RbiSearchHeader

Press escape key to go back

Past Searches

Theme
Theme
Text Size
Text Size
S3

RbiAnnouncementWeb

RBI Announcements
RBI Announcements

Asset Publisher

83569058

Table 3.1 : Bank Group-Wise Liablities and Assets of Scheduled Commercial Banks in India : 2004 And 2005

                                   
                             

(Amount in Rs. crore)

                                   
                       

As on March 31

       
                                   

Items

             

State Bank

of India

Nationalised

Foreign

 

Other Scheduled

All Scheduled

               

and its Associates

Banks

Banks

 

Commercial Banks

Commercial Banks

                                   
               

2004

2005

2004

2005 $

2004

2005

2004

2005 *

2004

2005 *

                                   
               

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

                                   

Number

of

reporting banks

     

8

8

19

20

33

31

30

28

90

87

Liabilities

                             

1.

Capital

       

1036

1036

13640

14492

4645

7013

3002

3342

22322

25881

2.

Reserve

and Surplus

     

26714

31728

37835

52620

10201

11969

19496

27175

94246

123486

 

2.1.

Statutory Reserves

     

14432

17395

11176

13938

3087

3602

4387

5321

33082

40255

     

(i)

Opening balance

 

12964

14432

8456

11273

2439

3043

3355

4270

27214

33017

     

(ii)

Additions during the Year

1468

2963

2720

2665

648

559

1207

1115

6042

7302

     

(iii)

Deductions

during the

Year

175

64

174

64

 

2.2.

Capital Reserves

     

189

463

2129

4591

1453

1837

956

1002

4726

7891

     

(i)

Opening balance

 

161

189

2120

3522

1254

1443

595

876

4130

6029

     

(ii)

Additions during the Year

28

274

60

1269

199

394

370

130

656

2066

     

(iii)

Deductions

during the

Year

51

200

9

4

60

204

 

2.3.

Share Premium

     

3863

3863

3341

7127

3823

9496

11028

20486

     

(i)

Opening balance

 

3863

3863

3030

4966

3400

3574

10293

12403

     

(ii)

Additions during the Year

311

3301

427

6217

738

9518

     

(iii)

Deductions

during the

Year

1140

4

295

3

1435

 

2.4.

Investment Fluctuations Reserves

6368

7284

8853

10841

1057

1571

2668

2432

18946

22127

     

(i)

Opening balance

 

3363

6368

4366

8925

683

1045

1206

2567

9617

18904

     

(ii)

Additions during the Year

3005

916

4490

2259

377

526

1462

128

9334

3828

     

(iii)

Deductions

during the

Year

3

343

3

263

5

605

 

2.5.

Revenue and other Reserves

 

1856

2721

11965

14389

3280

3837

6706

7782

23807

28728

     

(i)

Opening balance

 

1734

2144

11002

12833

3475

3373

6712

6719

22923

25068

     

(ii)

Additions during the Year

124

577

1380

2022

76

565

720

1162

2299

4326

     

(iii)

Deductions

during the

Year

2

417

466

271

101

726

99

1415

666

 

2.6.

Balance of Profit

     

6

2

371

1734

1324

1122

956

1142

2657

3999

3.

Deposits

(3.1+3.2+3.3)

     

432891

505650

793947

930204

80144

86505

268550

312646

1575527

1834999

 

3.1.

Demand Deposits [(i)+(ii)]

 

63496

71261

77728

92045

21785

26069

40135

45041

203141

234414

     

(i)

From banks

     

9018

9700

2067

3452

591

812

1514

1424

13188

15387

     

(ii)

From others

     

54478

61561

75661

88593

21194

25257

38621

43617

189953

219027

 

3.2.

Savings bank deposits

 

106705

126217

214311

252559

12568

15505

40093

50172

373677

444452

 

3.3.

Term Deposits [(i)+(ii)]

   

262690

308172

501908

585600

45791

44931

188322

217433

998709

1156133

     

(i)

From banks

     

7721

7622

17872

22992

17576

9304

22244

24868

65412

64784

     

(ii)

From others

     

254969

300550

484036

562608

28215

35627

166078

192565

933297

1091349

 

3A.

