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Table 55: Earnings and Expenses of Regional Rural Banks: 2000-2001 and 2001-2002(Part 6 of 8)

(Amount in Rs. lakh)


 

For the year ended March 31


 

Nadia

Nagaland

Nagarjuna

Nainital Almora

 

Gramin Bank

Gramin Bank

Gramin Bank

Kshetriya Gramin Bank


Items

2001

2002

2001

2002

2001

2002

2001

2002


 

(241)

(242)

(243)

(244)

(245)

(246)

(247)

(248)


Income

               

I. Interest Earned

2034

2247

92

96

3691

4334

1675

1975

a) Interest/discount on advances/bills

376

530

31

59

2077

2539

766

894

b) Income on Investments

1658

1709

60

35

727

833

863

1053

c) Interest on balances with

-

7

-

-

886

963

46

28

RBI and other inter-bank funds

               

d) Others

-

-

1

2

-

-

-

-

II. Other income

98

132

3

3

191

278

40

52

a) Commission, exchange and brokerage

32

36

2

2

178

249

6

7

b) Other miscellaneous income

65

96

1

-

13

29

34

44


Total (I+II)

2132

2379

95

99

3881

4613

1715

2027


Expenditure & Provisions

               

III. Interest expended

1462

1561

45

44

2236

2771

933

1140

a) Interest on deposits

1343

1473

28

40

1881

2321

869

1012

b) Interest on RBI/inter-bank borrowings

119

88

1

2

337

398

61

126

c) Others

-

-

17

2

18

51

3

2

IV. Operating expenses

445

666

41

53

1198

1641

347

480

a) Payments to and provisions for employees

401

578

32

42

1033

1461

292

411

b) Rent, taxes and lighting

8

10

2

2

39

43

19

19

c) Printing and stationery

4

6

-

-

21

19

5

8

d) Advertisement and publicity

-

-

-

-

1

-

-

-

e) Depreciation on Bank's property

2

2

1

1

13

16

4

4

f) Directors' fees, allowances and expenses

-

-

-

-

-

-

-

-

g) Auditors' fees and expenses

1

3

-

-

3

4

1

2

h) Law charges

1

-

-

-

-

1

1

1

i) Postage, telegrams, telephones, etc.

1

1

-

-

8

10

3

3

j) Repairs and maintenance

1

1

-

1

4

2

5

6

k) Insurance

9

10

1

1

16

6

6

8

l) Other expenditure

16

53

4

5

60

80

12

18

V. Provisions and contingencies

41

44

-

-

69

99

38

41

Total expenses*

1907

2227

86

96

3434

4412

1280

1620

VI. Profit /loss

184

107

9

2

378

101

397

366


Total (III+IV+V+VI)

2132

2379

95

99

3881

4613

1715

2027



(Amount in Rs. lakh)


 

For the year ended March 31


 

Nalanda

Netravati

Nimar

North Malabar

 

Gramin Bank

Gramin Bank

Kshetriya Gramin Bank

Gramin Bank


Items

2001

2002

2001

2002

2001

2002

2001

2002


 

(249)

(250)

(251)

(252)

(253)

(254)

(255)

(256)


Income

               

I. Interest Earned

1609

1889

628

759

1753

1918

7119

7466

a) Interest/discount on advances/bills

244

356

474

559

650

875

5331

5525

b) Income on Investments

-

-

26

49

550

483

1046

940

c) Interest on balances with

1365

1533

129

151

553

560

741

1001

RBI and other inter-bank funds

               

d) Others

-

-

-

-

-

-

-

-

II. Other income

18

31

42

52

42

39

472

428

a) Commission, exchange and brokerage

6

15

8

8

6

5

87

90

b) Other miscellaneous income

12

17

34

44

37

34

385

339


Total (I+II)

1627

1921

670

812

1795

1957

7591

7895


Expenditure & Provisions

               

