B9 : Maturity Profile of Selected Items of Liabilities and Assets of Scheduled Commercial Banks : 2003 and 2004 (Part 2 of 8) - ఆర్బిఐ - Reserve Bank of India
B9 : Maturity Profile of Selected Items of Liabilities and Assets of Scheduled Commercial Banks : 2003 and 2004 (Part 2 of 8)
NATIONALISED BANKS |
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|
|
|
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|
(Amount in Rs. Lakh) |
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|
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|
|
|
|
|
|
Maturity-wise |
Bank of Maharashtra |
Canara Bank |
Central Bank of India |
Corporation Bank |
||||
Liabilities/Assets |
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
|
(9) |
(10) |
(11) |
(12) |
(13) |
(14) |
(15) |
(16) |
I. Deposits |
2217575 |
2644593 |
7209482 |
8634456 |
5045085 |
5517216 |
2172457 |
2319093 |
a) 1 -14 days |
69242 |
82805 |
460804 |
350232 |
185944 |
155989 |
134179 |
123916 |
b) 15-28 days |
20373 |
16618 |
243747 |
350232 |
51385 |
77575 |
33873 |
32393 |
c) 29 days to 3 months |
39390 |
82412 |
619484 |
749187 |
149977 |
163412 |
241284 |
216113 |
d) Over 3 months to 6 months |
52364 |
93454 |
478645 |
703161 |
131267 |
253632 |
150311 |
224480 |
e) Over 6 months to one year |
117776 |
149311 |
691216 |
973027 |
168213 |
209129 |
369614 |
326295 |
f) Over one year to 3 years |
801695 |
896957 |
1108911 |
2479000 |
1653608 |
1738760 |
1118157 |
1291389 |
g) Over 3 years to 5 years |
406139 |
460648 |
563439 |
701200 |
1006799 |
1012312 |
86866 |
69572 |
h) Over 5 years |
710596 |
862388 |
3043236 |
2328417 |
1697892 |
1906407 |
38173 |
34935 |
II. Borrowings |
30387 |
46992 |
9382 |
75490 |
14699 |
10796 |
80334 |
93413 |
a) 1 -14 days |
18 |
16633 |
79 |
8762 |
415 |
880 |
15833 |
9353 |
b) 15-28 days |
0 |
218 |
432 |
41 |
0 |
81 |
0 |
0 |
c) 29 days to 3 months |
79 |
6177 |
6160 |
10226 |
2 |
81 |
11600 |
28213 |
d) Over 3 months to 6 months |
3290 |
4453 |
715 |
12064 |
2493 |
1858 |
27968 |
43117 |
e) Over 6 months to one year |
4154 |
3744 |
875 |
43481 |
1972 |
1811 |
20926 |
9571 |
f) Over one year to 3 years |
13781 |
12481 |
164 |
511 |
5241 |
3925 |
2942 |
2822 |
g) Over 3 years to 5 years |
5820 |
2041 |
895 |
338 |
1543 |
1116 |
802 |
70 |
h) Over 5 years |
3245 |
1245 |
62 |
67 |
3033 |
1044 |
263 |
267 |
III. Loans and Advances |
950814 |
1173151 |
4047160 |
4763863 |
2264977 |
2226675 |
1202917 |
1388972 |
a) 1 -14 days |
102381 |
129848 |
454004 |
508304 |
74690 |
106728 |
137985 |
114512 |
b) 15-28 days |
47649 |
22692 |
217351 |
266299 |
35281 |
52425 |
46084 |
57881 |
c) 29 days to 3 months |
82008 |
146009 |
516908 |
585479 |
92642 |
77547 |
61059 |
109574 |
d) Over 3 months to 6 months |
47730 |
61711 |
285581 |
354908 |
99544 |
128806 |
82896 |
67331 |
e) Over 6 months to one year |
53032 |
98777 |
685456 |
695048 |
97628 |
114696 |
113618 |
140807 |
f) Over one year to 3 years |
487525 |
