10

0

0

132

6155

7. Balances with banks and money at

47597

35268

31877

21889

21018

15506

15618

6345

22426

11029

138537

90037

call and short notice (7.1+7.2)

0

7.1. In India (7.1.1+7.1.2)

29217

29415

15004

15736

21018

15506

6885

3374

14256

9336

86380

73367

7.1.1. Balances with banks

4852

4531

11806

12667

18548

13559

4793

2768

8797

7463

48795

40989

(i) in current account

424

777

3231

4262

1507

2108

601

516

1955

1365

7718

9029

(ii) in other deposit account

4428

3754

8575

8404

17041

11451

4191

2252

6842

6098

41077

31960

7.1.2. Money at call and short notice

24365

24883

3198

3070

2470

1947

2093

606

5458

1873

37585

32378

(i) with banks

24365

24883

2773

2503

2376

951

1957

386

5220

1515

36691

30239

(ii) with other institutions

0

0

425

566

94

996

136

219

238

357

894

2139

7.2. Outside India (7.2.1+7.2.2)

18380

5853

16873

6152

0

0

8733

2971

8170

1693

52157

16670

7.2.1. Balances with banks

10520

3187

13189

4542

0

0

6660

2793

3477

1540

33846

12062

(i) in current account

7683

2721

2450

1445

0

0

1033

483

538

654

11703

5303

(ii) in other deposit account

2838

466

10739

3097

0

0

5626

2310

2939

886

22143

6759

7.2.2. Money at call and short notice

7860

2666

3684

1610

0

0

2074

178

4694

154

18311

4609


 

As on March 31

State Bank of India and its Associates

Nationalised Banks

Regional Rural Banks

Foreign Banks

Other Scheduled

All Scheduled Commercial

Items

Commercial Banks

Banks

2002

2003

2002

2003

2002

2003

2002

2003

2002

2003

2002

2003

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

(11)

(12)


