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83571113

B1 : Liabilities and Assets of Scheduled Commercial Banks : 2004 and 2005 (Part 5 of 8)

(Amount in Rs. lakh)

                   
           

As on March 31

   
         

DBS

Deutsche

Hongkong &

         

Bank

 

Bank

Shanghai Bank

     

Items

           
       

2004

2005

2004

2005

2004

2005

                   
       

(37)

(38)

(39)

(40)

(41)

(42)

                   

1.

Capital

18533

52223

29268

71268

71502

136775

       

(30.4)

(37.1)

(3.4)

(6.6)

(2.8)

(4.9)

                   

2.

Reserves and Surplus

2549

3449

62549

51912

173782

220956

       

(4.2)

(2.4)

(7.3)

(4.8)

(6.9)

(7.9)

 

2.1.

 

Statutory Reserves

865

1090

23753

25683

33370

41793

 

2.2.

 

Capital Reserves

51

51

768

1088

81821

110212

 

2.3.

 

Share Premium

 

2.4.

 

Investments Fluctuations Reserves

152

827

7537

8457

23139

36639

 

2.5.

 

Revenue and other Reserves

2281

2281

6330

6330

30600

32312

 

2.6.

 

Balance of Profit

-800

-800

24161

10354

4852

                   

3.

Deposits

37549

61144

253250

362458

1626987

1701279

       

(61.6)

(43.4)

(29.5)

(33.7)

(64.2)

(61.0)

                   
 

Type-wise

           
 

3A.1.

Demand deposits

1946

1266

138341

201546

441531

476769

     

(i) From banks

105

409

3579

5124

4489

7308

     

(ii) From others

1841

857

134762

196422

437042

469461

 

3A.2.

Savings bank deposits

176

321

11209

11375

310707

385796

 

3A.3.

Term deposits

35427

59557

103700

149537

874749

838714

     

(i) From banks

6488

47851

874749

     

(ii) From others

28939

11706

103700

149537

838714

                   
 

Location-wise

           
 

3B.1.

Deposits of branches in India

37549

61144

253251

362458

1626988

1701279

 

3B.2.

Deposits of branches outside India

                   

4.

Borrowings

427

9972

470084

522501

253922

323632

       

(0.7)

(7.1)

(54.7)

(48.6)

(10.0)

(11.6)

 

4.1.

 

Borrowings in India

400

3900

412209

425953

150165

159390

     

(i) From Reserve Bank of India

400

     

(ii) From other banks

3900

216994

220243

150165

159390

     

(iii) From other institutions and agencies

195215

205710

 

4.2.

 

Borrowings outside India

27

6072

57875

96548

103757

164242

 

Secured borrowing included in 4.

                   

5.

Other liabilities

1854

14161

44519

66555

409494

407469

       

(3.0)

(10.0)

(5.2)

(6.2)

(16.1)

(14.6)

 

5.1.

 

Bills Payable

24

12089

13606

12531

47628

65318

 

5.2.

 

Inter-office adjustments

18

77

 

5.3.

 

Interest accrued

107

195

9702

20824

49583

42723

 

5.4.

 

Others (including provisions)

1723

1877

21193

33123

312283

299428

                   
 

Total

Liabilities

60912

140949

859670

1074694

2535687

2790111

       

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

Note:Figures in brackets indicate per cent share in total.

Source:Annual accounts of banks of respective years.

 

 

(Amount in Rs. lakh)

                   
       

As on March 31

         

DBS

Deutsche

Hongkong &

         

Bank

 

Bank

Shanghai Bank

     

Items

           
       

2004

2005

2004

2005

2004

2005

       
       

(37)

(38)

(39)

(40)

(41)

(42)

       

1.

Cash

in hand

26

35

300

212

7104

8028

       

(0.0)

(0.0)

(0.0)

(0.0)

(0.3)

(0.3)

2.

Balances

with RBI

1044

2061

33190

39199

66023

130429

       

(1.7)

(1.5)

(3.9)

(3.6)

(2.6)

(4.7)

3.

Balances

with banks in India

22542

44331

282111

453878

15941

22953

       

(37.0)

(31.5)

(32.8)

(42.2)

(0.6)

(0.8)

4.

Money at

call and short notice

       

5.

Balances

with banks outside India

617

10561

8495

55696

44862

       

(1.0)

(7.5)

(1.0)

(2.2)

(1.6)

6.