403362 |
935153 |
1131417 |
1286886 |
1153579 |
359758 |
578424 |
g) Over 3 years to 5 years |
82138 |
112300 |
347129 |
686949 |
288880 |
302449 |
136775 |
107436 |
h) Over 5 years |
48351 |
198452 |
605578 |
535459 |
289426 |
290445 |
264742 |
213007 |
Source: Annual accounts of banks of respective years. |
TABLE B9 : MATURITY PROFILE OF SELECTED ITEMS OF LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004 |
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NATIONALISED BANKS |
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|
|
|
|
|
|
(Amount in Rs. Lakh) |
||
|
|
|
|
|
|
|
|
|
Maturity-wise |
Bank of Maharashtra |
Canara Bank |
Central Bank of India |
Corporation Bank |
||||
Liabilities/Assets |
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
|
(9) |
(10) |
(11) |
(12) |
(13) |
(14) |
(15) |
(16) |
IV. Investments (at book value) |
1182692 |
1396161 |
3045824 |
3579299 |
2604535 |
3140512 |
1066990 |
1068504 |
a) 1 -14 days |
12340 |
0 |
52878 |
41372 |
1106 |
162782 |
3117 |
9736 |
b) 15-28 days |
797 |
2894 |
30194 |
37840 |
6989 |
16736 |
6414 |
12831 |
c) 29 days to 3 months |
14234 |
6453 |
94204 |
65636 |
21479 |
46758 |
74649 |
53491 |
d) Over 3 months to 6 months |
4955 |
7551 |
54291 |
66141 |
26956 |
38509 |
41590 |
24361 |
e) Over 6 months to one year |
15567 |
9598 |
77530 |
119157 |
31053 |
15092 |
87664 |
21040 |
f) Over one year to 3 years |
129096 |
205191 |
387420 |
362831 |
258671 |
383706 |
169072 |
131243 |
g) Over 3 years to 5 years |
230787 |
232599 |
341888 |
426762 |
460437 |
430391 |
141766 |
162513 |
h) Over 5 years |
774916 |
931875 |
2007419 |
2459560 |
1797844 |
2046538 |
542718 |
653289 |
V. Foreign Currency Assets |
338244 |
59588 |
615883 |
1126199 |
68622 |
68594 |
287421 |
198076 |
a) 1 -14 days |
37686 |
24031 |
114918 |
364813 |
13468 |
15123 |
34308 |
19432 |
b) 15-28 days |
17420 |
1729 |
39906 |
82243 |
4179 |
5901 |
2731 |
13842 |
c) 29 days to 3 months |
140407 |
12520 |
140807 |
368502 |
22781 |
21618 |
109731 |
46428 |
d) Over 3 months to 6 months |
79418 |
20078 |
187489 |
157460 |
23007 |
22503 |
56287 |
36346 |
e) Over 6 months to one year |
62221 |
790 |
54650 |
22946 |
2334 |
978 |
53284 |
27706 |
f) Over one year to 3 years |
1092 |
160 |
46208 |
105507 |
2853 |
2471 |
19080 |
44660 |
g) Over 3 years to 5 years |
0 |
280 |
11021 |
4003 |
0 |
0 |
12000 |
9662 |
h) Over 5 years |
0 |
0 |
20884 |
20725 |
0 |
0 |
0 |
0 |
VI. Foreign Currency Liabilities |
250585 |
38627 |
602402 |
1129048 |
81437 |
89570 |
184752 |
185485 |
a) 1 -14 days |
26294 |
6776 |
153519 |
144522 |
18787 |
28085 |
18441 |
21451 |
b) 15-28 days |
2292 |
2486 |
34963 |
64984 |
1450 |
1154 |
1057 |
1029 |
c) 29 days to 3 months |
88017 |
11066 |
79874 |
266874 |
8473 |
3923 |
96297 |
34264 |
d) Over 3 months to 6 months |
72869 |
5278 |
63815 |
125773 |
5964 |
6895 |
36490 |
50576 |
e) Over 6 months to one year |
56991 |
8520 |
97068 |
235243 |
17124 |
11741 |
32296 |
