Table 3.1 : Bank Group-Wise Liabilities And Assets of Scheduled Commercial Banks In India : 2012 and 2013 - ఆర్బిఐ - Reserve Bank of India
Table 3.1 : Bank Group-Wise Liabilities And Assets of Scheduled Commercial Banks In India : 2012 and 2013
(Amount in ` Billion) |
||||||||
Items |
SBI and its |
Nationalised |
Public Sector |
Old Private Sector Banks |
||||
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
Number of reporting banks |
6 |
6 |
20 |
20 |
26 |
26 |
13 |
13 |
Liabilities |
|
|
|
|
|
|
|
|
1. Capital |
11.53 |
11.66 |
170.96 |
178.77 |
182.50 |
190.44 |
13.16 |
13.97 |
2. Reserves and Surplus |
1060.96 |
1241.53 |
2312.29 |
2654.06 |
3373.25 |
3895.59 |
265.80 |
316.16 |
2.1. Statutory Reserves |
439.17 |
493.54 |
552.12 |
635.65 |
991.30 |
1129.19 |
69.77 |
83.42 |
2.2. Capital Reserves |
19.70 |
20.66 |
254.55 |
264.21 |
274.25 |
284.86 |
8.00 |
8.66 |
2.3. Share Premium |
306.50 |
336.37 |
473.38 |
560.69 |
779.88 |
897.06 |
86.80 |
97.83 |
2.4. Investment Fluctuations Reserves |
0.26 |
0.52 |
6.62 |
6.79 |
6.88 |
7.30 |
2.06 |
2.37 |
2.5. Revenue and other Reserves |
295.26 |
390.42 |
966.00 |
1125.86 |
1261.26 |
1516.28 |
89.43 |
108.35 |
2.6. Balance of Profit |
0.07 |
0.02 |
59.61 |
60.87 |
59.68 |
60.88 |
9.74 |
15.53 |
3. Deposits |
14050.24 |
16184.45 |
35969.89 |
41272.52 |
50020.13 |
57456.97 |
3158.91 |
3738.96 |
Type-wise |
|
|
|
|
|
|
|
|
3A.1. Demand deposits |
1196.54 |
1361.00 |
2647.29 |
3128.69 |
3843.83 |
4489.68 |
258.02 |
298.15 |
(i) From banks |
86.50 |
87.11 |
100.43 |
317.73 |
186.93 |
404.83 |
5.31 |
6.61 |
(ii) From others |
1110.04 |
1273.89 |
2546.86 |
2810.96 |
3656.90 |
4084.85 |
252.71 |
291.54 |
3A.2. Savings bank deposits |
4536.54 |
5236.25 |
7603.95 |
8656.42 |
12140.49 |
13892.67 |
577.82 |
663.89 |
3A.3. Term deposits |
8317.16 |
9587.20 |
25718.65 |
29487.41 |
34035.81 |
39074.62 |
2323.07 |
2776.92 |
(i) From banks |
185.88 |
297.26 |
2202.12 |
2560.23 |
2388.00 |
2857.48 |
208.06 |
225.20 |
(ii) From others |
8131.27 |
9289.95 |
23516.54 |
26927.19 |
31647.81 |
36217.14 |
2115.01 |
2551.72 |
Location-wise |
|
|
|
|
|
|
|
|
3B.1. Deposits of branches in India |
13435.91 |
15458.42 |
33662.02 |
38249.33 |
47097.93 |
53707.75 |
3158.91 |
3738.96 |
3B.2. Deposits of branches outside India |
614.33 |
726.03 |
2307.87 |
3023.20 |
2922.21 |
3749.23 |
- |
- |
4. Borrowings |
1587.82 |
2019.15 |
3061.51 |
3552.15 |
4649.32 |
5571.30 |
197.79 |
253.80 |
Note : $ Includes IDBI Bank Ltd. |
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA - 2012 AND 2013 AS ON MARCH 31 (Contd.) |
||||||||
(Amount in ` Billion) |
||||||||
Items |
SBI and its |
Nationalised |