Investments

24542

25022

227718

225387

1039538

912058

       

(40.3)

(17.8)

(26.5)

(21.0)

(41.0)

(33.0)

 

6.1.

Investments in India

24542

25022

227718

225387

1039538

912058

   

(i)

Government securities

24542

16728

203247

191893

883299

761154

   

(ii)

Other approved securities

4

4

6565

6155

   

(iii)

Shares

474

524

364

364

   

(iv)

Debentures and Bonds

7394

23963

22977

147017

125031

   

(v)

Subsidiaries and/or joint ventures

5

5

   

(vi)

Others

900

30

9989

2288

19349

 

6.2.

Investments outside India

   

(i)

Government securities

   

(ii)

Subsidiaries and/or joint ventures

   

(iii)

Others

7.

Advances

 

10873

55997

209806

254058

962808

1262061

       

(17.9)

(39.7)

(24.4)

(23.6)

(38.0)

(45.7)

 

Type-wise

 
 

7A.1.

Bills

purchased and discounted

1694

9051

72295

47293

95626

161881

 

7A.2.

Cash credits, overdrafts & loans

4523

43906

128233

159423

475299

475683

 

7A.3.

Term loans

4656

3040

9278

47342

391883

624497

 

Security-wise

 

7B.1.

Secured by tangible assets

9971

7031

103837

84385

596204

816194

 

7B.2.

Covered by Bank/Government Guarantees

26425

31252

65420

54581

 

7B.3.

Unsecured

902

48966

79544

138421

301184

391287

 

Sector-wise

 

7C. I.

Advances in India

10873

55997

209806

254059

962808

1262061

   

(i)

Priority sectors

2315

38101

49290

66799

141713

222367

   

(ii)

Public sectors

3

20662

19810

   

(iii)

Banks

18622

13132

469

291

   

(iv)

Others

8558

17896

141891

153466

820626

1019593

 

7C.II.

Advances outside India

8.

Fixed

Assets

121

603

9305

9154

43882

42367

       

(0.2)

(0.4)

(1.1)

(0.9)

(1.7)

(1.5)

 

8.1.

Premises

98

7266

6902

34012

34672

 

8.2.

Fixed assets under construction

23

11

 

8.3.

Other Fixed assets

592

2039

2252

9870

7695

9.

Other Assets

1146

2340

88748

92806

344696

367353

       

(1.9)

(1.7)

(10.3)

(8.6)

(13.6)

(13.3)

 

9.1.

Inter

- office adjustments (net)

 

9.2.

Interest accrued

363

672

6684

13083

19906

24055

 

9.3.

Tax

paid

490

756

1392

2221

8701

15168

 

9.4.

Stationery and Stamps

4

9

95

39

 

9.5.

Others

293

912

80668

77493

315994

328091

       
 

Total

Assets

60911

140950

859673

1074694

2535688

2790111

       

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

 

 

(Amount in Rs. lakh)

                   
       

As on March 31

         

ING

JP Morgan Chase

Krung

Thai

         

Bank

 

Bank

Bank

     

Items

           
       

2004

2005

2004

2005

2004

2005

       
       

(43)

(44)

(45)

(46)

(47)

(48)

       

1.

Capital

6792

6792

16782

16782

3584

3584

       

(66.2)

(63.3)

(24.4)

(12.8)

(62.7)

(47.3)

       

2.

Reserves and Surplus

505

505

5142

9830

373

376

       

(4.9)

(4.7)

(7.5)

(7.5)

(6.5)

(5.0)

 

2.1.

 

Statutory Reserves

505

505

2025

3198

148

149

 

2.2.

 

Capital Reserves

 

2.3.

 

Share Premium

 

2.4.

 

Investments Fluctuations Reserves

1050

1520

6

6

 

2.5.

 

Revenue and other Reserves

219

221

 

2.6.

 

Balance of Profit

2067

5112

       

3.

Deposits

39178

93023

1650

3447

       

(56.9)

(71.1)

(28.9)

(45.5)

       
 

Type-wise

 

3A.1.

Demand deposits

8028

37061

863

1747

     

(i) From banks

37

     

(ii) From others

8028

37061

863

1710

 

3A.2.

Savings bank deposits

64

197

 

3A.3.

Term deposits

31150

55962

723

1503

     

(i) From banks

     

(ii) From others

31150

55962

723

1503

       
 

Location-wise

 

3B.1.

Deposits of branches in India

39178

93024

1651

3446

 

3B.2.