27067 |
f) Over one year to 3 years |
4103 |
4305 |
173163 |
291652 |
29639 |
37772 |
171 |
51098 |
g) Over 3 years to 5 years |
19 |
196 |
0 |
0 |
0 |
0 |
0 |
0 |
h) Over 5 years |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
Source: Annual accounts of banks of respective years. |
TABLE B9 : MATURITY PROFILE OF SELECTED ITEMS OF LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004 |
||||||||
NATIONALISED BANKS |
||||||||
|
|
|
|
|
|
(Amount in Rs. Lakh) |
||
|
|
|
|
|
|
|
|
|
Maturity-wise |
Dena Bank |
Indian Bank |
Indian Overseas Bank |
Oriental Bank of Commerce |
||||
Liabilities/Assets |
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
|
(17) |
(18) |
(19) |
(20) |
(21) |
(22) |
(23) |
(24) |
I. Deposits |
1649126 |
1834918 |
2701593 |
3044439 |
3669859 |
4148258 |
2980909 |
3567350 |
a) 1 -14 days |
111329 |
149363 |
197713 |
290212 |
148960 |
430119 |
287297 |
228949 |
b) 15-28 days |
35953 |
36553 |
127107 |
123404 |
50983 |
104463 |
88996 |
150756 |
c) 29 days to 3 months |
94219 |
128289 |
196634 |
263718 |
147257 |
309543 |
341845 |
440195 |
d) Over 3 months to 6 months |
120816 |
142622 |
225668 |
227855 |
96990 |
402188 |
301099 |
552025 |
e) Over 6 months to one year |
254759 |
271707 |
342434 |
359527 |
123780 |
691133 |
708931 |
715766 |
f) Over one year to 3 years |
925309 |
991494 |
1283418 |
1499654 |
403769 |
901646 |
541613 |
831345 |
g) Over 3 years to 5 years |
68992 |
68496 |
204264 |
150398 |
940682 |
1260667 |
651629 |
583617 |
h) Over 5 years |
37749 |
46394 |
124355 |
129671 |
1757438 |
48499 |
59499 |
64697 |
II. Borrowings |
22821 |
30837 |
44921 |
29892 |
35597 |
72947 |
76602 |
12718 |
a) 1 -14 days |
3 |
4351 |
17832 |
9027 |
2065 |
10479 |
3 |
40 |
b) 15-28 days |
0 |
445 |
0 |
900 |
0 |
7865 |
0 |
0 |
c) 29 days to 3 months |
10165 |
16664 |
997 |
1010 |
2246 |
368 |
12007 |
3 |
d) Over 3 months to 6 months |
1604 |
2212 |
1230 |
4014 |
1775 |
26467 |
54670 |
5839 |
e) Over 6 months to one year |
1985 |
1724 |
38 |
3993 |
1555 |
23395 |
9883 |
1023 |
f) Over one year to 3 years |
6605 |
3758 |
120 |
6607 |
26130 |
3446 |
28 |
5646 |
g) Over 3 years to 5 years |
1761 |
1106 |
88 |
3286 |
1214 |
563 |
11 |
46 |
h) Over 5 years |
698 |
577 |
24616 |
1055 |
612 |
364 |
0 |
121 |
III. Loans and Advances |
843560 |
941179 |
1227499 |
1412608 |
1843127 |
2129319 |
1652429 |
2061230 |
a) 1 -14 days |
23367 |
66571 |
147808 |
252758 |
270254 |
317632 |
88051 |
137822 |
b) 15-28 days |
13562 |
16340 |
84106 |
122718 |
47115 |
37968 |
18371 |
85704 |
c) 29 days to 3 months |
33679 |
39157 |
42165 |
56656 |
98237 |
135054 |
45926 |
137715 |
d) Over 3 months to 6 months |
31731 |
42077 |
52239 |
96152 |
106785 |
136083 |
39197 |
123937 |
e) Over 6 months to one year |
43929 |
49486 |
83762 |
149106 |
146547 |
179026 |
314974 |
182651 |
f) Over one year to 3 years |
477194 |
483627 |
534230 |
459970 |
500125 |
679988 |
223969 |
319528 |
g) Over 3 years to 5 years |