Public Sector |
Old Private Sector Banks |
||||
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
4.1. Borrowings in India |
720.45 |
891.88 |
2043.48 |
2140.99 |
2763.93 |
3032.87 |
140.40 |
179.35 |
(i) From Reserve Bank of India |
6.60 |
158.70 |
351.49 |
353.05 |
358.09 |
511.76 |
22.51 |
25.65 |
(ii) From other banks |
93.72 |
81.48 |
53.04 |
99.40 |
146.76 |
180.89 |
9.75 |
7.67 |
(iii) From other institutions and agencies |
620.13 |
651.70 |
1638.95 |
1688.53 |
2259.08 |
2340.22 |
108.14 |
146.03 |
4.2. Borrowings outside India |
867.37 |
1127.27 |
1018.03 |
1411.17 |
1885.39 |
2538.44 |
57.40 |
74.45 |
Secured borrowings included in 4 |
58.93 |
101.05 |
324.96 |
252.74 |
383.89 |
353.79 |
12.47 |
38.31 |
5. Other liabilities and provisions |
1002.25 |
1200.40 |
1168.74 |
1304.98 |
2170.99 |
2505.38 |
113.53 |
124.44 |
5.1. Bills payable |
250.34 |
243.53 |
144.44 |
147.73 |
394.78 |
391.26 |
17.19 |
19.12 |
5.2. Inter-office adjustment |
- |
163.84 |
12.24 |
29.73 |
12.24 |
193.57 |
2.99 |
2.63 |
5.3. Interest accrued |
149.76 |
179.00 |
165.98 |
173.89 |
315.75 |
352.89 |
16.58 |
14.59 |
5.4. Subordinate debt. |
- |
- |
- |
- |
- |
- |
- |
- |
5.5. Deferred tax liabilities |
3.25 |
7.18 |
21.52 |
11.19 |
24.77 |
18.38 |
2.89 |
1.35 |
5.6. Others (including provisions) |
598.90 |
606.84 |
824.57 |
942.43 |
1423.47 |
1549.28 |
73.87 |
86.74 |
Total Liabilities |
17712.80 |
20657.19 |
42683.40 |
48962.49 |
60396.20 |
69619.67 |
3749.20 |
4447.33 |
6. Cash and balances with RBI |
790.88 |
893.18 |
2009.33 |
1900.54 |
2800.21 |
2793.72 |
167.41 |
167.02 |
6.1. Cash in hand |
129.71 |
133.14 |
148.18 |
172.89 |
277.88 |
306.03 |
23.89 |
29.27 |
6.2. Balances with RBI |
661.17 |
760.05 |
1861.15 |
1727.65 |
2522.33 |
2487.70 |
143.52 |
137.75 |
(i) In current account |
661.15 |
760.05 |
1857.57 |
1674.06 |
2518.72 |
2434.11 |
143.52 |
137.75 |
(ii) In other account |
0.03 |
- |
3.58 |
53.59 |
3.61 |
53.59 |
- |
- |
7. Balances with banks in India and money at call and short notice |
482.30 |
519.74 |
1277.62 |
1909.23 |
1759.93 |
2428.97 |
70.52 |
107.58 |
7.1. In India |
154.81 |
133.71 |
442.33 |
703.15 |
597.14 |
836.86 |
61.24 |
95.82 |
7.1.1. Balances with banks |
57.51 |
45.40 |
238.33 |
284.64 |
295.85 |
330.04 |
36.06 |
67.40 |
(i) In current account |
9.66 |
8.78 |
57.69 |
64.86 |
67.35 |
73.64 |
7.74 |
11.37 |
(ii) In other deposit accounts |
47.86 |
36.63 |
180.64 |
219.78 |
228.50 |
256.40 |
28.32 |
56.03 |
7.1.2. Money at call and short notice |
97.29 |
88.31 |
204.00 |
418.51 |
301.29 |
506.82 |
25.18 |
28.42 |
(i) with banks |
74.23 |
81.23 |
156.53 |
269.62 |
230.76 |
350.85 |
5.45 |