III. Interest expended

1223

1367

390

485

1223

1287

3829

4244

a) Interest on deposits

1199

1339

314

370

1128

1245

2434

2963

b) Interest on RBI/inter-bank borrowings

25

28

77

115

9

-

1395

1281

c) Others

-

-

-

-

87

42

-

-

IV. Operating expenses

527

560

188

213

459

625

1775

2197

a) Payments to and provisions for employees

484

514

164

183

410

559

1341

1752

b) Rent, taxes and lighting

7

9

8

10

13

15

79

87

c) Printing and stationery

3

3

2

3

5

7

23

25

d) Advertisement and publicity

-

-

-

1

-

-

1

1

e) Depreciation on Bank's property

5

5

2

3

3

3

27

37

f) Directors' fees, allowances and expenses

-

-

-

-

-

-

-

-

g) Auditors' fees and expenses

1

1

1

1

2

2

4

4

h) Law charges

-

-

-

-

1

2

1

2

i) Postage, telegrams, telephones, etc.

3

2

3

3

-

1

35

44

j) Repairs and maintenance

-

-

-

-

1

3

2

2

k) Insurance

2

2

2

3

-

-

61

42

l) Other expenditure

22

24

6

6

24

35

199

200

V. Provisions and contingencies

103

73

8

4

133

22

201

549

Total expenses*

1750

1927

579

698

1682

1912

5604

6441

VI. Profit /loss

-226

-78

83

110

-20

23

1785

905


Total (III+IV+V+VI)

1627

1921

670

812

1795

1957

7591

7895



(Amount in Rs. lakh)


 

For the year ended March 31


 

Palamau

Panchmahal Vadodara

Pandyan

Parvatiya

 

Kshetriya Gramin Bank

Gramin Bank

Gramin Bank

Gramin Bank


Items

2001

2002

2001

2002

2001

2002

2001

2002


 

(257)

(258)

(259)

(260)

(261)

(262)

(263)

(264)


Income

               

I. Interest Earned

1916

1953

1455

1688

5511

6622

1014

1169

a) Interest/discount on advances/bills

357

357

555

708

2983

3860

196

232

b) Income on Investments

228

216

838

948

582

695

162

129

c) Interest on balances with

1235

1276

62

32

-

2067

655

803

RBI and other inter-bank funds

               

d) Others

95

104

-

-

1946

-

1

5

II. Other income

61

192

48

90

327

384

20

24

a) Commission, exchange and brokerage

27

46

20

21

279

332

8

12

b) Other miscellaneous income

33

146

28

69

48

52

12

12


Total (I+II)

1976

2146

1502

1778

5838

7005

1034

1193


Expenditure & Provisions

               

III. Interest expended

1291

1411

1011

1126

3702

4266

690

787

a) Interest on deposits

1247

1362

878

1003

3177

3650

660

749

b) Interest on RBI/inter-bank borrowings

42

46

134

123

525

616

29

38

c) Others

2

2

-

-

-

-

-

-

IV. Operating expenses

546

675

386

543

1587

1793

211

192

a) Payments to and provisions for employees

483

605

303

429

1353

1525

183

159

b) Rent, taxes and lighting

15

17

13

18

40

45

5

6

c) Printing and stationery

7

8

4

6

23

19

3

4

d) Advertisement and publicity

1

-

-

-

-

3

-

-

e) Depreciation on Bank's property

4

3

20

23

22

28

4

4

f) Directors' fees, allowances and expenses

-

-

-

-

-

-

-

-

g) Auditors' fees and expenses

2

2

2

2

4

5

1

1

h) Law charges

1

-

1

-

-

-

-

-

i) Postage, telegrams, telephones, etc.