75048 |
89538 |
133330 |
138593 |
314708 |
332965 |
640048 |
663924 |
h) Over 5 years |
145050 |
154383 |
149859 |
136655 |
359356 |
310603 |
281893 |
409949 |
Source: Annual accounts of banks of respective years. |
TABLE B9 : MATURITY PROFILE OF SELECTED ITEMS OF LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004 |
||||||||
NATIONALISED BANKS |
||||||||
|
|
|
|
|
|
(Amount in Rs. Lakh) |
||
|
|
|
|
|
|
|
|
|
Maturity-wise |
Dena Bank |
Indian Bank |
Indian Overseas Bank |
Oriental Bank of Commerce |
||||
Liabilities/Assets |
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
|
(17) |
(18) |
(19) |
(20) |
(21) |
(22) |
(23) |
(24) |
IV. Investments (at book value) |
850038 |
973641 |
1483901 |
1669621 |
1870032 |
2019929 |
1479654 |
1680365 |
a) 1 -14 days |
13001 |
41348 |
1916 |
149155 |
36792 |
17468 |
975 |
11108 |
b) 15-28 days |
1100 |
0 |
120 |
11484 |
11121 |
11163 |
2424 |
5171 |
c) 29 days to 3 months |
9265 |
4203 |
12960 |
17041 |
28466 |
33868 |
6905 |
31643 |
d) Over 3 months to 6 months |
7409 |
13271 |
10718 |
1671 |
21629 |
23666 |
24217 |
33871 |
e) Over 6 months to one year |
21180 |
33426 |
15593 |
6675 |
73592 |
32561 |
30491 |
27580 |
f) Over one year to 3 years |
118706 |
87393 |
101626 |
123088 |
229214 |
209367 |
209841 |
182481 |
g) Over 3 years to 5 years |
65728 |
127509 |
196510 |
158503 |
186624 |
278666 |
193967 |
225865 |
h) Over 5 years |
613649 |
666491 |
1144458 |
1202004 |
1282594 |
1413170 |
1010834 |
1162646 |
V. Foreign Currency Assets |
59596 |
74819 |
156162 |
123510 |
375135 |
412936 |
52892 |
87585 |
a) 1 -14 days |
18305 |
9162 |
77833 |
17387 |
71691 |
92058 |
8212 |
13710 |
b) 15-28 days |
10844 |
26453 |
19651 |
49570 |
19608 |
16275 |
3680 |
6667 |
c) 29 days to 3 months |
13753 |
11440 |
2878 |
23316 |
75395 |
69742 |
25540 |
35865 |
d) Over 3 months to 6 months |
14997 |
27129 |
1680 |
2970 |
46046 |
75399 |
12630 |
25521 |
e) Over 6 months to one year |
1697 |
459 |
10865 |
1217 |
45604 |
28820 |
2830 |
5822 |
f) Over one year to 3 years |
0 |
176 |
21800 |
15554 |
62480 |
78574 |
0 |
0 |
g) Over 3 years to 5 years |
0 |
0 |
14732 |
11685 |
28996 |
28098 |
0 |
0 |
h) Over 5 years |
0 |
0 |
6723 |
1811 |
25315 |
23970 |
0 |
0 |
VI. Foreign Currency Liabilities |
39040 |
51900 |
88297 |
81138 |
382938 |
379758 |
53543 |
96725 |
a) 1 -14 days |
5576 |
7701 |
17145 |
2168 |
86853 |
72064 |
6285 |
9966 |
b) 15-28 days |
641 |
1103 |
31283 |
27938 |
14628 |
17706 |
977 |
9205 |
c) 29 days to 3 months |
12852 |
19033 |
12592 |
22354 |
43573 |
49638 |
14673 |
22705 |
d) Over 3 months to 6 months |
3388 |
3053 |
7639 |
8273 |
36455 |
49847 |
11449 |
9298 |
e) Over 6 months to one year |
5715 |
3962 |
9672 |
9251 |
63526 |
68055 |
8706 |
30868 |
f) Over one year to 3 years |
10868 |
17048 |
9966 |
11154 |
87765 |
79423 |
11453 |
14683 |
g) Over 3 years to 5 years |
0 |
0 |
0 |
0 |
7241 |
5936 |
0 |
0 |
h) Over 5 years |
0 |
0 |
0 |
0 |
42897 |
