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بھارت کے ریزرو بینک کے اندر مختلف افعال کے بارے میں مزید جانیں
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(Amount in Rs. crore)
As on March 31
Items
State Bank of India & its Associates
Nationalised Banks $
Foreign Banks
Other Scheduled Commercial Banks
All Scheduled Commercial Banks
2005
2006
2006*
(1)
(2)
(3)
(4)
(5)
(6)
(7)
(8)
(9)
(10)
Number of reporting banks
8
20
31
29
27
88
84
Liabilities
1.
Capital
1036
14492
11294
7013
8940
3365
3934
25904
25204
2.
Reserve and Surplus
31728
36595
52639
66090
11970
15347
27371
39876
123703
157906
2.1.
Statutory Reserves
17395
20869
13938
16786
3602
5006
5342
6766
40276
49426
(i)
Opening balance
14432
11273
3043
3587
4291
5263
33038
40183
(ii)
Additions during the Year
2963
3474
2665
2848
559
1419
1115
1503
7302
9243
(iii)
Deductions during the Year
—
64
2.2.
Capital Reserves
463
614
4773
5372
1837
2611
1043
1167
8116
9763
189
3609
4859
1443
1832
917
1019
6157
8173
274
151
1366
721
394
779
130
156
2164
1806
202
208
4
205
216
2.3.
Share Premium
3863
7127
12095
9629
18559
20618
34517
4966
8007
3574
9496
12403
21366
3301
4088
6350
9421
9650
13509
1140
295
358
1435
2.5.
Investment Fluctuations Reserves
7284
10841
625
1576
294
2435
415
22134
1334
6368
8925
1049
1573
2570
2397
18911
22094
916
2259
11
527
39
128
873
3828
922
343
10227
1318
263
2855
605
21682
2.6.
Revenue and other Reserves
2721
11247
14151
28376
3868
6160
7780
10068
28520
55852
2144
12649
14162
3405
3895
6718
7769
24916
28547
577
8555
1966
14286
564
2321
1162
2690
4269
27852
464
72
101
56
100
391
665
547
Balance of Profit
2
1809
2836
1087
1276
1142
2901
4039
7014
3.
Deposits (3.1 + 3.2 + 3.3)
505650
542410
930891
1080072
86390
113746
314629
428252 1837557
2164476
3.1.
Demand Deposits [(i) + (ii)]
71261
85355
92045
111999
26002
38697
45221
56883
234527
292932
From banks
9700
9151
3452
4560
816
875
1428
1839
15395
16425
From others
61561
76204
88593
107439
25186
37822
43793
55044
219132
276507
3.2.
Savings bank deposits
126217
150051
252446
300737
15505
18783
50663
73260
444831
542830
3.3.
Term Deposits [(i) + (ii)]
308172
307004
586400
667336
44883
56266
218745
298109
1158199
1328714
7622
5640
22992
26319
9204
2575
25267
32588
65084
67122
300550
301364
563408
641017
35679
53691
193478
265521 1093115
1261592
3A.
Deposits of branches in India
491401
528592
898064
1037460
86389
113745
310871
419323
1786724
2099120
3B.
Deposits of branches outside India
14249
13818
32827
42612
3759
8928
50834
65357
Total (3.A + 3.B)
314630
428251 1837558
2164477
Notes : 1. $ Includes IDBI Ltd. 2. * Excludes Ganesh Bank of Kurundwad. Source: Annual accounts of banks of respective years.
4.
Borrowings
23740
37600
69405
78188
30847
40161
44360
49485
168349
205431
4.1.
Borrowings in India
2358
9510
51794
59826
14936
21809
27571
23797
96657
114939
From Reserve Bank of India
165
59
798
4127
45
82
103
5171
From other banks
152
1383
5137
7523
11062
11856
7218
7937
23568
28699
From other institutions
2206
7962
46598
51505
3874
5826
20308
15778
72986
81069
and agencies
4.2.
Borrowings outside India
21382
28090
17611
18362
15911
18352
16789
25688
71692
90492
5.
