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3.1 : Bank Group-Wise Liablities and Assets of Scheduled Commercial Banks in India : 2003 And 2004

 

(Amount in Rs. crore)

As on March 31

Items

 State Bank of India

 Nationalised Banks

 Foreign Banks

 Other Scheduled

 All Scheduled

 & its Associates

 Commercial Banks

 Commercial Banks

 2003

 2004

 2003

 2004

 2003

 2004

 2003

 2004

 2003

 2004

 (1)

 (2)

 (3)

 (4)

 (5)

 (6)

 (7)

 (8)

(9)

(10)

 Number of reporting banks

8

8

19

19

36

33

29

30

92

90

 Liabilities

 1. Capital

1036

1036

13139

13640

4498

4645

2862

3002

21535

22322

 2. Reserve and Surplus

22096

26714

29311

37835

8889

10200

15500

19496

75791

94246

    2.1. Statuary Reserves

12964

14432

8457

11176

2544

3087

3297

4387

27261

33082

         (i) Opening balance

11464

12964

6507

8456

1787

2439

2560

3355

22317

27214

         (ii) Additions during the Year

1500

1468

1950

2720

757

648

862

1207

5068

6042

         (iii) Deductions during the Year

0

0

0

0

0

0

125

175

124

174

    2.2. Capital Reserves

1017

189

2614

2129

1253

1456

574

956

5457

4730

         (i) Opening balance

999

161

2589

2120

936

1254

294

595

4818

4130

         (ii) Additions during the Year

18

28

148

60

317

202

288

370

770

660

         (iii) Deductions during the Year

0

0

123

51

0

0

8

9

131

60

    2.3. Share Premium

3863

3863

3083

3341

0

0

3253

3823

10200

11028

         (i) Opening balance

3863

3863

2975

3030

0

0

3071

3400

9909

10293

         (ii) Additions during the Year

0

0

159

311

0

0

210

427

369

738

         (iii) Deductions during the Year

0

0

51

0

0

0

28

4

78

3

    2.5. Investment Fluctuations Reserves

3363

6368

4334

9933

683

1053

957

2668

9335

20022

         (i) Opening balance

1229

3363

1995

5425

306

683

433

1206

3962

10676

         (ii) Additions during the Year

2144

3005

2361

4510

378

373

545

1462

5427

9350

         (iii) Deductions during the Year

10

0

22

2

1

3

21

0

54

4

    2.6. Revenue and other Reserves

881

1856

10538

10885

3070

3280

6851

6706

21338

22727

         (i) Opening balance

1481

1734

9416

9941

2565

3475

6628

6712

20089

21862

         (ii) Additions during the Year

171

124

1999

1362

603

76

477

720

3249

2281

         (iii) Deductions during the Year

771

2

877

418

98

271

254

726

2000

1416

    2.5. Balance of Profit

8

6

285

371

1339

1324

568

956

2200

2657

 3. Deposits (3.1+3.2+3.3)

391033

432891

688362

793947

69312

79757

206917

268550

1355621

1575140

    3.1. Demand Deposits [(i)+(ii)]

56626

63496

70249

77728

14441

21785

23225

40135

164539

203141

         (i)  From banks

8426

9018

2319

2067

394

591

1122

1514

12260

13188

         (ii) From others

48200

54478

67930

75661

14047

21194

22103

38621

152279

189953

    3.2. Savings bank deposits

87923

106705

179251

214311

8969

12568

26160

40093

302303

373677

    3.3. Term Deposits [(i)+(ii)]

246484

262690

438862

501908

45902

45404

157532

188322

888779

998322

         (i)  From banks

6944

7721

16438

17872

11784

17189

18823

22244

53989

65025

         (ii) From others

239540

254969

422424

484036

34118

28215

138709

166078

834790

933297

    3A. Deposits of branches in India

383775

424070

665846

766856

69297

79745

206657

267185

1325576

1537855

    3B. Deposits of branches outside India

7257

8820

22515

27091

15

11

259

1364

30046

37287

 Total(3.A + 3.B)

391032

432890

688361

793947

69312

79756

206916

268549

1355622

1575142

Source :Annual accounts of banks of respective years .

