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Table 50 : Earnings and Expenses of Scheduled Commercial Banks - 1997-98 (Part 2 of 7)

NATIONALISED BANKS

 
 
 
 
 
 
 
 

(Amount in Rs. lakh)


     

For the year ended 31st March


     

Dena Bank

Indian Bank

Indian Overseas

Oriental Bank of

Items

   
 

Bank


Commerce


     

1997


1998


1997


1998


1997


1998


1997


1998


 
 
 

(17)


(18)


(19)


(20)


(21)


(22)


(23)


(24)


Income

               
                     

I.

Interest Earned

101444

121642

156316

146421

185943

198449

125054

145804

 

a)

Interest/discount on advances/bills

57961

67753

93488

82425

99802

98219

70762

73896

 

b)

Income on Investments

40633

51185

57637

60111

69643

82296

49355

66854

 

c)

Interest on balances with

2701

2365

5191

3885

14532

17443

3650

4318

   

RBI and other inter-bank funds

               
 

d)

Others

149

340

-

-

1965

491

1287

737

                     

II.

Other income

11015

18414

21710

20206

19165

20699

10438

13845

 

a)

Commission, exchange and brokerage

5899

7105

6847

6840

11183

11447

6634

7201

 

b)

Net Profit on sale of investments

683

6032

1671

1498

1030

1686

223

1457

 

c)

Net Profit on sale of land,

7

9

20

23

103

46

4

9

   

building & other assets

               
 

d)

Net Profit on exchange transaction

1800

1916

7300

6506

4615

3963

2853

3256

 

e)

Miscellaneous income

2625


3353


5871


5339


2235


3557


724


1922


Total (I+II)


112459


140056


178026


166627


205108


219148


135493


159649


Expenditure & Provisions

               
                     

III.

Interest expended

64005

78987

144203

135286

143212

149003

80087

95855

 

a)

Interest on deposits

57881

73479

105219

117295

123747

144427

78168

93850

 

b)

Interest on RBI/inter-bank borrowings

1457

349

11124

5707

5938

4267

734

1056

 

c)

Others

4667

5158

27859

12283

13527

309

1185

949

                     

IV.

Operating expenses

29050

33708

47659

52292

48951

54710

25337

30056

 

a)

Payments to and provisions for employees

21165

24476

35184

39132

36840

40807

15431

18497

 

b)

Rent, taxes and lighting

1883

2157

3490

3899

3798

4314

3147

3608

 

c)

Printing and stationery

555

751

807

779

682

713

532

640

 

d)

Advertisement and publicity

133

336

89

73

139

225

49

148

 

e)

Depreciation on Bank's property

769

1046

1654

1730

1434

1837

1231

1725

 

f)

Directors' fees, allowances and expenses

16

16

11

11

20

17

17

24

 

g)

Auditors' fees and expenses

171

173

269

279

208

289

128

185

 

h)

Law charges

86

76

48

118

130

115

274

334

 

i)

Postage, telegrams, telephones, etc.

372

440

384

349

591

437

529

640

 

j)

Repairs and maintenance

506

709

971

1044

162

177

323

329

 

k)

Insurance

1282

641

799

842

1019

1008

672

559

 

l)

Other expenditure

2113

2887

3954

4036

3927

4771

3001

3365

                     

V.

Provisions and contingencies

12113

16857

25073

9200

2493

4128

12045

12738

                   
 

Total expenses*

93055

112695

191862

187577

192163

203713

105423

125911

                   

VI.

Profit

7291


10504


-38909


-30150


10451


11306


18025


21000


Total (III+IV+V+VI)


112459


140056


178026


166627


205108


219148


135493


159649


 
 
 
 
 
 
 
 

(Amount in Rs. lakh)


     

For the year ended 31st March


     

Punjab National

Punjab &

Syndicate

Union Bank of

Items

 

Bank


Sind Bank


Bank


India


     

1997


1998


1997


1998


1997


1998


1997


1998


 
 
 

(25)


(26)


(27)


(28)


(29)


(30)


(31)


(32)


Income

               
                     

I.

Interest Earned

365400

399224

73213

84425

159791

169323

230224

250403

 

a)

Interest/discount on advances/bills

195412

196110

40947

40432

71659

74791

129462

125917

 

b)

Income on Investments

152540

182058

29308

39257

80198

88478

89290

107758

 

c)

Interest on balances with

16884

16442

2796

3582

5979

4962

9839

13649

   

RBI and other inter-bank funds

               
 

d)

Others

563

4615

162

1154

1955

1093

1632

3078

                     

II.

