B1 : Liabilities and Assets of Scheduled Commercial Banks : 2005 and 2006 (Part 4 of 6)
(Amount in Rs. lakh)
Items
As on March 31
UFJ Bank
2005
2006
(61)
(62)
1.
Capital
18680
(57.7)
2.
Reserves and Surplus
4102
( 12.7)
2.1.
Statutory Reserves
895
2.2.
Capital Reserves
75
2.3.
Share Premium
—
2.4.
Investments Fluctuations Reserves
245
2.5.
Revenue and other Reserves
2887
2.6.
Balance of Profit
—
3.
Deposits
7080
(21.9)
Type-wise
3A.1. Demand deposits
3325
(i)
From banks
56
(ii)
From others
3269
3A.2.
Savings bank deposits
833
3A.3.
Term deposits
2922
(i)
From banks
—
(ii)
From others
2922
Location-wise
3B.1.
Deposits of branches in India
7079
3B.2.
Deposits of branches outside India
—
4.
Borrowings
2297
(7.1)
4.1.
Borrowings in India
—
(i)
From Reserve Bank of India
—
(ii)
From other banks
—
(iii)
From other institutions and agencies
—
4.2.
Borrowings outside India
2297
Secured borrowings included in 4.
—
5.
Other Liabilities
240
(0.7)
5.1.
Bills Payable
85
5.2.
Inter-office adjustments
—
5.3.
Interest accured
12
5.4.
Others (including provisions)
143
Total Liabilities
32399
Note: Figures in brackets indicate per cent share in total. Source: Annual accounts of banks of respective years.
(Amount in Rs. lakh)
Items
As on March 31
UFJ Bank
2005
2006
(61)
(62)
1.
Cash in hand
3
(0.0)
2.
Balances with RBI
669
(2.1)
3.
Balances with banks in India
7622
(23.5)
4.
Money at call and short notice
6700
(20.7)
5.
Balances with banks outside India
373
(1.2)
6.
Investments
6022
(18.6)
6.1.
Investments in India
6022
(i)
Government securities
4093
(ii)
Other approved securities
—
(iii)
Shares
—
(iv)
Debentures and Bonds
2000
(v)
Subsidiaries and/or joint ventures
—
(vi)
Others
-71
6.2.
Investments outside India
—
(i)
Government securities
0
(ii)
Subsidiaries and/or joint ventures
—
(iii)
Others
—
7.
Advances
10228
(31.6)
Type-wise
7A.1.
Bills purchased and discounted
100
7A.2.
Cash credits, overdrafts & loans
9470
7A.3.
Term loans
658
Security-wise
7B.1.
Secured by tangible assets
5850
7B.2.
Covered by Bank/Govt. Guarantees
—
7B.3.
Unsecured
4378
Sector-wise
7C.I.
Advances in India
10228
(i)
Priority sectors
1305
(ii)
Public sectors
—
(iii)
Banks
—
(iv)
others
8923
7C.II.
Advances outside India
—
8.
Fixed Assets
186
(0.6)
8.1.
Premises
1
8.2.
Fixed assets under construction
—
8.3.
Other Fixed assets
185
9.
Other Assets
599
(1.8)
9.1
Inter - office adjustments (net)
—
9.2
Interest accrued
120
9.3
Tax paid
362
9.4
Stationery and Stamps
—
9.5
Others
117
Total Assets
32402
(100.0)
(Amount in Rs. lakh)
Items
As on March 31
Bank of Punjab #
Bank of Rajasthan
Bharat Overseas Bank
2005
2006
2005
2006
2005
2006
(1)
(2)
(3)
(4)
(5)
(6)
1.
Capital
10500
10757
10757
1575
1575
(2.1)
(1.2)
(1.1)
(0.5)
(0.4)
2.
Reserves and Surplus
13619
24316
25508
18264
18881
(2.8)
(2.7)
(2.6)
(5.7)
(5.1)
2.1.
Statutory Reserves
7526
11052
11434
6084
6254
2.2.
Capital Reserves
2340
2333
2318
38
74
2.3.
Share Premium
—
3785
3785
—
—
2.4.
