(Amount in Rs. crore) |
Item |
Private Sector Banks |
Old Private Sector Banks |
New Private Sector Banks |
2006 |
2007 |
2006 |
2007 |
2006 |
2007 |
Amount |
Per cent to total |
Amount |
Per cent to total |
Amount |
Per cent to total |
Amount |
Per cent to total |
Amount |
Per cent to total |
Amount |
Per cent to total |
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 |
11 |
12 |
13 |
Liabilities |
1 |
Capital |
3,936.54 |
0.69 |
4,143.73 |
0.56 |
1,018.11 |
0.68 |
1,062.89 |
0.66 |
2,918.43 |
0.69 |
3,080.84 |
0.53 |
2 |
Reserve and Surplus |
39,886.93 |
6.98 |
46,328.98 |
6.22 |
8,665.41 |
5.78 |
9,673.54 |
6.02 |
31,221.52 |
7.4 |
36,655.44 |
6.27 |
3 |
Deposits |
4,28,455.61 |
74.95 |
5,51,987.07 |
74.05 |
1,30,455.85 |
86.99 |
1,38,249.13 |
86.1 |
2,97,999.76 |
70.67 |
4,13,737.94 |
70.74 |
|
3.1. |
Demand Deposits |
56,895.28 |
9.95 |
73,340.02 |
9.84 |
13,503.03 |
9 |
14,033.46 |
8.74 |
43,392.25 |
10.29 |
59,306.56 |
10.14 |
|
3.2. |
Savings Bank Deposits |
73,303.91 |
12.82 |
91,341.76 |
12.25 |
24,079.89 |
16.06 |
25,701.68 |
16.01 |
49,224.02 |
11.67 |
65,640.08 |
11.22 |
|
3.3. |
Term Deposits |
2,98,256.42 |
52.18 |
3,87,305.29 |
51.96 |
92,872.93 |
61.93 |
98,513.99 |
61.36 |
2,05,383.49 |
48.71 |
2,88,791.30 |
49.38 |
4 |
Borrowings |
49,486.52 |
8.66 |
70,131.41 |
9.41 |
2,633.16 |
1.76 |
3,219.52 |
2.01 |
46,853.36 |
11.11 |
66,911.89 |
11.44 |
5 |
Other Liabilities and Provisions |
49,865.56 |
8.72 |
72,812.81 |
9.77 |
7,199.65 |
4.8 |
8,356.84 |
5.2 |
42,665.91 |
10.12 |
64,455.97 |
11.02 |
Total Liabilities |
5,71,631.15 |
100 |
7,45,404.00 |
100 |
1,49,972.18 |
100 |
1,60,561.92 |
100 |
4,21,658.97 |
100 |
5,84,842.08 |
100 |
Assets |
1 |
Cash and balances with RBI |
23,597.68 |
4.13 |
41,016.70 |
5.5 |
7,067.25 |
4.71 |
8,895.69 |
5.54 |
16,530.43 |
3.92 |
32,121.01 |
5.49 |
2 |
Balances with banks and money |
23,275.11 |
4.07 |
37,288.38 |
5 |
8,573.25 |
5.72 |
9,074.66 |
5.65 |
14,701.86 |
3.49 |
28,213.72 |
4.82 |
|
at call and short notice |
|
|
|
|
|
|
|
|
|
|
|
|
3 |
Investments |
1,80,567.87 |
31.59 |
2,14,654.74 |
28.8 |
45,253.80 |
30.17 |
43,646.60 |
27.18 |
1,35,314.07 |
32.09 |
1,71,008.14 |
29.24 |
|
3.1 |
In Government Securities (a+b) |
1,29,666.09 |
22.68 |
1,59,851.48 |
21.44 |
35,897.06 |
23.94 |
35,105.33 |
21.86 |
93,769.03 |
22.24 |
1,24,746.15 |
21.33 |
|
|
a. In India |
1,29,454.06 |
22.65 |
1,59,549.45 |
21.4 |
35,819.27 |
23.88 |
35,105.33 |
21.86 |
93,634.79 |
22.21 |
1,24,444.12 |
21.28 |
|
|
b. Outside India |
212.03 |
0.04 |
302.03 |
0.04 |
77.79 |
0.05 |
– |
– |
134.24 |
0.03 |
302.03 |
0.05 |
|
3.2 |
In Other Approved Securities |
482.39 |
0.08 |
337.08 |
0.05 |
446.78 |
0.3 |
308.84 |
0.19 |
35.61 |
0.01 |
28.24 |
– |
|
3.3 |
In Non-Approved Securities |
50,419.41 |
8.82 |
54,466.19 |
7.31 |
8,909.97 |
5.94 |
8,232.44 |
5.13 |
41,509.44 |
9.84 |
46,233.75 |
7.91 |
4 |
Loans and Advances |
3,12,961.77 |
54.75 |
4,14,754.81 |
55.64 |
82,956.55 |
55.31 |
92,890.08 |
57.85 |
2,30,005.22 |
54.55 |
3,21,864.73 |
55.03 |
|
4.1 |
Bills purchased and discounted |
18,432.43 |
3.22 |
20,185.71 |
2.71 |
6,069.01 |
4.05 |
5,132.64 |
3.2 |
12,363.42 |
2.93 |
15,053.07 |
2.57 |
|
4.2 |
Cash Credits, Overdrafts, etc. |
80,455.30 |
14.07 |
1,02,952.16 |
13.81 |
37,094.67 |
24.73 |
41,394.32 |
25.78 |
43,360.63 |
10.28 |
61,557.84 |
10.53 |
|
4.3 |
Term Loans |
2,14,074.05 |
37.45 |
2,91,616.95 |
39.12 |
39,792.88 |
26.53 |
46,363.12 |
28.88 |
1,74,281.17 |
41.33 |
2,45,253.83 |
41.94 |
5 |
Fixed Assets |
8,000.53 |
1.4 |
8,166.82 |
1.1 |
1,699.04 |
1.13 |
1,603.25 |
1 |
6,301.49 |
1.49 |
6,563.57 |
1.12 |
6 |
Other Assets |
23,228.17 |
4.06 |
29,522.55 |
3.96 |
4,422.28 |
2.95 |
4,451.64 |
2.77 |
18,805.89 |
4.46 |
25,070.91 |
4.29 |
Total Assets |
5,71,631.15 |
100 |
7,45,404.00 |
100 |
1,49,972.18 |
100 |
1,60,561.92 |
100 |
4,21,658.97 |
100 |
5,84,842.08 |
100 |
|