37089 |
0 |
0 |
Source: Annual accounts of banks of respective years. |
TABLE B9 : MATURITY PROFILE OF SELECTED ITEMS OF LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004 |
||||||||
NATIONALISED BANKS |
||||||||
|
|
|
|
|
|
(Amount in Rs. Lakh) |
||
|
|
|
|
|
|
|
|
|
Maturity-wise |
Punjab & Sind Bank |
Punjab National Bank |
Syndicate Bank |
UCO Bank |
||||
Liabilities/Assets |
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
|
(25) |
(26) |
(27) |
(28) |
(29) |
(30) |
(31) |
(32) |
I. Deposits |
1322362 |
1364203 |
7581350 |
8791639 |
2839148 |
4025198 |
2974100 |
3746800 |
a) 1 -14 days |
135264 |
146979 |
510075 |
429766 |
151340 |
251971 |
534100 |
259000 |
b) 15-28 days |
26825 |
25678 |
188010 |
87894 |
49161 |
69077 |
65200 |
94200 |
c) 29 days to 3 months |
94468 |
106841 |
503520 |
348445 |
177967 |
338594 |
171800 |
303000 |
d) Over 3 months to 6 months |
110736 |
119516 |
507515 |
443419 |
159583 |
336928 |
241500 |
306800 |
e) Over 6 months to one year |
217858 |
199404 |
759670 |
713432 |
305969 |
536733 |
413400 |
619000 |
f) Over one year to 3 years |
428057 |
350124 |
4720545 |
4515665 |
1321899 |
1686729 |
673700 |
727500 |
g) Over 3 years to 5 years |
117526 |
119955 |
250850 |
245299 |
181638 |
209936 |
286800 |
228600 |
h) Over 5 years |
191628 |
295706 |
141165 |
2007719 |
491591 |
595230 |
587600 |
1208700 |
II. Borrowings |
2476 |
1007 |
66216 |
128906 |
28956 |
2531 |
38800 |
33600 |
a) 1 -14 days |
839 |
877 |
1902 |
1624 |
206 |
181 |
38800 |
17200 |
b) 15-28 days |
0 |
0 |
4801 |
11617 |
0 |
0 |
0 |
0 |
c) 29 days to 3 months |
74 |
33 |
1590 |
36576 |
265 |
218 |
0 |
0 |
d) Over 3 months to 6 months |
347 |
26 |
36370 |
19079 |
46 |
52 |
0 |
0 |
e) Over 6 months to one year |
346 |
34 |
1131 |
13052 |
320 |
326 |
0 |
0 |
f) Over one year to 3 years |
779 |
31 |
19637 |
46735 |
7347 |
863 |
0 |
16400 |
g) Over 3 years to 5 years |
83 |
2 |
258 |
173 |
20199 |
317 |
0 |
0 |
h) Over 5 years |
8 |
4 |
527 |
50 |
573 |
574 |
0 |
0 |
III. Loans and Advances |
586915 |
600044 |
4022812 |
4722472 |
1241498 |
1734747 |
1488000 |
1933500 |
a) 1 -14 days |
43728 |
30290 |
267835 |
432255 |
143108 |
233353 |
493400 |
217900 |
b) 15-28 days |
7128 |
7238 |
95610 |
110661 |
5464 |
12987 |
44700 |
80200 |
c) 29 days to 3 months |
26865 |
24988 |
252684 |
331367 |
76334 |
57520 |
127700 |
203200 |
d) Over 3 months to 6 months |
51679 |
57561 |
403443 |
531863 |
72400 |
75624 |
72600 |
155300 |
e) Over 6 months to one year |
31877 |
35533 |
503285 |
655110 |
142089 |
152022 |
86400 |
153500 |
f) Over one year to 3 years |
301455 |
85685 |
1383407 |
1453610 |
571239 |
759743 |
191100 |
254000 |
g) Over 3 years to 5 years |
52902 |
162296 |
472028 |
543319 |
86013 |
185742 |
185600 |
215000 |
h) Over 5 years |
71281 |
196453 |
644520 |
664287 |
144851 |
257756 |
286500 |
654400 |
Source: Annual accounts of banks of respective years. |