Deposits of branches outside India

       

4.

Borrowings

2860

7924

50

       

(4.2)

(6.1)

(0.9)

 

4.1.

 

Borrowings in India

2373

7924

50

     

(i) From Reserve Bank of India

     

(ii) From other banks

1500

7924

     

(iii) From other institutions and agencies

873

50

 

4.2.

 

Borrowings outside India

487

 

Secured borrowing included in 4.

       

5.

Other liabilities

2956

3436

4832

3220

60

168

       

(28.8)

(32.0)

(7.0)

(2.5)

(1.0)

(2.2)

 

5.1.

 

Bills Payable

1

2

3

27

 

5.2.

 

Inter-office adjustments

 

5.3.

 

Interest accrued

365

663

36

25

 

5.4.

 

Others (including provisions)

2956

3436

4466

2555

21

116

       
 

Total

Liabilities

10253

10733

68794

130779

5717

7575

       

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

Note : Figures in brackets indicate per cent share in total.

Source : Annual accounts of banks of respective years .

 

 

(Amount in Rs. lakh)

                   
       

As on March 31

         

ING

JP Morgan Chase

Krung

Thai

         

Bank

 

Bank

Bank

     

Items

           
       

2004

2005

2004

2005

2004

2005

       
       

(43)

(44)

(45)

(46)

(47)

(48)

       

1.

Cash

in hand

6

1

       

(0.1)

(0.0)

2.

Balances

with RBI

1532

930

22125

11985

76

216

       

(14.9)

(8.7)

(32.2)

(9.2)

(1.3)

(2.9)

3.

Balances

with banks in India

78

215

39

1

2523

1457

       

(0.8)

(2.0)

(0.1)

(0.0)

(44.1)

(19.2)

4.

Money at

call and short notice

2900

8600

51234

120

       

(27.0)

(12.5)

(39.2)

(1.6)

5.

Balances

with banks outside India

11

201

393

483

       

(0.1)

(0.2)

(6.9)

(6.4)

6.

Investments

860

29537

38024

845

3314

       

(8.4)

(42.9)

(29.1)

(14.8)

(43.8)

 

6.1.

Investments in India

860

29537

38024

845

3314

   

(i)

Government securities

27596

33470

705

2594

   

(ii)

Other approved securities

79

   

(iii)

Shares

   

(iv)

Debentures and Bonds

860

2003

4951

140

720

   

(v)

Subsidiaries and/or joint ventures

   

(vi)

Others

-141

-397

 

6.2.

Investments outside India

   

(i)

Government securities

   

(ii)

Subsidiaries and/or joint ventures

   

(iii)

Others

7.

Advances

 

112

15000

1550

1622

       

(1.1)

(11.5)

(27.1)

(21.4)

 

Type-wise

 
 

7A.1.

Bills

purchased and discounted

403

429

 

7A.2.

Cash credits, overdrafts & loans

15000

1049

1117

 

7A.3.

Term loans

112

98

76

 

Security-wise

 

7B.1.

Secured by tangible assets

112

1361

1550

 

7B.2.

Covered by Bank/Government Guarantees

 

7B.3.

Unsecured

15000

190

72

 

Sector-wise

 

7C. I.

Advances in India

112

15000

1550

1622

   

(i)

Priority sectors

537

666

   

(ii)

Public sectors

   

(iii)

Banks

   

(iv)

Others

112

15000

1013

956

 

7C.II.

Advances outside India

8.

Fixed

Assets

84

164

37

64

       

(0.1)

(0.1)

(0.6)

(0.8)

 

8.1.

Premises

 

8.2.

Fixed assets under construction

 

8.3.

Other Fixed assets

84

164

37

64

9.

Other Assets

7660

6690

8411

14173

288

296

       

(74.7)

(62.3)

(12.2)

(10.8)

(5.0)

(3.9)

 

9.1.

Inter

- office adjustments (net)

 

9.2.

Interest accrued

46

15

571

432

49

72

 

9.3.

Tax

paid

1413

800

382

1036

88

79

 

9.4.

Stationery and Stamps

 

9.5.

Others

6201

5875

7458

12705

151

145

       
 

Total

Assets

10253

10735

68796

130782

5718

7573

       

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

 

 

(Amount in Rs. lakh)

                   
       

As on March 31

         

Mashreq

Mizuho

Corporate

Oman International

         

Bank

Bank

Bank

     

Items

           
       

2004

2005

2004

2005

2004

2005

       
       

(49)

(50)

(51)

(52)

(53)

(54)

       

1.