3

4

5

5

24

31

1

1

j) Repairs and maintenance

1

1

1

1

3

3

1

-

k) Insurance

7

9

1

1

24

26

3

5

l) Other expenditure

24

27

37

56

92

107

9

12

V. Provisions and contingencies

-

-

-

-

33

131

-

-

Total expenses*

1837

2086

1398

1669

5289

6058

901

979

VI. Profit /loss

140

59

105

109

516

816

133

214


Total (III+IV+V+VI)

1976

2146

1502

1778

5838

7005

1034

1193



(Amount in Rs. lakh)


 

For the year ended March 31


 

Patliputra

Pinakini

Pithoragarh

Pragjyotish Gaonlia

 

Gramin Bank

Gramin Bank

Kshetriya Gramin Bank

Bank


Items

2001

2002

2001

2002

2001

2002

2001

2002


 

(265)

(266)

(267)

(268)

(269)

(270)

(271)

(272)


Income

               

I. Interest Earned

529

686

3378

3923

1084

1172

5000

5566

a) Interest/discount on advances/bills

123

140

2280

2644

251

310

1068

1581

b) Income on Investments

258

336

1089

139

127

119

3926

3962

c) Interest on balances with

148

210

9

1141

706

743

-

23

RBI and other inter-bank funds

               

d) Others

-

-

-

-

-

-

6

1

II. Other income

6

12

300

336

17

28

160

508

a) Commission, exchange and brokerage

2

3

153

65

14

25

94

114

b) Other miscellaneous income

4

10

147

271

3

3

66

394


Total (I+II)

535

698

3678

4259

1101

1200

5159

6075


Expenditure & Provisions

               

III. Interest expended

342

381

2027

2595

731

791

3296

3801

a) Interest on deposits

334

375

1664

2122

695

762

3054

3513

b) Interest on RBI/inter-bank borrowings

-

-

362

473

36

29

239

288

c) Others

8

6

-

-

-

-

3

-

IV. Operating expenses

115

128

841

1352

153

204

1434

1970

a) Payments to and provisions for employees

96

101

725

908

119

160

1265

1810

b) Rent, taxes and lighting

4

5

22

26

7

7

45

46

c) Printing and stationery

2

2

12

13

3

3

28

21

d) Advertisement and publicity

-

-

-

-

-

1

-

-

e) Depreciation on Bank's property

3

3

8

20

2

4

13

13

f) Directors' fees, allowances and expenses

-

-

-

-

-

-

-

-

g) Auditors' fees and expenses

-

-

4

2

1

1

4

5

h) Law charges

-

-

1

1

-

-

1

-

i) Postage, telegrams, telephones, etc.

2

3

9

11

2

2

3

-4

j) Repairs and maintenance

-

1

1

4

-

-

2

3

k) Insurance

4

5

1

5

5

5

4

3

l) Other expenditure

5

7

58

361

14

20

69

73

V. Provisions and contingencies

7

2

-

-

-

-

421

248

Total expenses*

457

509

2867

3946

884

995

4730

5771

VI. Profit /loss

71

187

811

313

217

205

8

55


Total (III+IV+V+VI)

535

698

3678

4259

1101

1200

5159

6075



(Amount in Rs. lakh)


 

For the year ended March 31


 

Pratapgarh

Prathama Bank

Puri

Rae Bareli

 

Kshetriya Gramin Bank

 

Gramin Bank

Kshetriya Gramin Bank


Items

2001

2002

2001

2002

2001

2002

2001

2002


 

(273)

(274)

(275)

(276)

(277)

(278)

(279)

(280)


Income

               

I. Interest Earned

2665

2958

7700

8735

3803

4277

2677

3022

a) Interest/discount on advances/bills

479

616

3746

4666

2119

2615

530

641

b) Income on Investments

2165

2316

3954

4045

1683

1650

1186

1234

c) Interest on balances with

21

24

-

24

1

13

934

1123

RBI and other inter-bank funds

               

d) Others

-

3

-

-

-

-

27

24

II. Other income

59

117

543

524

119

319

40

50

a) Commission, exchange and brokerage

12

14

92

101

91

59

16

19

b) Other miscellaneous income

48

103

451

423

28

260

23

31


Total (I+II)

2724

3075

8242

9259

3921

4596

2716

3072


Expenditure & Provisions

               