20.75 |
(ii) with other institutions |
23.07 |
7.08 |
47.47 |
148.89 |
70.53 |
155.97 |
19.73 |
7.67 |
7.2. Outside India |
327.50 |
386.02 |
835.29 |
1206.09 |
1162.79 |
1592.11 |
9.27 |
11.76 |
7.2.1. Balances with banks |
243.62 |
306.09 |
602.71 |
937.38 |
846.33 |
1243.47 |
5.09 |
8.39 |
(i) In current account |
239.40 |
262.74 |
178.46 |
241.29 |
417.86 |
504.03 |
3.31 |
4.59 |
(ii) In other deposit accounts |
4.22 |
43.35 |
424.25 |
696.09 |
428.47 |
739.44 |
1.78 |
3.80 |
7.2.2. Money at call and short notice |
83.88 |
79.93 |
232.59 |
268.71 |
316.46 |
348.64 |
4.19 |
3.38 |
Investments |
4173.22 |
4729.98 |
10899.48 |
12861.08 |
15072.70 |
17591.06 |
1093.33 |
1344.99 |
Note : $ Includes IDBI Bank Ltd. |
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA - 2012 AND 2013 AS ON MARCH 31 (Contd.) |
||||||||
(Amount in ` Billion) |
||||||||
Items |
SBI and its |
Nationalised |
Public Sector |
Old Private Sector Banks |
||||
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
8.1. Investment in India in |
4061.45 |
4623.25 |
10757.40 |
12703.39 |
14818.85 |
17326.65 |
1093.33 |
1344.99 |
(i) Government securities |
3494.45 |
3765.50 |
9031.11 |
10449.90 |
12525.56 |
14215.40 |
785.48 |
972.09 |
(ii) Other approved securities |
0.20 |
0.05 |
9.69 |
7.25 |
9.89 |
7.30 |
0.18 |
0.07 |
(iii) Shares |
41.14 |
46.96 |
158.36 |
174.03 |
199.51 |
220.98 |
10.78 |
10.88 |
(iv) Debentures and Bonds |
143.66 |
305.28 |
512.95 |
634.63 |
656.61 |
939.91 |
56.66 |
68.99 |
(v) Subsidiaries and/or joint ventures |
54.92 |
55.28 |
41.04 |
42.39 |
95.96 |
97.67 |
3.98 |
4.00 |
(vi) Others |
327.08 |
450.18 |
1004.25 |
1395.20 |
1331.32 |
1845.38 |
236.26 |
288.96 |
8.2. Investment outside India in |
111.77 |
106.73 |
142.08 |
157.68 |
253.85 |
264.41 |
- |
- |
(i) Government securities |
18.66 |
28.60 |
66.70 |
71.76 |
85.36 |
100.37 |
- |
- |
(ii) Subsidiaries and/or joint ventures |
16.03 |
16.03 |
20.53 |
27.01 |
36.56 |
43.04 |
- |
- |
(iii) Others |
77.08 |
62.10 |
54.85 |
58.91 |
131.93 |
121.00 |
- |
- |
9. Advances |
11519.91 |
13792.24 |
27253.16 |
30935.50 |
38773.07 |
44727.74 |
2300.79 |
2699.37 |
Type-wise |
|
|
|
|
|
|
|
|
9A. (i) Bills purchased and discounted |
888.15 |
1006.84 |
1418.09 |
1778.61 |
2306.24 |
2785.46 |
113.27 |
108.69 |
(ii) Cash credits,overdrafts & loans repayable on demand |
4957.87 |
6117.87 |
11123.65 |
12677.78 |
16081.52 |
18795.65 |
1120.10 |
1409.65 |
(iii) Term loans |
5673.89 |
6667.53 |
14711.43 |
16479.10 |
20385.32 |
23146.63 |
1067.43 |
1181.04 |
Security-wise |
|
|
|
|
|
|
|
|
9B. (i) Secured by tangible assets |
8705.30 |
10632.06 |
20598.83 |
24524.95 |
29304.12 |