Investments Fluctuations Reserves
3653
5680
—
3232
—
2.5.
Revenue and other Reserves
100
1149
1187
8795
12501
2.6.
Balance of Profit
—
317
6784
115
52
3.
Deposits
430662
812031
889127
274924
324405
(87.8)
(88.7)
(90.2)
(85.5)
(87.0)
Type-wise
3A.1. Demand deposits
77989
114123
139985
25321
24007
(i)
From banks
5531
4175
5449
—
—
(ii)
From others
72458
109948
134536
25321
24007
3A.2.
Savings bank deposits
124845
151722
186092
53309
50543
3A.3.
Term deposits
227828
546186
563050
196294
249855
(i)
From banks
25346
157048
137038
14794
19516
(ii)
From others
202482
389138
426012
181500
230339
Location-wise
3B.1.
Deposits of branches in India
430662
812031
889128
243004
288611
3B.2.
Deposits of branches outside India
—
—
—
31920
35794
4.
Borrowings
841
20716
1104
7395
7929
(0.2)
(2.3)
(0.1)
( 2.3)
( 2.1)
4.1.
Borrowings in India
841
15856
938
1300
3099
(i)
From Reserve Bank of India
—
—
—
—
—
(ii)
From other banks
—
512
52
1300
600
(iii)
From other institutions and agencies
841
15344
886
—
2499
4.2.
Borrowings outside India
—
4860
166
6095
4830
Secured borrowings included in 4.
—
14411
32
—
—
5.
Other Liabilities
34896
47650
58865
19284
20251
(7.1)
(5.2)
(6.0)
(6.0)
(5.4)
5.1.
Bills Payable
11950
6868
8971
4071
3251
5.2.
Inter-office adjustments
94
1885
6290
—
—
5.3.
Interest accured
2055
213
476
978
2010
5.4.
Others (including provisions)
20797
38684
43128
14235
14990
Total Liabilities
490518
915470
985361
321442
373041
(100.0)
(100.0)
(100.0)
(100.0)
(100.0)
Notes: Figures in brackets indicate per cent share in total. # See “Explanatory Notes’ Source: Annual accounts of banks of respective years.
(Amount in Rs. lakh)
Items
As on March 31
Bank of Punjab #
Bank of Rajasthan
Bharat Overseas Bank
2005
2006
2005
2006
2005
2006
(1)
(2)
(3)
(4)
(5)
(6)
1.
Cash in hand
6293
10333
9081
2031
2423
(1.3)
(1.1)
(0.9)
(0.6)
(0.6)
2.
Balances with RBI
26295
24718
41464
9461
11244
(5.4)
(2.7)
(4.2)
(2.9)
(3.0)
3.
Balances with banks in India
18273
182684
228330
19526
38777
(3.7)
(20.0)
(23.2)
(6.1)
(10.4)
4.
Money at call and short notice
3500
27001
12815
1900
2639
(0.7)
(2.9)
(1.3)
(0.6)
(0.7)
5.
Balances with banks outside India
3662
202
184
9108
1114
(0.7)
(0.0)
(0.0)
(2.8)
(0.3)
6.
Investments
140267
351465
256653
98570
96059
(28.6)
(38.4)
(26.0)
(30.7)
(25.8)
6.1.
Investments in India
140267
351465
256653
90962
88280
(i)
Government securities
112251
267258
185281
70417
70314
(ii)
Other approved securities
—
15465
14262
581
581
(iii)
Shares
1053
2508
2208
436
430
(iv)
Debentures and Bonds
3572
47129
36670
18811
14538
(v)
Subsidiaries and/or joint ventures
—
35
35
—
—
(vi)
Others
23391
19070
18197
717
2417
6.2.
Investments outside India
—
—
—
7608
7779
(i)
Government securities
—
—
—
7579
7779
(ii)
Subsidiaries and/or joint ventures
—
—
—
—
—
(iii)
Others
—
—
—
29
—
7.
Advances
241698
289617
406497
165140
205352
(49.3)
(31.6)
(41.3)
(51.4)
(55.0)
Type-wise
7A.1.