8. Investments (8.1+8.2)

185587

223367

268421

322302

9471

16946

35094

40796

98957

106621

597529

710031

8.1 In India in

180918

218904

259300

312134

9471

16920

35094

40796

98860

106528

583643

695282

(i) Government securities

151217

187687

190180

241387

1296

9439

13450

30808

55514

72652

411658

541972

(ii)Other approved securities

6646

5797

13815

12368

690

916

119

151

1092

961

22362

20192

(iii) Shares

1201

1283

2431

2399

72

59

16

349

2473

2685

6194

6774

(iv) Debentures and Bonds

16457

19626

46727

49168

6118

5467

5319

9127

20719

22916

95340

106304

(v) Subsidiaries and/or joint ventures

1214

1221

1144

1048

3

38

0

1

917

803

3279

3111

(vi) Others

4183

3289

5002

5766

1292

1001

77

360

6476

6512

17030

16928

8.2 Outside India in

4669

4462

9120

10167

0

26

0

0

97

93

13886

14749

(i) Government securities

294

381

2999

2772

0

25

0

0

84

84

3378

3263

(ii) Subsidiaries and/or joint ventures

159

216

196

391

0

0

0

0

1

1

357

609

(iii) Others

4216

3865

5924

7003

0

1

0

0

11

7

10152

10876

9. Advances

164589

189204

316091

360147

17710

20715

48632

52171

116430

137711

663453

759948

9A. (i) Bills Purchased and discounted

15750

17625

21087

24273

286

448

6621

5801

10405

11070

54148

59217

(ii) Cash credits, overdrafts and loans

90721

97450

177170

194231

7329

8659

18305

21400

35530

38438

329055

360178

repayable on demand

(iii) Term loans

58119

74129

117834

141643

10095

11608

23706

24970

70495

88203

280250

340552

Total

164589

189204

316091

360147

17710

20303

48632

52171

116430

137711

663453

759536

9B. (i) Secured by tangible assets

133942

152064

244015

287766

16471

18738

25822

29307

100023

117712

520273

605586

(ii) Covered by Bank/ Government

10378

13606

31172

26097

342

516

5819

5872

6781

8833

54492

54925

Guarantees

(iii) Unsecured

20269

23533

40903

46284

897

1049

16991

16993

9627

11166

88687

99025

Total

164589

189204

316091

360147

17710

20303

48632

52171

116430

137711

663453

759536

9C. I. Advances in India

151313

175295

293245

335771

17710

20713

48632

52171

116165

137434

627066

721384

(i) Priority sectors

47556

54756

100072

121508

12943

15527

10492

11431

19598

30556

190661

233778

(ii) Public sectors

30735

33866

60694

58552

0

116

1360

565

10887

8276

103676

101374

(iii) Banks

285

385

963

2200

0

31

528

160

1708

2633

3484

5409

(iv) Others

72737

86289

131516

153511

4767

5038

36253

40015

83973

95969

329245

380823

 

 

As on March 31

State Bank of India

and its Associates

Nationalised Banks

Regional Rural Banks

Foreign Banks

Other Scheduled

All Scheduled Commercial

Items

Commercial Banks

Banks

2002

2003

2002

2003

2002

2003

2002

2003

2002

2003

2002

2003

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

(11)

(12)

9C.II. Advances outside India

13276

13909

22846

24376

0

0

0

0

265

277

36387

38562

(i) Due from Banks

805

914

4749

4468

0

0

0

0

0

0

5554

5382

(ii) Due from others

12472

12994

18097

19909

0

0

0

0

265

277

30833

33180

a) Bills purchased and discounted

1856

2834

2196

2576

0

0

0

0

29

48

4081

5458

b) Syndicate loans

4114

5734

6092

6731

0

0

0

0

0

0

10206

12465

c) Others

6502

4427

9809

10602

0

0

0

0

236

228

16546

15257

Total (9CI +9CII)

164589

189204

316091

360147

17710

20713

48632

52171

116430

137711

663453

759945

10. Fixed Assets (10.1+10.2+10.3)

2889

2925

7531

7668

91

103

2250

2186

7413

7420

20174

20301

10.1 Premises

908

817

5398

5391

6

9

1591

1468

2635

2848

10539

10534

At cost as on 31st March of the

preceding year

1079

1151

5930

6105

6

11

1783

1335

1483

2642

10281

11244

(ii) Additions during the year

193

66

919

932

2

1

81

384

1414

702

2608

2084

(iii) Deductions during the year

14

2

13

17

0

0

99

102

51

228

177

349

(iv) Depreciation to date

350

397

1438

1628

1

3

173

149

211

269

2173

2446

10.2 Assets under construction

1000

132

188

36

1

1

17

5

2653

158

3858

332

10.3 Other Fixed assets

981

1976

1945

2241

84

93

642

712

2125

4413

5776

9435

  1. At cost as on 31st March

of the preceding year

2590

4516

4744

6027

137

151

1529

1588

2586

6872

11587

19155

(ii) Additions during the year

414

652

899

997

28

33

327

452

1078

1145

2746

3279

(iii) Deductions during the year

39

111

121

162

4

1

154

191

136

546

454

1010

(iv) Depreciation to date

1985

3081

3577

4622

78

90

1061

1138

1403

3058

8104

11989

11. Other Assets

21559

24078

38188

33221

5372

5389

6455

10329

11148

16006

82722

89024

(i) Inter - office adjustments (net)

1458

392

2615

2683

330

307

55

276

35

122

4493

3781

(ii) Interest accrued

7344

7742

9736

9142

1720

1917

1387

927

4159

4546

24346

24274

(iii) Tax paid in advance/

tax deducted at source

2571

2305

4414

4354

42

55

1084

1348

2111

2779

10222

10841

(iv) Stationery and Stamps

105

104

99

80

19

18

2

7

25

23

249

233

(v) Others, if any

10081

13536

21324

16962

3261

3092

3928

7770

4818

8535

43412

49895

Total Assets

449509

493954

706228

791281

56802

61743

112096

116384

267680

295127

1592315

1758489


@ : See 'Explanatory Notes'.

Source: Annual accounts of banks of respective years

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