35157.01 |
1956.52 |
2367.97 |
(ii) Covered by Bank/Government Guarantees |
833.32 |
1004.11 |
1895.90 |
2569.25 |
2729.21 |
3573.37 |
87.27 |
88.59 |
(iii) Unsecured |
1981.30 |
2156.07 |
4758.44 |
3841.30 |
6739.74 |
5997.36 |
257.00 |
242.81 |
Sector-wise & Location-wise |
|
|
|
|
|
|
|
|
9C.I. Advances in India |
10179.14 |
12118.16 |
24701.78 |
27613.39 |
34880.91 |
39731.55 |
2300.79 |
2699.37 |
(i) Priority sectors |
3457.80 |
3759.63 |
7717.70 |
8762.73 |
11175.50 |
12522.36 |
727.96 |
858.58 |
(ii) Public sectors |
720.40 |
736.37 |
3009.77 |
3257.67 |
3730.16 |
3994.04 |
79.70 |
83.50 |
(iii) Banks |
1.81 |
3.12 |
184.30 |
183.44 |
186.11 |
186.56 |
5.79 |
1.76 |
(iv) Others |
5999.13 |
7619.05 |
13790.01 |
15409.55 |
19789.13 |
23028.60 |
1487.34 |
1755.53 |
Note : $ Includes IDBI Bank Ltd. |
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA - 2012 AND 2013 AS ON MARCH 31 (Contd.) |
||||||||
(Amount in ` Billion) |
||||||||
Items |
SBI and its |
Nationalised |
Public Sector |
Old Private Sector Banks |
||||
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
9C.II. Advances outside India |
1340.78 |
1674.08 |
2551.38 |
3322.11 |
3892.16 |
4996.19 |
- |
- |
(i) Due from banks |
170.86 |
329.15 |
576.70 |
784.20 |
747.56 |
1113.35 |
- |
- |
(ii) Due from others |
1169.91 |
1344.92 |
1974.68 |
2537.91 |
3144.60 |
3882.84 |
- |
- |
a) Bills purchased and discounted |
215.68 |
212.17 |
517.86 |
709.79 |
733.54 |
921.95 |
- |
- |
b) Syndicate loans |
474.00 |
562.59 |
493.01 |
619.38 |
967.01 |
1181.97 |
- |
- |
c) Others |
480.23 |
570.17 |
963.81 |
1208.74 |
1444.04 |
1778.91 |
- |
- |
10. Fixed Assets |
74.16 |
91.61 |
308.84 |
334.39 |
383.00 |
426.00 |
26.82 |
30.82 |
10.1. Premises |
22.66 |
28.83 |
241.31 |
253.62 |
263.97 |
282.45 |
15.27 |
16.07 |
10.2. Fixed assets under construction |
3.47 |
4.52 |
1.86 |
2.68 |
5.33 |
7.20 |
0.40 |
0.60 |
10.3. Other fixed assets |
48.03 |
58.25 |
65.66 |
78.09 |
113.69 |
136.34 |
11.16 |
14.16 |
11. Other Assets |
672.32 |
630.44 |
934.96 |
1021.74 |
1607.28 |
1652.19 |
90.33 |
97.55 |
(i) Inter - office adjustments (net) |
31.44 |
13.33 |
27.82 |
21.52 |
59.26 |
34.85 |
1.02 |
0.88 |
(ii) Interest accrued |
145.24 |
159.30 |
274.34 |
301.80 |
419.58 |
461.10 |
24.30 |
26.57 |
(iii) Tax paid in advance/tax deducted at source |
97.25 |
70.30 |
245.92 |
286.15 |
343.17 |
356.45 |
23.25 |
24.40 |
(iv) Stationery and stamps |
1.23 |
1.22 |
1.25 |
1.27 |
2.48 |
2.49 |
0.22 |
0.28 |
(v) Others |
397.16 |
386.29 |
385.64 |
411.00 |
782.80 |
797.30 |
41.54 |
45.41 |
Total Assets |
17712.80 |
20657.19 |
42683.40 |
48962.49 |
60396.20 |
69619.67 |
3749.20 |