Bills purchased and discounted
11145
12485
14533
11963
18221
7A.2.
Cash credits, overdrafts & loans
86627
131206
147542
90094
108215
7A.3.
Term loans
143926
145926
244422
63083
78916
Security-wise
7B.1.
Secured by tangible assets
216085
229071
345831
137842
165301
7B.2.
Covered by Bank/Govt. Guarantees
9923
34381
14159
8877
9445
7B.3.
Unsecured
15691
26165
46506
18420
30606
Sector-wise
7C.I.
Advances in India
241699
289616
406495
134642
172249
(i)
Priority sectors
53515
80244
97031
41140
51286
(ii)
Public sectors
36745
28600
36044
17583
26652
(iii)
Banks
—
4654
5033
2500
4000
(iv)
others
151439
176118
268387
73419
90311
7C.II.
Advances outside India
—
—
—
30498
33103
8.
Fixed Assets
18636
12545
13603
3612
3557
(3.8)
(1.4)
(1.4)
(1.1)
(1.0)
8.1.
Premises
879
8186
9126
305
283
8.2.
Fixed assets under construction
320
—
—
1637
1637
8.3.
Other Fixed assets
17437
4359
4477
1670
1637
9.
Other Assets
31889
16903
16735
12094
11875
(6.5)
(1.8)
(1.7)
(3.8)
(3.2)
9.1
Inter - office adjustments (net)
—
—
—
3756
2486
9.2
Interest accrued
2467
9328
7918
1923
2273
9.3
Tax paid
3882
1024
2650
2782
3358
9.4
Stationery and Stamps
79
170
387
117
82
9.5
Others
25461
6381
5780
3516
3676
Total Assets
490513
915468
985362
321442
373040
(100.0)
(100.0)
(100.0)
(100.0)
(100.0)
(Amount in Rs. lakh)
Items
As on March 31
Catholic Syrian Bank
Centurion Bank of Punjab #
City Union Bank
2005
2006
2005
2006
2005
2006
(7)
(8)
(9)
(10)
(11)
(12)
1.
Capital
1067
1071
10132
14083
2400
2400
(0.2)
(0.2)
(2.2)
(1.2)
(0.7)
(0.6)
2.
Reserves and Surplus
19918
20486
48872
79037
21672
26214
(4.5)
(4.3)
(10.6)
(7.0)
(6.2)
(6.4)
2.1.
Statutory Reserves
9681
9834
2963
12684
13974
17474
2.2.
Capital Reserves
551
655
65
65
1279
1307
2.3.
Share Premium
1158
1165
44952
57572
2018
2018
2.4.
Investments Fluctuations Reserves
1131
35 *
883
—
—
—
2.5.
Revenue and other Reserves
7396
8796
9
1344
4396
5411
2.6.
Balance of Profit
1
1
—
7372
5
4
3.
Deposits
402111
428885
353038
939964
309523
351774
(90.7)
(89.8)
(76.6)
(83.0)
(88.6)
(85.2)
Type-wise
3A.1. Demand deposits
24752
24174
51356
142990
29027
32773
(i)
From banks
43
9
3652
4658
87
38
(ii)
From others
24709
24165
47704
138332
28940
32735
3A.2.
Savings bank deposits
86316
99681
51110
221039
38617
47942
3A.3.
Term deposits
291043
305030
250572
575935
241879
271059
(i)
From banks
—
—
53920
100131
275
18619
(ii)
From others
291043
305030
196652
475804
241604
252440
Location-wise
3B.1.
Deposits of branches in India
402112
428885
353038
939964
309524
351774
3B.2.
Deposits of branches outside India
—
—
—
—
—
—
4.
Borrowings
46
31
4375
5157
2219
7519
(0.0)
(0.0)
(0.9)
(0.5)
(0.6)
(1.8)
4.1.
Borrowings in India
46
31
—
695
2219
5734
(i)
From Reserve Bank of India
—
—
—
—
—
1500
(ii)
From other banks
—
—
—
—
—
3
(iii)
From other institutions and agencies
46
31
—
695
2219
4231
4.2.