III. Interest expended

1656

1867

3442

3822

2833

3151

1667

1859

a) Interest on deposits

1595

1786

2780

3220

2333

2594

1614

1785

b) Interest on RBI/inter-bank borrowings

62

76

663

603

500

557

54

73

c) Others

-

4

-

-

-

-

-

-

IV. Operating expenses

624

672

2078

2578

998

1290

614

704

a) Payments to and provisions for employees

545

601

1854

2335

865

1136

548

619

b) Rent, taxes and lighting

12

13

47

50

30

31

14

18

c) Printing and stationery

7

7

19

22

12

13

10

11

d) Advertisement and publicity

-

-

-

1

-

-

-

-

e) Depreciation on Bank's property

6

6

17

28

9

13

8

7

f) Directors' fees, allowances and expenses

-

-

-

-

-

-

-

-

g) Auditors' fees and expenses

2

2

5

4

4

4

2

2

h) Law charges

-

-

2

2

-

-

1

1

i) Postage, telegrams, telephones, etc.

1

3

22

27

2

4

4

5

j) Repairs and maintenance

1

2

5

5

1

1

4

9

k) Insurance

12

18

30

32

18

18

11

16

l) Other expenditure

38

21

78

73

57

69

14

17

V. Provisions and contingencies

45

20

105

190

239

137

88

104

Total expenses*

2280

2540

5520

6400

3831

4441

2281

2563

VI. Profit /loss

399

516

2617

2669

-149

18

348

404


Total (III+IV+V+VI)

2724

3075

8242

9259

3921

4596

2716

3072



(Amount in Rs. lakh)


 

For the year ended March 31


 

Raigarh

Rajgarh Sehore

Ranchi

Rani Laxmibai

 

Kshetriya Gramin Bank

Kshetriya Gramin Bank

Kshetriya Gramin Bank

Kshetriya Gramin Bank


Items

2001

2002

2001

2002

2001

2002

2001

2002


 

(281)

(282)

(283)

(284)

(285)

(286)

(287)

(288)


Income

               

I. Interest Earned

1339

1475

1174

1320

1464

1550

566

695

a) Interest/discount on advances/bills

224

231

568

735

403

502

285

399

b) Income on Investments

18

18

290

364

162

165

90

44

c) Interest on balances with

1097

1226

316

220

899

883

-

-

RBI and other inter-bank funds

               

d) Others

-

-

-

-

-

-

191

251

II. Other income

35

86

35

69

29

43

76

124

a) Commission, exchange and brokerage

17

42

7

8

6

7

12

19

b) Other miscellaneous income

18

45

27

61

23

36

64

105


Total (I+II)

1374

1561

1208

1389

1493

1593

642

818


Expenditure & Provisions

               

III. Interest expended

730

926

831

903

1092

1121

545

628

a) Interest on deposits

690

885

744

819

1038

1068

506

567

b) Interest on RBI/inter-bank borrowings

39

40

3

3

-

1

-

-

c) Others

-

-

84

81

54

52

39

60

IV. Operating expenses

368

463

325

378

481

725

301

464

a) Payments to and provisions for employees

326

416

266

327

435

676

250

426

b) Rent, taxes and lighting

7

7

10

11

11

13

12

9

c) Printing and stationery

4

5

4

4

3

4

3

3

d) Advertisement and publicity

-

-

-

-

-

-

-

-

e) Depreciation on Bank's property

1

1

5

5

3

3

3

3

f) Directors' fees, allowances and expenses

-

-

-

-

-

1

-

-

g) Auditors' fees and expenses

1

1

1

1

2

1

1

1

h) Law charges

-

-

1

-

1

2

1

1

i) Postage, telegrams, telephones, etc.

2

2

2

1

2

2

3

4

j) Repairs and maintenance

1

1

1

1

1

1

1

1

k) Insurance

11

8

1

1

8

8

-

-

l) Other expenditure

15

22

35

27

15

14

27

16

V. Provisions and contingencies

99

61

10

30

57

84

35

-

Total expenses*

1098

1389

1157

1281

1574

1846

846

1092

VI. Profit /loss

177

110

42

79

-137

-337

-239

-274


Total (III+IV+V+VI)

1374

1561

1208

1389

1493

1593

642

818


* : Excluding ‘Provisions and Contingencies’.

Source : Annual accounts of banks of respective years.

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