TABLE B9 : MATURITY PROFILE OF SELECTED ITEMS OF LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS : 2003 AND 2004 |
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NATIONALISED BANKS |
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|
|
|
|
|
|
(Amount in Rs. Lakh) |
||
|
As on March 31 |
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Maturity-wise |
Punjab & Sind Bank |
Punjab National Bank |
Syndicate Bank |
UCO Bank |
||||
Liabilities/Assets |
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
2003 |
2004 |
|
(25) |
(26) |
(27) |
(28) |
(29) |
(30) |
(31) |
(32) |
IV. Investments (at book value) |
623748 |
677660 |
3403005 |
4212549 |
1365218 |
1771628 |
1345900 |
1699600 |
a) 1 -14 days |
5754 |
6045 |
79299 |
3500 |
38820 |
8888 |
142200 |
225600 |
b) 15-28 days |
0 |
1949 |
32088 |
50962 |
11247 |
8811 |
25800 |
12500 |
c) 29 days to 3 months |
3406 |
7488 |
30669 |
60200 |
35053 |
29246 |
62500 |
25900 |
d) Over 3 months to 6 months |
4329 |
7241 |
23425 |
20794 |
23196 |
10391 |
73100 |
9900 |
e) Over 6 months to one year |
28954 |
19788 |
46035 |
37595 |
26516 |
11474 |
124500 |
71900 |
f) Over one year to 3 years |
91993 |
97057 |
368210 |
340730 |
176999 |
199716 |
404800 |
244900 |
g) Over 3 years to 5 years |
93141 |
121264 |
368356 |
550630 |
175561 |
187561 |
191900 |
267000 |
h) Over 5 years |
396171 |
416828 |
2454923 |
3148138 |
877826 |
1315541 |
321100 |
841900 |
V. Foreign Currency Assets |
48513 |
47576 |
120702 |
254642 |
203554 |
349976 |
278000 |
298200 |
a) 1 -14 days |
15402 |
20072 |
15118 |
87684 |
0 |
29654 |
92700 |
72800 |
b) 15-28 days |
4225 |
3877 |
1317 |
14828 |
48481 |
8984 |
15300 |
29900 |
c) 29 days to 3 months |
10245 |
7102 |
32081 |
60590 |
89653 |
8602 |
43000 |
58900 |
d) Over 3 months to 6 months |
11487 |
10641 |
55056 |
70843 |
33023 |
84072 |
29500 |
36700 |
e) Over 6 months to one year |
2619 |
2040 |
2335 |
12856 |
23137 |
61783 |
4000 |
18300 |
f) Over one year to 3 years |
4535 |
3844 |
10100 |
5842 |
9260 |
54407 |
31300 |
38300 |
g) Over 3 years to 5 years |
0 |
0 |
1660 |
1587 |
0 |
97828 |
36200 |
19700 |
h) Over 5 years |
0 |
0 |
3035 |
412 |
0 |
4646 |
26000 |
23600 |
VI. Foreign Currency Liabilities |
23180 |
24943 |
110155 |
86268 |
191224 |
252997 |
259500 |
278800 |
a) 1 -14 days |
3309 |
3236 |
19690 |
8933 |
0 |
73576 |
75400 |
76500 |
b) 15-28 days |
657 |
738 |
6657 |
1639 |
46349 |
44021 |
13700 |
27800 |
c) 29 days to 3 months |
2210 |
2045 |
6210 |
4850 |
74229 |
13216 |
22300 |
24000 |
d) Over 3 months to 6 months |
3517 |
4073 |
12155 |
6827 |
35208 |
14775 |
21900 |
33800 |
e) Over 6 months to one year |
7331 |
7806 |
18047 |
17607 |
21471 |
9363 |
21500 |
22100 |
f) Over one year to 3 years |
6156 |
7045 |
46957 |
44594 |
13346 |
82967 |
34400 |
42100 |
g) Over 3 years to 5 years |
0 |
0 |
401 |
934 |
6 |
15079 |
29600 |
17900 |
h) Over 5 years |
0 |
0 |
38 |
884 |
615 |
0 |
40700 |
34600 |
Source: Annual accounts of banks of respective years. |