4447.33 |
Note : $ Includes IDBI Bank Ltd. |
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA - 2012 AND 2013 AS ON MARCH 31 (Contd.) |
||||||||
(Amount in ` Billion) |
||||||||
Items |
New Private Sector Banks |
Private Sector |
Foreign |
All Scheduled |
||||
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
Number of reporting banks |
7 |
7 |
20 |
20 |
41 |
43 |
87 |
89 |
Liabilities |
|
|
|
|
|
|
|
|
1. Capital |
34.67 |
36.02 |
47.83 |
49.99 |
406.31 |
462.68 |
636.64 |
703.10 |
2. Reserves and Surplus |
1279.32 |
1563.31 |
1545.12 |
1879.47 |
530.60 |
611.14 |
5448.98 |
6386.20 |
2.1. Statutory Reserves |
204.55 |
264.70 |
274.32 |
348.12 |
155.96 |
185.84 |
1421.58 |
1663.16 |
2.2. Capital Reserves |
34.08 |
39.75 |
42.08 |
48.41 |
26.53 |
27.45 |
342.86 |
360.72 |
2.3. Share Premium |
625.64 |
715.86 |
712.44 |
813.69 |
- |
- |
1492.32 |
1710.75 |
2.4. Investment Fluctuations Reserves |
0.38 |
1.30 |
2.44 |
3.67 |
5.63 |
9.87 |
14.95 |
20.84 |
2.5. Revenue and other Reserves |
139.98 |
162.11 |
229.42 |
270.46 |
263.19 |
296.42 |
1753.87 |
2083.15 |
2.6. Balance of Profit |
274.69 |
379.60 |
284.43 |
395.13 |
79.30 |
91.57 |
423.41 |
547.58 |
3. Deposits |
8586.96 |
10219.39 |
11745.87 |
13958.36 |
2769.48 |
2880.00 |
64535.49 |
74295.32 |
Type-wise |
|
|
|
|
|
|
|
|
3A.1. Demand deposits |
1400.84 |
1616.07 |
1658.86 |
1914.22 |
800.83 |
738.11 |
6303.53 |
7142.01 |
(i) From banks |
56.33 |
72.38 |
61.64 |
78.99 |
26.90 |
19.85 |
275.47 |
503.67 |
(ii) From others |
1344.51 |
1543.69 |
1597.22 |
1835.23 |
773.93 |
718.25 |
6028.06 |
6638.33 |
3A.2. Savings bank deposits |
2151.56 |
2593.36 |
2729.38 |
3257.25 |
418.69 |
430.70 |
15288.57 |
17580.62 |
3A.3. Term deposits |
5034.56 |
6009.97 |
7357.63 |
8786.89 |
1549.95 |
1711.19 |
42943.39 |
49572.70 |
(i) From banks |
291.58 |
353.47 |
499.63 |
578.67 |
64.13 |
65.39 |
2951.76 |
3501.55 |
(ii) From others |
4742.99 |
5656.49 |
6858.00 |
8208.21 |
1485.82 |
1645.81 |
39991.63 |
46071.15 |
Location-wise |
|
|
|
|
|
|
|
|
3B.1. Deposits of branches in India |
8339.77 |
9888.21 |
11498.69 |
13627.17 |
2769.48 |
2879.78 |
61366.09 |
70214.70 |
3B.2. Deposits of branches outside India |
247.19 |
331.18 |
247.19 |
331.18 |
- |
0.22 |
3169.39 |
4080.63 |
Source : Annual accounts of banks. |
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA - 2012 AND 2013 AS ON MARCH 31 (Contd.) |
||||||||
(Amount in ` Billion) |
||||||||
Items |
New Private Sector Banks |
Private Sector |
Foreign |
All Scheduled |
||||
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
4. Borrowings |
2386.41 |
2746.17 |
2584.20 |
2999.98 |
1204.22 |
1534.04 |
8437.74 |