Capital

4838

4838

14434

14434

14694

15456

       

(14.1)

(14.4)

(49.2)

(31.7)

(27.8)

(35.0)

       

2.

Reserves and Surplus

672

1042

1287

1981

586

586

       

(2.0)

(3.1)

(4.4)

(4.4)

(1.1)

(1.3)

 

2.1.

 

Statutory Reserves

1365

1457

321

564

569

569

 

2.2.

 

Capital Reserves

208

208

 

2.3.

 

Share Premium

 

2.4.

 

Investments Fluctuations Reserves

135

135

234

604

17

17

 

2.5.

 

Revenue and other Reserves

1677

1677

365

365

 

2.6.

 

Balance of Profit

-2713

-2435

367

448

       

3.

Deposits

27924

26869

5125

10984

28638

22522

       

(81.3)

(79.9)

(17.5)

(24.1)

(54.1)

(51.0)

       
 

Type-wise

 

3A.1.

Demand deposits

1652

1469

1356

1081

1184

1189

     

(i) From banks

518

395

81

25

75

77

     

(ii) From others

1134

1074

1275

1056

1109

1112

 

3A.2.

Savings bank deposits

525

396

5

55

4513

4115

 

3A.3.

Term deposits

25747

25004

3764

9848

22941

17218

     

(i) From banks

23636

23636

6000

175

218

     

(ii) From others

2111

1368

3764

3848

22766

17000

       
 

Location-wise

 

3B.1.

Deposits of branches in India

27925

26869

5125

10984

28637

22521

 

3B.2.

Deposits of branches outside India

       

4.

Borrowings

7422

17538

4372

2537

       

(25.3)

(38.5)

(8.3)

(5.7)

 

4.1.

 

Borrowings in India

3050

10670

     

(i) From Reserve Bank of India

     

(ii) From other banks

3050

10670

     

(iii) From other institutions and agencies

 

4.2.

 

Borrowings outside India

4372

6868

4372

2537

 

Secured borrowing included in 4.

       

5.

Other liabilities

918

871

1040

587

4620

3074

       

(2.7)

(2.6)

(3.5)

(1.3)

(8.7)

(7.0)

 

5.1.

 

Bills Payable

120

31

19

21

447

32

 

5.2.

 

Inter-office adjustments

3

 

5.3.

 

Interest accrued

626

616

43

136

3457

2436

 

5.4.

 

Others (including provisions)

172

224

978

430

713

606

       
 

Total

Liabilities

34352

33620

29308

45524

52910

44175

       

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

Note : Figures in brackets indicate per cent share in total.

Source:Annual accounts of banks of respective years .

 

 

(Amount in Rs. lakh)

                   
       

As on March 31

         

Mashreq

Mizuho

Corporate

Oman International

         

Bank

Bank

Bank

     

Items

           
       

2004

2005

2004

2005

2004

2005

       
       

(49)

(50)

(51)

(52)

(53)

(54)

       

1.

Cash

in hand

16

5

1

3

35

33

       

(0.0)

(0.0)

(0.0)

(0.0)

(0.1)

(0.1)

2.

Balances

with RBI

980

940

512

480

2340

1591

       

(2.9)

(2.8)

(1.7)

(1.1)

(4.4)

(3.6)

3.

Balances

with banks in India

7250

4000

3999

24

38

56

       

(21.1)

(11.9)

(13.6)

(0.1)

(0.1)

(0.1)

4.

Money at

call and short notice

152

700

16700

10094

       

(0.4)

(2.1)

(31.6)

(22.9)

5.

Balances

with banks outside India

745

827

133

103

758

58

       

(2.2)

(2.5)

(0.5)

(0.2)

(1.4)

(0.1)

6.

Investments

20635

23379

3257

15117

14171

12757

       

(60.1)

(69.6)

(11.1)

(33.2)

(26.8)

(28.9)

 

6.1.

Investments in India

20635

23379

3257

15117

14171

12757

   

(i)

Government securities

7633

10477

3257

7108

14071

12657

   

(ii)

Other approved securities

102

102

100

100

   

(iii)

Shares

   

(iv)

Debentures and Bonds

12900

12800

2200

   

(v)

Subsidiaries and/or joint ventures

   

(vi)

Others

5809

 

6.2.