Borrowings outside India
—
—
4375
4462
—
1785
Secured borrowings included in 4.
—
—
—
—
—
—
5.
Other Liabilities
20373
26909
44751
94778
13725
24799
(4.6)
(5.6)
(9.7)
(8.4)
(3.9)
(6.0)
5.1.
Bills Payable
2113
1456
9776
31896
5500
9901
5.2.
Inter-office adjustments
1580
3050
—
202
873
—
5.3.
Interest accured
2190
2473
2484
5844
1080
2743
5.4.
Others (including provisions)
14490
19930
32491
56836
6272
12155
Total Liabilities
443515
477382
461168
1133019
349539
412706
(100.0)
(100.0)
(100.0)
(100.0)
(100.0)
(100.0)
Notes: igures in brackets indicate per cent share in total. # See “Explanatory Notes’ * This amount corresponds to investment reserve. Source: Annual accounts of banks of respective years.
(Amount in Rs. lakh)
Items
As on March 31
Catholic Syrian Bank
Centurion Bank of Punjab #
City Union Bank
2005
2006
2005
2006
2005
2006
(7)
(8)
(9)
(10)
(11)
(12)
1.
Cash in hand
3353
3327
4766
16749
3723
6480
(0.8)
(0.7)
(1.0)
(1.5)
(1.1)
(1.6)
2.
Balances with RBI
33021
28605
28424
38903
12387
14894
(7.4)
(6.0)
(6.2)
(3.4)
(3.5)
(3.6)
3.
Balances with banks in India
25888
15206
10501
21420
4986
4575
(5.8)
(3.2)
(2.3)
(1.9)
(1.4)
(1.1)
4.
Money at call and short notice
5000
500
1102
26146
—
—
(1.1)
(0.1)
(0.2)
(2.3)
—
—
5.
Balances with banks outside India
1169
2016
1501
1386
1588
688
(0.3)
(0.4)
(0.3)
(0.1)
(0.5)
(0.2)
6.
Investments
132301
143159
147964
292283
110223
105747
(29.8)
(30.0)
(32.1)
(25.8)
(31.5)
(25.6)
6.1.
Investments in India
132301
143159
147964
292283
110223
105747
(i)
Government securities
116456
119814
138044
237579
100390
89460
(ii)
Other approved securities
1667
1147
25
25
690
690
(iii)
Shares
132
176
869
936
166
158
(iv)
Debentures and Bonds
10104
7644
2680
4942
7896
7885
(v)
Subsidiaries and/or joint ventures
—
—
—
—
—
208
(vi)
Others
3942
14378
6346
48801
1081
7346
6.2.
Investments outside India
—
—
—
—
—
—
(i)
Government securities
—
—
—
—
—
—
(ii)
Subsidiaries and/or joint ventures
—
—
—
—
—
—
(iii)
Others
—
—
—
—
—
—
7.
Advances
228933
269487
219395
653344
201296
254953
(51.6)
(56.5)
(47.6)
(57.7)
(57.6)
(61.8)
Type-wise
7A.1.
Bills purchased and discounted
7736
7748
5124
20846
9772
9568
7A.2.
Cash credits, overdrafts & loans
96663
114801
38413
138609
135935
155222
7A.3.
Term loans
124534
146938
175858
493889
55589
90163
Security-wise
7B.1.
Secured by tangible assets
220726
260867
201070
529563
183222
235888
7B.2.
Covered by Bank/Govt. Guarantees
530
433
1411
38938
5028
7027
7B.3.
Unsecured
7677
8187
16914
84843
13046
12038
Sector-wise
7C.I.
Advances in India
228933
269487
219395
653344
201296
254953
(i)
Priority sectors
71980
91838
62543
197872
80243
104079
(ii)
Public sectors
6850
6286
101
11835
5028
7027
(iii)
Banks
—
3900
621
5295
—
—
(iv)
others
150103
167463
156130
438342
116025
143847
7C.II.
Advances outside India
—
—
—
—
—
—
8.
Fixed Assets
4335
4814
13643
31130
3136
3602
(1.0)
(1.0)
(3.0)
(2.7)
(0.9)
(0.9)
8.1.