10105.32 |
4.1. Borrowings in India |
1131.69 |
1354.08 |
1272.09 |
1533.43 |
625.64 |
868.72 |
4661.65 |
5435.01 |
(i) From Reserve Bank of India |
251.69 |
296.03 |
274.20 |
321.68 |
349.04 |
474.68 |
981.33 |
1308.11 |
(ii) From other banks |
105.75 |
142.29 |
115.50 |
149.95 |
153.42 |
161.93 |
415.68 |
492.77 |
(iii) From other institutions and agencies |
774.24 |
915.76 |
882.39 |
1061.79 |
123.17 |
232.12 |
3264.64 |
3634.13 |
4.2. Borrowings outside India |
1254.72 |
1392.10 |
1312.11 |
1466.55 |
578.59 |
665.32 |
3776.09 |
4670.31 |
Secured borrowings included in 4 |
34.26 |
62.71 |
46.73 |
101.02 |
454.69 |
676.08 |
885.31 |
1130.88 |
5. Other liabilities and provisions |
894.36 |
885.81 |
1007.89 |
1010.24 |
971.66 |
727.77 |
4150.55 |
4243.39 |
5.1. Bills payable |
133.76 |
142.08 |
150.95 |
161.20 |
36.62 |
30.78 |
582.36 |
583.23 |
5.2. Inter-office adjustment |
3.25 |
1.58 |
6.25 |
4.21 |
0.20 |
0.05 |
18.68 |
197.83 |
5.3. Interest accrued |
104.00 |
118.41 |
120.58 |
133.00 |
28.41 |
28.41 |
464.74 |
514.30 |
5.4. Subordinate debt. |
- |
- |
- |
- |
- |
- |
- |
- |
5.5. Deferred tax liabilities |
- |
- |
2.89 |
1.35 |
0.02 |
0.04 |
27.67 |
19.77 |
5.6. Others (including provisions) |
653.34 |
623.74 |
727.21 |
710.48 |
905.93 |
668.49 |
3056.61 |
2928.25 |
Total Liabilities |
13181.71 |
15450.70 |
16930.91 |
19898.04 |
5882.28 |
6215.63 |
83209.39 |
95733.34 |
6. Cash and balances with RBI |
538.15 |
576.47 |
705.56 |
743.50 |
231.69 |
214.52 |
3737.46 |
3751.74 |
6.1. Cash in hand |
134.05 |
147.20 |
157.94 |
176.47 |
6.76 |
6.58 |
442.58 |
489.08 |
6.2. Balances with RBI |
404.11 |
429.27 |
547.62 |
567.02 |
224.92 |
207.94 |
3294.87 |
3262.66 |
(i) In current account |
402.11 |
427.27 |
545.62 |
565.02 |
191.86 |
188.62 |
3256.20 |
3187.75 |
(ii) In other account |
2.00 |
2.00 |
2.00 |
2.00 |
33.07 |
19.31 |
38.67 |
74.91 |
7. Balances with banks in India and money at call and short notice |
295.02 |
469.72 |
365.54 |
577.30 |
311.30 |
344.60 |
2436.76 |
3350.87 |
7.1. In India |
119.76 |
214.04 |
181.00 |
309.86 |
156.91 |
163.06 |
935.05 |
1309.78 |
7.1.1. Balances with banks |
82.16 |
126.76 |
118.22 |
194.16 |
116.18 |
142.92 |
530.25 |
667.11 |
(i) In current account |
12.18 |
15.66 |
19.93 |
27.02 |
15.01 |
12.46 |
102.29 |
113.13 |
(ii) In other deposit accounts |
69.97 |
111.10 |
98.29 |
167.13 |
101.16 |
130.45 |
427.96 |
553.99 |
7.1.2. Money at call and short notice |
37.60 |
87.28 |
62.78 |
115.70 |
40.73 |
20.14 |
404.80 |
642.66 |
(i) with banks |
7.79 |
76.26 |
13.24 |
97.01 |
16.72 |
16.37 |
260.72 |
464.24 |
(ii) with other institutions |
29.81 |
11.02 |
49.54 |
18.69 |