Investments outside India

   

(i)

Government securities

   

(ii)

Subsidiaries and/or joint ventures

   

(iii)

Others

7.

Advances

 

1742

1878

18180

26669

1744

1273

       

(5.1)

(5.6)

(62.0)

(58.6)

(3.3)

(2.9)

 

Type-wise

 
 

7A.1.

Bills

purchased and discounted

1373

1812

610

540

432

442

 

7A.2.

Cash credits, overdrafts & loans

172

1

15569

21938

918

632

 

7A.3.

Term loans

197

65

2001

4191

394

199

 

Security-wise

 

7B.1.

Secured by tangible assets

355

61

15416

12548

1743

1272

 

7B.2.

Covered by Bank/Government Guarantees

873

1812

 

7B.3.

Unsecured

514

5

2763

14120

 

Sector-wise

 

7C. I.

Advances in India

1742

1878

18180

26668

1743

1272

   

(i)

Priority sectors

1046

1812

57

5397

619

435

   

(ii)

Public sectors

   

(iii)

Banks

327

   

(iv)

Others

369

66

18123

21271

1124

837

 

7C.II.

Advances outside India

8.

Fixed

Assets

34

40

204

244

1979

1859

       

(0.1)

(0.1)

(0.7)

(0.5)

(3.7)

(4.2)

 

8.1.

Premises

108

105

1952

1844

 

8.2.

Fixed assets under construction

 

8.3.

Other Fixed assets

34

40

96

139

27

15

9.

Other Assets

2798

1851

3021

2885

15144

16454

       

(8.1)

(5.5)

(10.3)

(6.3)

(28.6)

(37.2)

 

9.1.

Inter

- office adjustments (net)

 

9.2.

Interest accrued

790

759

337

458

460

407

 

9.3.

Tax

paid

1459

648

539

488

 

9.4.

Stationery and Stamps

 

9.5.

Others

549

444

2684

2427

14145

15559

       
 

Total

Assets

34352

33620

29307

45525

52909

44175

       

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

 

 

(Amount in Rs. lakh)

                     
       

As on March 31

       

Societe

 

Sonali

 

Standard

Chartered

       

Generale

 

Bank

 

Bank

     

Items

             
       

2004

2005

2004

2005

2004

2005

       
       

(55)

(56)

(57)

(58)

(59)

(60)

       

1.

Capital

14437

29835

20

20

51542

51542

       

(19.7)

(33.5)

(0.6)

(0.6)

(1.5)

(1.4)

       

2.

Reserves and Surplus

823

2346

488

543

221793

271862

       

(1.1)

(2.6)

(13.8)

(16.7)

(6.5)

(7.3)

 

2.1.

 

Statutory Reserves

1650

2031

308

345

86794

101833

 

2.2.

 

Capital Reserves

581

28

28

17941

22784

 

2.3.

 

Share Premium

 

2.4.

 

Investments Fluctuations Reserves

1501

2

26004

41004

 

2.5.

 

Revenue and other Reserves

57274

78443

 

2.6.

 

Balance of Profit

-1408

-1186

152

168

33780

27798

       

3.

Deposits

41246

52655

2864

2224

1994898

2252224

       

(56.2)

(59.1)

(80.9)

(68.3)

(58.1)

(60.4)

       
 

Type-wise

 

3A.1.

Demand deposits

2541

2439

2091

1535

512452

594383

     

(i) From banks

11

45

1145

722

16001

20924

     

(ii) From others

2530

2394

946

813

496451

573459

 

3A.2.

Savings bank deposits

330

40

154

146

381918

445734

 

3A.3.

Term deposits

38375

50176

619

543

1100528

1212107

     

(i) From banks

6236

114073

114073

     

(ii) From others

38375

43940

619

543

986455

1098034

       
 

Location-wise

 

3B.1.

Deposits of branches in India

41247

52654

1720

1502

1994898

2252224

 

3B.2.

Deposits of branches outside India

1145

722

       

4.

Borrowings

14498

500

612404

631227

       

(19.7)

(0.6)

(17.8)

(16.9)

 

4.1.

 

Borrowings in India

14236

500

354007

293551

     

(i) From Reserve Bank of India

     

(ii) From other banks

11736

500

173780

221824

     

(iii) From other institutions and agencies

2500

180227

71727

 

4.2.

 

Borrowings outside India

262

258397

337676

 

Secured borrowing included in 4.

       

5.