Deposits of branches

in India

 

424070

491401

766856

897376

80132

86498

267185

308886

1538242

1784160

 

3B.

 

Deposits of branches

outside India

8820

14249

27091

32827

11

7

1364

3759

37287

50841

 

Total (3.A + 3.B)

     

432890

505650

793947

930203

80143

86505

268549

312645

1575529

1835001

Notes : $ Includes IDBI Ltd.
*Excludes Sangli Bank.
Source : Annual accounts of banks of respective years.

 

 

                     

(Amount in

Rs. crore)

                           
               

As on March 31

       
                           

Items

     

State Bank

of India

Nationalised

Foreign

 

Other Scheduled

All Scheduled

       

and its Associates

Banks

Banks

 

Commercial Banks

Commercial Banks

                           
       

2004

2005

2004

2005 $

2004

2005

2004

2005 *

2004

2005 *

                           
       

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

                           

4.

Borrowings

 

16815

23475

13921

69405

25002

30993

40366

44444

96101

168314

 

4.1.

Borrowings in India

 

1668

2093

4633

51794

12693

14885

30362

27655

49354

96425

   

(i) From Reserve Bank of India

 

50

59

27

45

76

103

   

(ii) From other banks

 

195

152

1603

5137

7887

10962

6423

7219

16107

23469

   

(iii) From other institutions and agencies

1473

1941

2980

46598

4779

3923

23939

20391

33171

72853

 

4.2.

Borrowings outside India

 

15147

21382

9288

17611

12309

16108

10004

16789

46747

71889

5.

Other

liabilities and provisions

 

71801

65185

62827

80147

16324

17649

35863

38197

186813

201177

 

(i)

Bills Payable

 

20384

11899

12293

15267

2156

2878

7781

6710

42613

36753

 

(ii)

Inter-office adjustments

 

7359

19010

3600

2257

21

45

869

1212

11849

22524

 

(iii)

Interest accured

 

22088

11839

4170

6280

1350

1395

2674

2499

30282

22013

 

(iv)

Subordinate debt.

 

3653

4030

8011

6948

1167

1172

11491

10935

24323

23085

 

(v)

Deferred Tax Liabilities

 

1

393

890

2

4

187

116

582

1010

 

(vi)

Others (including provisions)

 

18316

18407

34360

48505

11628

12155

12861

16725

77164

95792

                           
 

Total

Liabilities

 

549257

627074

922170

1146868

136316

154129

367277

425804

1975009

2353857

                           

6.

Cash

and balances with RBI

 

26162

25220

58080

64772

7277

6771

21725

21190

113244

117951

 

6.1.

Cash in hand

 

1629

1767

4922

5136

296

346

2119

2368

8966

9616

 

6.2.

Balances with RBI

 

24533

23453

53158

59636

6981

6425

19606

18822

104278

108335

   

(i) In current accoount

 

24533

23453

50552

57883

4540

5693

19606

18722

99231

105751

   

(ii) In other account

 

2606

1753

2441

732

100

5047

2584

7.

Balances with banks and money at

                     
 

call and short notice (7.1+7.2)

 

27334

28068

30115

37202

9660

11260

14854

19548

81958

96077

 

7.1.

In India (7.1.1+7.2.2)

 

18567

20471

17576

24643

6223

8034

11723

14998

54085

68145

 

7.1.1.

Balances with Banks

 

4047

5356

13348

17179

4926

6988

9818

10364

32138

39887

   

(i) In current accoount

 

755

1065

3969

4903

471

669

2262

2525

7456

9162

   

(ii) In other deposit account

 

3292

4291

9379

12276

4455

6319

7556

7839

24682

30725

 

7.1.2

Money at call and short notice

 

14520

15115

4228

7464

1297

1046

1905

4634

21947

28258

   

(i) with Banks

 

14520

14990

2804

5561

962

1040

1452

4161

19736

25751

   

(ii) with other institutions

 

125

1424

1903

335

6

453

473

2211

2507

 

7.2

Outside India (7.2.1+7.2.2)

 

8767

7597

12539

12559

3437

3226

3131

4550

27873

27932

 

7.2.1

Balances with Banks

 

2870

3392

8335

9973

2614

2270

1845

2996

15664

18631

   

(i) In current account

 

2526

1676

2096

1753

572

324

710

1027

5904

4780

   

(ii) In other deposit account

 

344

1716

6239

8220

2042

1946

1135

1969

9760

13851

 

7.2.2

Money at call and short notice

 

5897

4205

4204

2586

823

956

1286

1554

12209

9301

Notes: $ Includes IDBI Ltd. * Excludes Sangli Bank.
Source : Annual accounts of banks of respective years.