24.01 |
3.76 |
144.08 |
178.42 |
7.2. Outside India |
175.26 |
255.68 |
184.54 |
267.44 |
154.39 |
181.55 |
1501.71 |
2041.10 |
7.2.1. Balances with banks |
82.94 |
159.04 |
88.03 |
167.43 |
123.19 |
160.09 |
1057.54 |
1570.99 |
(i) In current account |
35.38 |
43.69 |
38.69 |
48.27 |
58.27 |
49.79 |
514.82 |
602.10 |
(ii) In other deposit accounts |
47.56 |
115.35 |
49.34 |
119.15 |
64.92 |
110.30 |
542.72 |
968.89 |
7.2.2. Money at call and short notice |
92.32 |
96.64 |
96.51 |
100.02 |
31.20 |
21.46 |
444.17 |
470.11 |
Source : Annual accounts of banks. |
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA - 2012 AND 2013 AS ON MARCH 31 (Contd.) |
||||||||
(Amount in ` Billion) |
||||||||
Items |
New Private Sector Banks |
Private Sector |
Foreign |
All Scheduled |
||||
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
8. Investments |
4166.49 |
4916.07 |
5259.82 |
6261.06 |
2006.51 |
2280.63 |
22339.03 |
26132.75 |
8.1. Investment in India in |
4077.68 |
4824.38 |
5171.02 |
6169.37 |
2006.51 |
2280.63 |
21996.38 |
25776.65 |
(i) Government securities |
2682.72 |
3111.71 |
3468.19 |
4083.80 |
1376.59 |
1671.88 |
17370.34 |
19971.08 |
(ii) Other approved securities |
0.01 |
0.00 |
0.19 |
0.07 |
0.00 |
3.00 |
10.08 |
10.37 |
(iii) Shares |
32.25 |
35.73 |
43.03 |
46.61 |
1.31 |
1.56 |
243.84 |
269.15 |
(iv) Debentures and Bonds |
529.75 |
606.15 |
586.40 |
675.14 |
54.34 |
100.67 |
1297.35 |
1715.72 |
(v) Subsidiaries and/or joint ventures |
79.14 |
81.10 |
83.12 |
85.10 |
- |
- |
179.08 |
182.77 |
(vi) Others |
753.83 |
989.68 |
990.08 |
1278.64 |
574.28 |
503.52 |
2895.69 |
3627.55 |
8.2. Investment outside India in |
88.81 |
91.69 |
88.81 |
91.69 |
- |
- |
342.65 |
356.10 |
(i) Government securities |
5.57 |
9.26 |
5.57 |
9.26 |
- |
- |
90.93 |
109.63 |
(ii) Subsidiaries and/or joint ventures |
67.00 |
62.61 |
67.00 |
62.61 |
- |
- |
103.56 |
105.65 |
(iii) Others |
16.23 |
19.82 |
16.23 |
19.82 |
- |
- |
148.16 |
140.82 |
9. Advances |
7363.23 |
8733.11 |
9664.03 |
11432.49 |
2298.49 |
2636.80 |
50735.59 |
58797.03 |
Type-wise |
|
|
|
|
|
|
|
|
9A. (i) Bills purchased and discounted |
243.93 |
276.50 |
357.21 |
385.18 |
257.47 |
332.66 |
2920.91 |
3503.30 |
(ii) Cash credits,overdrafts & loans repayable on demand |
1756.72 |
2295.60 |
2876.82 |
3705.25 |
1110.79 |
1274.18 |
20069.13 |
23775.08 |
(iii) Term loans |
5362.58 |
6161.02 |
6430.00 |
7342.05 |
930.22 |
1029.95 |
27745.54 |
31518.64 |
Security-wise |
|
|
|
|
|
|
|
|
9B. (i) Secured by tangible assets |
5922.16 |
7032.74 |
7878.69 |
9400.72 |
959.97 |
1062.50 |
38142.78 |
45620.23 |
(ii) Covered by Bank/Government Guarantees |
144.33 |