Other liabilities

2410

3761

169

467

553911

521787

       

(3.3)

(4.2)

(4.8)

(14.4)

(16.1)

(14.0)

 

5.1.

 

Bills Payable

87

108

35429

31618

 

5.2.

 

Inter-office adjustments

35

2

20

 

5.3.

 

Interest accrued

630

613

8

8

28942

28113

 

5.4.

 

Others (including provisions)

1658

3040

159

439

489540

462056

       
 

Total

Liabilities

73414

89097

3541

3254

3434548

3728642

       

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

Note:Figures in brackets indicate per cent share in total.

Source:Annual accounts of banks of respective years .

 

 

(Amount in Rs. lakh)

                     
       

As on March 31

       

Societe

 

Sonali

 

Standard

Chartered

       

Generale

 

Bank

 

Bank

     

Items

             
       

2004

2005

2004

2005

2004

2005

       
       

(55)

(56)

(57)

(58)

(59)

(60)

       

1.

Cash

in hand

23

26

104

42

8279

10439

       

(0.0)

(0.0)

(2.9)

(1.3)

(0.2)

(0.3)

2.

Balances

with RBI

2190

2883

226

358

95307

111031

       

(3.0)

(3.2)

(6.4)

(11.0)

(2.8)

(3.0)

3.

Balances

with banks in India

39

60

55

65

17613

18571

       

(0.1)

(0.1)

(1.6)

(2.0)

(0.5)

(0.5)

4.

Money at

call and short notice

2975

200

200

38990

7934

       

(3.3)

(5.6)

(6.1)

(1.1)

(0.2)

5.

Balances

with banks outside India

383

345

1544

970

5372

6957

       

(0.5)

(0.4)

(43.6)

(29.8)

(0.2)

(0.2)

6.

Investments

45939

59332

633

719

1007870

1016018

       

(62.6)

(66.6)

(17.9)

(22.1)

(29.3)

(27.3)

 

6.1.

Investments in India

45939

59332

633

719

1007870

1016018

   

(i)

Government securities

44437

59322

444

440

699768

757750

   

(ii)

Other approved securities

2594

10500

   

(iii)

Shares

97

10

42967

40967

   

(iv)

Debentures and Bonds

1405

262534

190587

   

(v)

Subsidiaries and/or joint ventures

7

7

   

(vi)

Others

189

279

16207

 

6.2.

Investments outside India

   

(i)

Government securities

   

(ii)

Subsidiaries and/or joint ventures

   

(iii)

Others

7.

Advances

 

17083

15920

564

597

1615226

1997032

       

(23.3)

(17.9)

(15.9)

(18.3)

(47.0)

(53.7)

 

Type-wise

 
 

7A.1.

Bills

purchased and discounted

1771

390

328

414

99329

143955

 

7A.2.

Cash credits, overdrafts & loans

5940

7342

236

183

779985

776841

 

7A.3.

Term loans

9372

8188

735912

1076236

 

Security-wise

 

7B.1.

Secured by tangible assets

12339

11067

223

202

1031514

1321816

 

7B.2.

Covered by Bank/Government Guarantees

439

222

76166

120476

 

7B.3.

Unsecured

4305

4631

341

395

507546

554740

 

Sector-wise

 

7C. I.

Advances in India

17083

15920

564

597

1615225

1997031

   

(i)

Priority sectors

2265

2145

10

8

397562

582547

   

(ii)

Public sectors

14441

26507

   

(iii)

Banks

8

   

(iv)

Others

14810

13775

554

589

1203222

1387977

 

7C.II.

Advances outside India

8.

Fixed

Assets

3602

3327

15

13

43817

42184

       

(4.9)

(3.7)

(0.4)

(0.4)

(1.3)

(1.1)

 

8.1.

Premises

3421

3179

38716

37491

 

8.2.

Fixed assets under construction

500

 

8.3.

Other Fixed assets

181

148

15

13

5101

4193

9.

Other Assets

4155

4228

203

290

602075

518476

       

(5.7)

(4.7)

(5.7)

(8.9)

(17.5)

(13.9)

 

9.1.

Inter

- office adjustments (net)

23

27

 

9.2.

Interest accrued

516

1388

10

13

35447

23559

 

9.3.

Tax

paid

1758

1021

128

238

58629

48696

 

9.4.

Stationery and Stamps

2

1

52

44

 

9.5.

Others

1881

1819

40

11

507947

446177

       
 

Total

Assets

73414

89096

3544

3254

3434549

3728642

       

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

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