 

 

                               
                         

(Amount in

Rs. crore)

                               
                   

As on March 31

       
                               

Items

         

State Bank

of India

Nationalised

Foreign

 

Other Scheduled

All Scheduled

           

and its Associates

Banks

Banks

 

Commercial Banks

Commercial Banks

                               
           

2004

2005

2004

2005 $

2004

2005

2004

2005 *

2004

2005 *

                               
           

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

                               

8.

Investments (8.1 + 8.2)

   

247775

260705

377903

425026

41587

42518

135491

138968

802751

867211

 

8.1

In India in

   

243783

256063

369439

416113

41587

42518

135046

137380

789852

852070

   

(i)

Government securities

213606

230661

293445

333685

32650

34031

96141

96219

635842

694595

   

(ii)

Other approved securities

5753

4646

11785

10817

172

215

791

602

18500

16280

   

(iii)

Shares

   

1121

1333

2563

5801

453

426

2717

2602

6854

10162

   

(iv)

Debentures

and Bonds

18818

15451

51250

53977

8103

7049

22960

24393

101130

100869

   

(v)

Subsidiaries

and/or joint ventures

1465

1563

1087

1787

1348

1555

3900

4905

   

(vi)

Others

   

3020

2409

9309

10046

209

797

11089

12009

23626

25259

 

8.2

Outside India in

   

3992

4642

8464

8913

445

1588

12899

15141

   

(i)

Government securities

203

518

2578

2732

97

114

2877

3363

   

(ii)

Subsidiaries

and/or joint ventures

277

246

240

240

320

782

836

1268

   

(iii)

Others

   

3512

3878

5646

5941

28

692

9186

10510

9.

Advances

     

220516

284727

412224

569944

60507

75318

170385

220337

863630

1150326

 

9A.

(i)

Bills purchased

and discounted

20987

27454

26939

37545

6437

7516

14207

19309

68569

91823

   

(ii)

Cash credits, overdrafts & loans repayble

99889

109131

199723

240709

26830

30771

45393

55965

371835

436576

   

(iii)

Term loans

   

99640

148142

185562

291690

27240

37031

110785

145063

423226

621927

 

Total

       

220516

284727

412224

569944

60507

75318

170385

220337

863630

1150326

 

9B.

(i)

Secured by

tangible assets

170405

212786

330302

442448

35494

43638

144942

180003

681143

878874

   

(ii)

Covered by Bank/Government Guarantees

16231

12432

26946

41303

4433

4235

8786

9593

56396

67562

   

(iii)

Unsecured

   

33880

59509

54976

86193

20580

27445

16657

30741

126091

203888

 

Total

       

220516

284727

412224

569944

60507

75318

170385

220337

863630

1150324

 

9.C.I

Adavances in India

 

204609

260827

387291

540945

60508

75318

169073

213813

821479

1090902

   

(i)

Priority sectors

 

67949

92049

149535

202167

14058

19408

45079

56752

276621

370376

   

(ii)

Public sectors

 

34088

33088

58981

71657

248

670

8052

8807

101369

114223

   

(iii)

Banks

   

2552

228

1961

3396

398

238

1641

2488

6550

6349

   

(iv)

others

   

100020

135462

176814

263725

45804

55002

114301

145766

436939

599954

                               

Notes: $ Includes IDBI Ltd.
*Excludes Sangli Bank.
Source : Annual accounts of banks of respective years.