Premises
2573
2503
4584
4620
934
894
8.2.
Fixed assets under construction
—
—
—
174
—
—
8.3.
Other Fixed assets
1762
2311
9059
26336
2202
2708
9.
Other Assets
9514
10268
33872
51658
12200
21764
(2.1)
(2.2)
(7.3)
(4.6)
(3.5)
(5.3)
9.1
Inter - office adjustments (net)
—
—
—
—
—
6244
9.2
Interest accrued
4441
4172
4360
9135
2075
2262
9.3
Tax paid
1783
2138
6295
8755
7813
10490
9.4
Stationery and Stamps
117
108
28
86
44
35
9.5
Others
3173
3850
23189
33682
2268
2733
Total Assets
443514
477382
461168
1133019
349539
412703
(100.0)
(100.0)
(100.0)
(100.0)
(100.0)
(100.0)
(Amount in Rs. lakh)
Items
As on March 31
Development Credit Bank
Dhanalakshmi Bank
Federal Bank
2005
2006
2005
2006
2005
2006
(13)
(14)
(15)
(16)
(17)
(18)
1.
Capital
6550
7613
3206
3206
6560
8560
(1.4)
(2.0)
(1.2)
(1.1)
(0.4)
(0.4)
2.
Reserves and Surplus
13393
8806
8207
10233
65776
116438
(2.9)
(2.4)
(3.1)
(3.6)
(3.9)
(5.6)
2.1.
Statutory Reserves
8090
8090
2898
3183
26569
32200
2.2.
Capital Reserves
5367
5316
633
1965
8134
8603
2.3.
Share Premium
14739
18729
3833
3832
10906
42495
2.4.
Investments Fluctuations Reserves
1305
—
856
—
15667
15667
2.5.
Revenue and other Reserves
—
—
1121
1252
4270
16127
2.6.
Balance of Profit
-16108
-23329
-1134
1
230
1346
3.
Deposits
389476
312400
233884
253268
1519288
1787874
(83.6)
(83.5)
(88.4)
(88.9)
(90.3)
(86.6)
Type-wise
3A.1. Demand deposits
34375
40538
27140
27899
86108
93825
(i)
From banks
200
185
16
11
2218
822
(ii)
From others
34175
40353
27124
27888
83890
93003
3A.2.
Savings bank deposits
54062
59608
35706
45342
286471
353415
3A.3.
Term deposits
301039
212254
171038
180027
1146709
1340634
(i)
From banks
74289
36040
780
11466
29891
58882
(ii)
From others
226750
176214
170258
168561
1116818
1281752
Location-wise
3B.1.
Deposits of branches in India
389476
312400
233884
253267
1519288
1787874
3B.2.
Deposits of branches outside India
—
—
—
—
—
—
4.
Borrowings
15977
12980
583
19
18590
61050
(3.4)
(3.5)
(0.2)
(0.0)
(1.1)
(3.0)
4.1.
Borrowings in India
9853
8564
498
19
5466
50978
(i)
From Reserve Bank of India
—
—
—
—
—
—
(ii)
From other banks
—
3000
—
—
4374
200
(iii)
From other institutions and agencies
9853
5564
498
19
1092
50778
4.2.
Borrowings outside India
6124
4416
85
—
13124
10072
Secured borrowings included in 4.
—
—
—
—
—
—
5.
Other Liabilities
40550
32374
18568
18148
71883
90369
(8.7)
(8.7)
(7.0)
(6.4)
(4.3)
(4.4)
5.1.
Bills Payable
6466
6046
2944
2894
4250
6437
5.2.
Inter-office adjustments
—
—
—
—
12587
12259
5.3.
Interest accured
3462
3339
1640
2422
2089
5221
5.4.
Others (including provisions)
30622
22989
13984
12832
52957
66452
Total Liabilities
465946
374173
264448
284874
1682097
2064291
(100.0)
(100.0)
(100.0)
(100.0)
(100.0)
(100.0)
Note: Figures in brackets indicate per cent share in total. Source: Annual accounts of banks of respective years.