Other income

46879

63658

9157

11533

15659

22022

19879

20767

 

a)

Commission, exchange and brokerage

24837

28023

3563

3818

8028

7490

10092

9859

 

b)

Net Profit on sale of investments

3453

23729

590

2845

40

3572

-187

155

 

c)

Net Profit on sale of land,

65

72

13

8

23

28

9

15

   

building & other assets

               
 

d)

Net Profit on exchange transaction

7307

6156

2681

2621

3478

6121

5516

6775

 

e)

Miscellaneous income

11243


5679


2310


2242


4090


5046


4449


3962


Total (I+II)

412279


462882


82370


95959


175450


191345


250103


271169


Expenditure & Provisions

               
                     

III.

Interest expended

243870

269908

53456

60662

104290

113722

153899

168749

 

a)

Interest on deposits

234256

253991

50990

58953

101681

111813

151788

167431

 

b)

Interest on RBI/inter-bank borrowings

585

351

1481

115

242

470

1806

1163

 

c)

Others

9029

15565

984

1594

2367

1439

305

155

                     

IV.

Operating expenses

106442

112863

23250

25289

61296

64084

62072

67468

 

a)

Payments to and provisions for employees

81102

87144

16614

18094

48312

50346

41656

43555

 

b)

Rent, taxes and lighting

4734

5529

1419

1579

3384

3903

3496

3973

 

c)

Printing and stationery

1838

1977

455

370

564

558

1462

1425

 

d)

Advertisement and publicity

159

304

99

112

49

83

444

630

 

e)

Depreciation on Bank's property

2881

3475

917

986

867

930

2841

3286

 

f)

Directors' fees, allowances and expenses

16

18

8

6

10

16

24

29

 

g)

Auditors' fees and expenses

310

755

110

140

227

362

293

348

 

h)

Law charges

480

605

38

38

83

54

299

507

 

i)

Postage, telegrams, telephones, etc.

1576

1921

436

472

699

804

885

973

 

j)

Repairs and maintenance

881

1034

271

347

379

439

724

845

 

k)

Insurance

4199

1814

498

444

1933

708

3767

5052

 

l)

Other expenditure

8268

8286

2385

2700

4788

5880

6181

6843

                     

V.

Provisions and contingencies

38195

32376

3663

3498

3169

5274

12564

9943

                     
 

Total expenses*

350313

382771

76706

85951

165585

177806

215971

236217

                     

VI.

Profit

23771


47735


2000


6509


6696


8266


21568


25010


Total (III+IV+V+VI)


412279


462882


82370


95959


175450


191345


250103


271169


 
 
 
 
 
 

(Amount in Rs. lakh)


     

For the year ended 31st March


     

United Bank of

United Commercial

Vijaya

Items

 

India


Bank


Bank


     

1997


1998


1997


1998


1997


1998


 
 
 

(33)


(34)


(35)


(36)


(37)


(38)


Income

           
                 

I.

Interest Earned

100688

133466

130306

144519

73280

81007

 

a)

Interest/discount on advances/bills

38408

37234

58277

56312

36831

36591

 

b)

Income on Investments

57468

81094

59777

78152

33385

39545

 

c)

Interest on balances with

4547

3218

11059

8625

2597

3763

   

RBI and other inter-bank funds

           
 

d)

Others

264

11921

1193

1431

467

1108

                 

II.

Other income

9726

14058

12717

19236

6332

8155

 

a)

Commission, exchange and brokerage

5870

5868

7732

8737

3164

3728

 

b)

Net Profit on sale of investments

669

4354

378

2072

58

197

 

c)

Net Profit on sale of land,

6

2

1

-

11

10

   

building & other assets

           
 

d)

Net Profit on exchange transaction

409

785

1967

4942

1137

1813

 

e)

Miscellaneous income

2772


3049


2639


3485


1961


2406


Total (I+II)


110414


147524


143022


163755


79612


89161


Expenditure & Provisions

           
             

III.

Interest expended

80053

93628

98682

108481

49877

54961

 

a)

Interest on deposits

78898

91891

96033

104238

47923

53813

 

b)

Interest on RBI/inter-bank borrowings

168

544

2334

2251

424

136

 

c)

Others

987

1192

315

1992

1531

1012

                 

IV.