 

 

                             
                       

(Amount in

Rs. crore)

                             
                 

As on March 31

       
                             

Items

       

State Bank

of India

Nationalised

Foreign

 

Other Scheduled

All Scheduled

         

and its Associates

Banks

Banks

 

Commercial Banks

Commercial Banks

                             
         

2004

2005

2004

2005 $

2004

2005

2004

2005 *

2004

2005 *

                             
         

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

(9)

(10)

                             
 

9.C.II. Adavances Outside India

 

15908

23900

24933

28999

1310

6525

42149

59420

   

(i)

Due from Banks

 

892

1406

4709

5558

1038

5600

8001

   

(ii)

Due from Others

 

15016

22494

20224

23441

1310

5487

36549

51419

     

a) Bills purchased and discounted

5156

9012

3760

7037

650

2538

9565

18586

     

b) Syndicate loans

 

5276

6556

5711

4597

196

1193

11183

12345

     

c) Others

 

4584

6926

10753

11807

464

1756

15801

20488

                             
     

Total (9.C.I + 9.C.II)

 

220517

284727

412224

569944

60508

75318

170383

220338

863628

1150322

                             

10.

Fixed Assets

   

3349

3463

8176

9979

1951

1882

7926

7696

21400

23018

 

10.1

Premises

 

845

1020

5607

6386

1306

1244

3072

3257

10830

11908

   

(i)

At cost as on 31st March of the preceding year

1215

1287

6290

7429

1479

1346

3028

3191

12011

13253

   

(ii)

Additions during the Year

73

231

1141

1060

201

188

478

552

1893

2030

   

(iii)

Deductions during the

Year

1

9

16

225

97

35

31

269

144

   

(iv)

Depreciation to date

 

442

498

1815

2087

149

193

399

455

2805

3231

 

10.2.

Assets under construction

 

150

129

68

62

7

10

122

54

345

255

 

10.3

Other

Fixed assets

 

1843

1965

2298

3015

560

613

2880

2807

7581

8399

   

(i)

At cost as on 31st March of the preceding year

3579

4933

6289

7886

1740

1770

4420

4887

16028

19476

   

(ii)

Additions during the Year

1389

1089

1223

1565

237

261

1282

1075

4130

3989

   

(iii)

Deductions during the

Year

35

177

246

174

262

160

143

114

686

625

   

(iv)

Depreciation to date

 

3090

3880

4968

6262

1155

1258

2679

3041

11891

14441

 

10.4

Assets on Lease

 

511

349

203

516

78

15

1852

1578

2644

2456

   

(i)

At cost as on 31st March of the preceding year

1522

1408

537

2077

17

21

3166

3035

5241

6540

   

(ii)

Additions during the Year

82

47

83

13

123

18

288

77

   

(iii)

Deductions during the

Year

202

156

41

130

5

6

172

244

419

536

   

(iv)

Depreciation to date

 

809

903

375

1478

17

13

1265

1231

2466

3625

11.

Other Assets

 

24122

24891

35671

39943

15335

16378

16896

18064

92019

93603

 

(i)

Inter - office adjustments (net)

953

425

1335

2184

156

78

73

117

2516

2803

 

(ii)

Interest accrued

 

7513

7157

10078

10529

1285

1327

3907

3465

22783

22477

 

(iii)

Tax paid in advance/tax deducted at source

3496

3305

6321

8234

1339

1132

3370

4223

14525

16895

 

(iv)

Stationery and Stamps

 

106

106

83

94

2

1

26

34

216

235

 

(v)

Others

 

12054

13898

17854

18902

12553

13840

9520

10225

51979

51193

                             
 

Total

Assets

   

549258

627074

922169

1146866

136317

154127

367277

425803

1975002

2348186

Notes: $ Includes IDBI Ltd. * Excludes Sangli Bank.
Source : Annual accounts of banks of respective years.

RbiTtsCommonUtility

प्ले हो रहा है
వినండి

Related Assets

RBI-Install-RBI-Content-Global

RbiSocialMediaUtility

భారతీయ రిజర్వ్ బ్యాంక్ మొబైల్ అప్లికేషన్‌ను ఇన్‌స్టాల్ చేయండి మరియు తాజా వార్తలకు త్వరిత యాక్సెస్ పొందండి!

Scan Your QR code to Install our app

RbiWasItHelpfulUtility

ఈ పేజీ ఉపయోగకరంగా ఉందా?