116.11 |
231.60 |
204.69 |
167.15 |
185.37 |
3127.96 |
3963.43 |
(iii) Unsecured |
1296.74 |
1584.26 |
1553.74 |
1827.07 |
1163.24 |
1380.78 |
9456.72 |
9205.22 |
Sector-wise & Location-wise |
|
|
|
|
|
|
|
|
9C.I. Advances in India |
6356.97 |
7602.26 |
8657.76 |
10301.63 |
2298.49 |
2635.16 |
45837.16 |
52668.35 |
(i) Priority sectors |
2081.96 |
2260.19 |
2809.92 |
3118.77 |
725.08 |
769.88 |
14710.50 |
16411.01 |
(ii) Public sectors |
121.84 |
145.74 |
201.54 |
229.25 |
19.10 |
29.85 |
3950.81 |
4253.14 |
(iii) Banks |
8.84 |
2.57 |
14.63 |
4.33 |
14.68 |
60.84 |
215.42 |
251.72 |
(iv) Others |
4144.33 |
5193.75 |
5631.67 |
6949.28 |
1539.63 |
1774.59 |
26960.43 |
31752.48 |
Source : Annual accounts of banks. |
TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA - 2012 AND 2013 AS ON MARCH 31 (Concld.) |
||||||||
(Amount in ` Billion) |
||||||||
Items |
New Private Sector Banks |
Private Sector |
Foreign |
All Scheduled |
||||
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
|
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
|
9C.II. Advances outside India |
1006.27 |
1130.86 |
1006.27 |
1130.86 |
- |
1.64 |
4898.43 |
6128.68 |
(i) Due from banks |
41.83 |
46.95 |
41.83 |
46.95 |
- |
1.64 |
789.39 |
1161.94 |
(ii) Due from others |
964.44 |
1083.91 |
964.44 |
1083.91 |
- |
- |
4109.04 |
4966.74 |
a) Bills purchased and discounted |
11.57 |
20.53 |
11.57 |
20.53 |
- |
- |
745.12 |
942.49 |
b) Syndicate loans |
768.35 |
803.98 |
768.35 |
803.98 |
- |
- |
1735.36 |
1985.95 |
c) Others |
184.51 |
259.40 |
184.51 |
259.40 |
- |
- |
1628.56 |
2038.31 |
10. Fixed Assets |
106.90 |
113.95 |
133.72 |
144.77 |
50.18 |
60.41 |
566.90 |
631.18 |
10.1. Premises |
54.64 |
55.93 |
69.91 |
72.00 |
38.84 |
39.56 |
372.72 |
394.02 |
10.2. Fixed assets under construction |
1.80 |
1.55 |
2.20 |
2.15 |
1.31 |
10.58 |
8.84 |
19.93 |
10.3. Other fixed assets |
50.45 |
56.47 |
61.61 |
70.63 |
10.03 |
10.27 |
185.33 |
217.23 |
11. Other Assets |
711.92 |
641.37 |
802.25 |
738.92 |
983.62 |
678.67 |
3393.16 |
3069.77 |
(i) Inter - office adjustments (net) |
- |
- |
1.02 |
0.88 |
2.37 |
1.56 |
62.65 |
37.30 |
(ii) Interest accrued |
117.75 |
138.86 |
142.05 |
165.43 |
32.85 |
38.95 |
594.47 |
665.49 |
(iii) Tax paid in advance/tax deducted at source |
49.95 |
55.03 |
73.20 |
79.43 |
35.69 |
36.72 |
452.06 |
472.60 |
(iv) Stationery and stamps |
0.25 |
0.24 |
0.47 |
0.53 |
0.01 |
0.01 |
2.95 |
3.02 |
(v) Others |
543.97 |
447.25 |
585.51 |
492.65 |
912.77 |
601.43 |
2281.08 |
1891.37 |
Total Assets |
13181.71 |
15450.70 |
16930.91 |
19898.04 |
5881.79 |
6215.63 |
83208.90 |
95733.34 |
Source : Annual accounts of banks. |