 

TABLE 3.1 : BANK GROUP-WISE LIABLITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA : 2003 AND  2004

(Amount in Rs. crore)

As on March 31

Items

 State Bank of India

 Nationalised Banks

 Foreign Banks

 Other Scheduled

 All Scheduled

 & its Associates

 Commercial Banks

 Commercial Banks

 2003

 2004

 2003

 2004

 2003

 2004

 2003

 2004

 2003

 2004

 (1)

 (2)

 (3)

 (4)

 (5)

 (6)

 (7)

 (8)

(9)

(10)

 4. Borrowings

11593

16815

10839

13921

22904

25389

41200

40366

86532

96488

    4.1. Borrowings in India

2434

1668

6932

4633

16026

14673

35000

30385

60389

51357

         (i)   From Reserve Bank of India

0

0

25

50

875

27

52

29

951

105

         (ii)  From other banks

700

195

1784

1603

13272

9867

5960

6520

21715

18185

         (iii) From other institutions and agencies

1734

1473

5123

2980

1879

4779

28988

23836

37723

33067

    4.2. Borrowings outside India

9159

15147

3907

9288

6878

10716

6200

9981

26143

45131

 5. Other liabilities and provisions

68196

71802

49633

62828

10780

16325

28847

35864

157455

186819

Of which,

    (i)   Bills Payable

18098

20384

10938

12293

1787

2156

3605

7781

34427

42613

    (ii)  Inter-office adjustments

4975

7359

3617

3600

96

21

464

869

9151

11849

    (iii) Interest accured

24864

22088

2959

4170

1298

1350

3074

2674

32194

30282

    (iv)  Others (including provisions)

20259

18316

32119

34360

7599

11629

21507

12636

81483

76940

 Total Liabilities

493954

549247

791281

922171

116383

136316

295129

367276

1696746

1975020

 6. Cash and balances with RBI

19112

26162

46054

58080

4557

7277

16340

21725

86063

113244

    6.1.  Cash in hand

1422

1629

4635

4922

418

296

1643

2119

8118

8966

    6.2. Balances with RBI

17690

24533

41419

53158

4139

6981

14697

19606

77945

104278

      (i) In current accoount

17690

24533

35472

50552

4129

4540

14697

19606

71988

99231

      (ii) In other account

0

0

5947

2606

10

2441

0

0

5957

5047

 7. Balances with banks and money at call and short notice(7.1+7.2)

35267

27334

21887

30115

6344

9660

11029

15115

74528

82218

    7.1. In India (7.1.1+7.2.2)

29414

18567

15735

17576

3373

6223

9335

11984

57859

54345

    7.1.1. Balances with Banks

4531

4047

12666

13348

2768

5176

7463

10079

27428

32648

          (i) In current accoount

777

755

4262

3969

516

808

1365

2262

6920

7793

          (ii) In other deposit account

3754

3292

8404

9379

2252

4368

6098

7817

20508

24855

    7.1.2 Money at call and shot notice

24883

14520

3069

4228

605

1047

1872

1905

30431

21697

          (i) with Banks

24883

14520

2503

2804

386

712

1515

1452

29288

19486

          (ii) with other institutions

0

0

566

1424

219

335

357

453

1143

2211

 7.2 Outside India(7.2.1+7.2.2)

5853

8767

6152

12539

2971

3437

1694

3131

16669

27873

    7.2.1 Balances with Banks

3187

2870

4542

8335

2793

2754

1540

1845

12061

15804

          (i) In current accoount

2721

2526

1445

2096

483

712

654

710

5303

6044

          (ii) In other deposit account

466

344

3097

6239

2310

2042

886

1135

6758

9760

    7.2.2 Money at call and shot notice

2666

5897

1610

4204

178

683

154

1286

4608

12069

Source :

Annual accounts of banks of respective years .

 

TABLE 3.1 : BANK GROUP-WISE LIABLITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA : 2003 AND  2004

(Amount in Rs. crore)

As on March 31

Items

 State Bank of India

 Nationalised Banks

 Foreign Banks

 Other Scheduled

All Scheduled

 & its Associates

Commercial Banks

 Commercial Banks

 2003

 2004

 2003

 2004

 2003

 2004

 2003

 2004

 2003

 2004

 (1)

 (2)

 (3)

 (4)

 (5)

 (6)

 (7)

 (8)

(9)

(10)