Operating expenses

35858

37465

51617

53770

26257

27825

 

a)

Payments to and provisions for employees

29051

30927

42258

44322

19166

20058

 

b)

Rent, taxes and lighting

1582

1737

2622

2896

2419

2454

 

c)

Printing and stationery

582

587

589

696

337

363

 

d)

Advertisement and publicity

41

49

70

77

32

34

 

e)

Depreciation on Bank's property

406

446

662

673

1226

1242

 

f)

Directors' fees, allowances and expenses

15

25

18

22

19

20

 

g)

Auditors' fees and expenses

116

151

309

368

130

165

 

h)

Law charges

48

68

90

90

30

27

 

i)

Postage, telegrams, telephones, etc.

254

297

268

264

210

176

 

j)

Repairs and maintenance

354

316

134

184

103

118

 

k)

Insurance

521

604

577

679

365

422

 

l)

Other expenditure

2888

2258

4022

3498

2221

2745

                 

V.

Provisions and contingencies

5867

15469

10347

11125

1581

4044

               
 

Total expenses*

115911

131093

150299

162251

76135

82787

                 

VI.

Profit

-11364


962


-17623


-9622


1896


2331


Total (III+IV+V+VI)


110414


147524


143022


163755


79612


89161


OTHER SCHEDULED COMMERCIAL BANKS

 
 
 
 
 
 
 
 

(Amount in Rs. lakh)


     

For the year ended 31st March


     

Bank of

Bank of

Bank of

Bareilly

Items

 

Madura


Punjab


Rajasthan


Corporation Bank


     

1997


1998


1997


1998


1997


1998


1997


1998


 
 
 

(1)


(2)


(3)


(4)


(5)


(6)


(7)


(8)


Income

               
                     

I.

Interest Earned

24777

28136

8067

14855

36507

35039

3213

3474

 

a)

Interest/discount on advances/bills

16581

15418

4475

7081

21663

19793

1222

1283

 

b)

Income on Investments

6306

9745

3302

7568

12500

13587

1500

1823

 

c)

Interest on balances with

1891

2770

291

187

1949

1616

491

368

   

RBI and other inter-bank funds

               
 

d)

Others

-

204

-

19

394

43

-

-

                     

II.

Other income

5215

8878

2313

4139

4278

4541

300

289

 

a)

Commission, exchange and brokerage

2189

2431

323

441

2023

2305

218

190

 

b)

Net Profit on sale of investments

631

2098

391

1799

-114

74

-

-

 

c)

Net Profit on sale of land,

12

8

-

1

3

-

-

1

   

building & other assets

               
 

d)

Net Profit on exchange transaction

118

1303

726

935

550

507

-

-

 

e)

Miscellaneous income

2265


3039


873


963


1817


1654


82


97


Total (I+II)


29993


37015


10381


18993


40786


39580


3513


3763


Expenditure & Provisions

               
                     

III.

Interest expended

16927

20045

5377

10864

26627

26919

2218

2323

 

a)

Interest on deposits

13997

17568

5321

10572

26232

26528

2211

2319

 

b)

Interest on RBI/inter-bank borrowings

2267

1666

56

292

240

389

7

4

 

c)

Others

663

811

-

-

156

2

-

-

                     

IV.

Operating expenses

7965

9594

2425

3824

8902

9779

1243

1326

 

a)

Payments to and provisions for employees

3853

4727

373

573

5320

6159

971

1027

 

b)

Rent, taxes and lighting

440

539

329

597

560

650

81

88

 

c)

Printing and stationery

138

143

129

124

167

148

16

16

 

d)

Advertisement and publicity

96

164

163

234

96

142

3

3

 

e)

Depreciation on Bank's property

2067

2522

613

771

1306

1200

16

14

 

f)

Directors' fees, allowances and expenses

2

3

21

27

14

24

1

-

 

g)

Auditors' fees and expenses

8

8

7

14

20

21

3

2

 

h)

Law charges

24

63

-

8

33

82

13

16

 

i)

Postage, telegrams, telephones, etc.

144

173

149

168

223

246

23

28

 

j)

Repairs and maintenance

100

128

56

132

77

104

3

5

 

k)

Insurance

77

108

38

92

183

112

17

18

 

l)

Other expenditure

1017

1016

546

1085

902

891

96

109

                     

V.

Provisions and contingencies

2524

3957

335

1069

4466

11666

27

21

                     
 

Total expenses*

24892

29639

7802

14688

35529

36698

3461

3648

                   

VI. Profit

2577


3419


2244


3235


791


-8784


25


94


Total (III+IV+V+VI)


29993


37015


10381


18993


40786


39580


3513


3763


Note

: *Excluding 'Provisions and Contingencies'.

             

-

 

: Nil or negligible.

               
Source : Annual accounts of banks.                

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