(Amount in Rs. lakh)
Items
As on March 31
Development Credit Bank
Dhanalakshmi Bank
Federal Bank
2005
2006
2005
2006
2005
2006
(13)
(14)
(15)
(16)
(17)
(18)
1.
Cash in hand
3121
1980
4914
4894
15500
15777
(0.7)
(0.5)
(1.9)
(1.7)
(0.9)
(0.8)
2.
Balances with RBI
18990
17268
15490
12708
53427
105681
(4.1)
(4.6)
(5.9)
(4.5)
(3.2)
(5.1)
3.
Balances with banks in India
10651
5635
12973
13107
66974
62655
(2.3)
(1.5)
(4.9)
(4.6)
(4.0)
(3.0)
4.
Money at call and short notice
—
—
—
—
14800
2500
—
—
—
—
(0.9)
(0.1)
5.
Balances with banks outside India
3081
5190
636
169
4887
635
(0.7)
(1.4)
(0.2)
(0.1)
(0.3)
(0.0)
6.
Investments
183383
129192
70799
70960
579916
627237
(39.4)
(34.5)
(26.8)
(24.9)
(34.5)
(30.4)
6.1.
Investments in India
183383
129192
70799
70960
579916
627237
(i)
Government securities
161003
100032
63805
66566
506993
567871
(ii)
Other approved securities
2999
2701
258
256
1466
918
(iii)
Shares
247
247
1148
493
5972
8492
(iv)
Debentures and Bonds
12776
18962
5588
3645
52837
37623
(v)
Subsidiaries and/or joint ventures
—
—
—
—
50
50
(vi)
Others
6358
7250
—
—
12598
12283
6.2.
Investments outside India
—
—
—
—
—
—
(i)
Government securities
—
—
—
—
—
—
(ii)
Subsidiaries and/or joint ventures
—
—
—
—
—
—
(iii)
Others
—
—
—
—
—
—
7.
Advances
215606
186732
141015
159435
882259
1173647
(46.3)
(49.9)
(53.3)
(56.0)
(52.5)
(56.9)
Type-wise
7A.1.
Bills purchased and discounted
12000
18274
8013
10683
121071
129374
7A.2.
Cash credits, overdrafts & loans
43200
39790
73285
69546
380096
529187
7A.3.
Term loans
160406
128668
59717
79206
381092
515086
Security-wise
7B.1.
Secured by tangible assets
169390
134330
115756
139060
693738
961760
7B.2.
Covered by Bank/Govt. Guarantees
6063
—
9064
8045
102137
55853
7B.3.
Unsecured
40153
52402
16194
12329
86384
156034
Sector-wise
7C.I.
Advances in India
215606
186732
141014
159435
882259
1173646
(i)
Priority sectors
70649
55433
42208
56714
283621
402585
(ii)
Public sectors
281
4472
10119
15055
42763
71989
(iii)
Banks
850
—
2479
565
14782
10038
(iv)
others
143826
126827
86208
87101
541093
689034
7C.II.
Advances outside India
—
—
—
—
—
—
8.
Fixed Assets
11641
10716
3577
5340
18543
17387
(2.5)
(2.9)
(1.4)
(1.9)
(1.1)
(0.8)
8.1.
Premises
6774
6527
1618
2914
11980
11817
8.2.
Fixed assets under construction
—
—
—
—
—
—
8.3.
Other Fixed assets
4867
4189
1959
2426
6563
5570
9.
Other Assets
19474
17461
15043
18262
45787
58770
(4.2)
(4.7)
(5.7)
(6.4)
(2.7)
(2.8)
9.1
Inter - office adjustments (net)
302
42
2801
2685
—
—
9.2
Interest accrued
2201
2040
2992
3565
17007
19494
9.3
Tax paid
8903
9346
2460
2531
23990
32635
9.4
Stationery and Stamps
36
32
11
12
198
228
9.5
Others
8032
6001
6779
9469
4592
6413
Total Assets
465947
374174
264447
284875
1682093
2064289
(100.0)
(100.0)
(100.0)
(100.0)
(100.0)
(100.0)
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