 8. Investments(8.1 + 8.2)

223365

247775

322302

377903

40796

41586

106621

134802

693080

802061

   8.1 In India in

218903

243783

312136

369439

40796

41266

106529

134357

678359

788841

          (i)   Government securities

187687

213606

241387

293445

30808

32335

72652

96141

532533

635527

          (ii)  Other approved securities

5797

5753

12368

11785

151

172

961

791

19276

18500

          (iii) Shares

1283

1121

2399

2563

349

453

2685

2717

6714

6853

          (iv)  Debentures and Bonds

19626

18818

49168

51250

9127

8097

22916

22960

100836

101124

          (v)   Subsidiaries and/or joint ventures

1221

1465

1048

1087

1

0

803

1348

3073

3900

          (vi)  Others

3289

3020

5766

9309

360

209

6512

10400

15927

22937

   8.2 Outside India in

4462

3992

10166

8464

0

320

92

445

14721

13220

          (i)    Government securities

381

203

2772

2578

0

315

84

97

3237

3192

          (ii)   Subsidiaries and/or joint ventures

216

277

391

240

0

0

1

320

609

836

          (iii)  Others

3865

3512

7003

5646

0

5

7

28

10875

9192

   9. Advances

189204

220516

360147

412224

52171

60507

137711

170896

739231

864141

      9A. (i)    Bills purchased and discounted

17625

20987

24273

26939

5801

6437

11070

14207

58769

68569

(ii)   Cash credits, overdrafts & loans repayble on loan

97450

99889

194231

199723

21400

26830

38438

45393

351518

371835

(iii)  Term loans

74129

99640

141643

185562

24970

27240

88203

111296

328944

423737

Total

189204

220516

360147

412224

52171

60507

137711

170896

739231

864141

9B. (i)    Secured by tangible assets

152064

170405

287766

330302

29307

35494

117712

145453

586848

681654

          (ii)   Covered by Bank/Government Guarantees

13606

16231

26097

26946

5872

4433

8833

8786

54408

56396

          (iii)  Unsecured

23533

33880

46284

54976

16993

20580

11166

16657

97975

126091

          Total

189203

220516

360147

412224

52172

60507

137711

170896

739231

864141

 9.C.I.Adavances in India

175296

204609

335771

387291

52171

60508

137434

169584

700668

821990

          (i)   Priority sectors

54756

67949

121508

149535

11431

14058

30556

45590

218250

277132

          (ii)  Public sectors

33866

34088

58552

58981

565

248

8276

8052

101257

101369

          (iii) Banks

385

2552

2200

1961

593

398

2633

1641

5810

6550

          (iv)  others

86289

100020

153511

176814

39582

45804

95969

114301

375351

436939

Source :

Annual accounts of banks of respective years .

 

TABLE 3.1 : BANK GROUP-WISE LIABLITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA : 2003 AND  2004

(Amount in Rs. crore)

As on March 31

Items

 State Bank of India

 Nationalised Banks

 Foreign Banks

 Other Scheduled

 All Scheduled

 & its Associates

 Commercial Banks

 Commercial Banks

 2003

 2004

 2003

 2004

 2003

 2004

 2003

 2004

 2003

 2004

 (1)

 (2)

 (3)

 (4)

 (5)

 (6)

 (7)

 (8)

-9

-10

 9.C.II. Adavances Outside India

13909

15908

24377

24933

0

0

276

1310

38560

42149

          (i) Due from Banks

914

892

4468

4709

0

0

0

0

5382

5600

          (ii) Due from Others

12995

15016

19909

20224

0

0

276

1310

33178

36549

               a) Bills purchased and discounted

2834

5156

2576

3760

0

0

48

650

5458

9565

               b) Syndicate loans

5734

5276

6731

5711

0

0

0

196

12464

11183

               c) Others

4427

4584

10602

10753

0

0

228

464

15256

15801

          Total(9CI+9CII)

189205

220517

360148

412224

52171

60508

137710

170894

739228

864139

 10. Fixed Assets (10.1+10.2+10.3)

2926

3349

7667

8178

2184

1950

9419

7926

20198

21403

Of which,

     10.1 Premises

818

845

5392

5607

1468

1306

2847

3072

10525

10830

          (i) At cost as on 31st March of the preceding year

1151

1215

6105

6290

1335

1479

2642

3028

11233

12011

          (ii) Additions during the Year

66

73

932

1141

384

201

702

478

2083

1893

          (iii) Deductions during the Year

2

1

17

9

102

225

228

35

348

269

          (iv) Depreciation to date

397

442

1628

1815

149

149

269

399

2443

2805

     10.2. Assets under construction

132

150

36

68

5

7

116

122

289

345

     10.3 Other Fixed assets

1976

1843

2169

2298

711

560

2686

2880

7544

7581

          (i) At cost as on 31st March of the preceding year

4516

3579

5956

6289

1588

1740

4572

4420

16632

16028

          (ii) Additions during the Year

652

1389

997

1223

452

237

1115

1282

3216

4130

          (iii) Deductions during the Year

111

35

162

246

191

262

319

143

781

686

          (iv) Depreciation to date

3081

3090

4622

4968

1138

1155

2682

2679

11523

11891

 11.Other Assets

24079

24122

33221

35670

10328

15335

16005

16813

83635

91940

Of which,

    (i)  Inter - office adjustments (net)

392

953

2683

1335

276

156

122

73

3473

2516

    (ii)  Interest accrued

7742

7513

9142

10078

927

1285

4546

3907

22357

22783

    (iii) Tax paid in advance/tax deducted at source

2305

3496

4354

6321

1348

1339

2779

3370

10786

14525

    (iv)  Stationery and Stamps

104

106

80

83

7

2

23

26

214

216

    (v)   Others, if any

13536

12053

16956

17809

7770

12503

8081

8608

46343

50972

 Total Assets

493953

549257

791281

922171

116384

136316

295127

367276

1696746

1975020

Source :

Annual accounts of banks of respective years .

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