Other liabilities and provisions
64963
74231
79439
87384
17419
23393
38168
49861
199985
234863
Bills Payable
11899
21565
15267
15986
2878
3284
6722
8709
36765
49543
Inter-office adjustments
19010
13452
2257
2416
33
1212
990
22524
16891
Interest accured
11839
4923
5480
5784
1393
1389
2510
3053
21221
15148
(iv)
Subordinate debt.
4030
6981
6948
18920
1172
2137
11019
14267
23168
42304
(v)
Deferred Tax Liabilities
890
330
116
194
1010
525
(vi)
Others (including provisions)
18185
27310
48597
43948
11927
16548
16589
22648
95297
110452
Total Liabilities
627117
691872 1146866 1323028
153639
201587
427893
571408 2355498 2787880
6.
Cash and balances with RBI
25220
31029
64772
81741
6759
8108
21325
23584
118073
144460
6.1.
Cash in hand
1767
2441
5136
5713
346
335
2396
3625
9644
12113
6.2.
Balances with RBI
23453
28588
59636
76028
6413
7773
18929
19959
108429
132347
In current account
57883
75620
5681
7441
18829
19859
105845
131507
In other account
1753
408
732
332
2584
840
7.
Balances with banks and money at
call and short notice (7.1 + 7.2)
28068
28227
37202
46189
11411
18717
18675
23262
95355
116392
7.1
In India (7.1.1 + 7.2.2)
20471
12753
24643
25601
8184
8969
14120
14065
67418
61387
7.1.1
Balances with Banks
5356
1773
17179
17998
7138
8484
10217
11669
39890
39924
1065
1181
4903
5512
669
556
2539
2513
9176
9762
In other deposit account
592
12276
12486
6469
7928
7678
9156
30714
30162
7.1.2
Money at call and short notice
15115
10980
7464
7603
1046
485
3903
27528
21463
with Banks
14990
10276
5561
6645
1040
484
3430
2116
25021
19521
with other institutions
125
704
1903
958
6
1
473
280
2507
1942
7.2
Outside India (7.2.1 + 7.2.2)
7597
15474
12559
20588
3227
9748
4555
9197
27937
55005
7.2.1
3392
6379
9973
17006
1833
3719
3001
6612
18199
33715
1676
2533
1642
324
680
1032
1565
4785
6419
1716
3846
8220
15364
1509
3039
1969
5047
13414
27296
7.2.2
4205
9095
2586
3582
1394
6029
1554
2585
9738
21290
8.
Investments (8.1 + 8.2)
260705
224945
425509
408795
42858
53562
140668
180489
869733
867787
8.1
In India in
256063
219546
416745
398149
139080
175900
854741
847154
Government securities
230661
192661
333685
323899
34043
42061
97033
129367
695421
687989
Other approved securities
4646
4303
10817
9080
215
85
613
481
16291
13948
Shares
1333
1691
5801
6024
427
431
2598
2906
10158
11052
Debentures and Bonds
15451
11751
54609
46119
7071
6746
23899
24145
101030
88760
Subsidiaries and / or joint ventures
1563
2063
1776
2446
1624
4962
6450
Others
2409
7077
10057
10581
1102
4239
13313
17059
26879
38955
8.2
Outside India in
4642
5399
8764
10646
1588
4589
14992
20633
518
647
2732
3098
114
212
3363
3957
246
382
240
782
1192
1268
1814
3878
4370
5792
7308
692
3185
10361
14862
9.
Advances
284754
371519
569461
734609
75319
97555
221303
312873
1150834
1516555
9A.
Bills purchased and discounted
27454
31369
37545
44321
7495
9520
19408
18438
91902
103648
Cash credits, overdrafts &
loans repayble on loan
109133
139908
240126
308887
30798
39759
56962
80412
437018
568965
Term loans
148167
200242
291790
381401
37026
48276
144933
214023
621914
843942
Total
9B.
Secured by tangible assets
212773
268786
442448
556904
43638
51456
180741
250146
879599
1127292
Covered by Bank/
Government Guarantees
12474
24853
41303
47478
4235
4798
9707
10248
67718
87376
Unsecured
59507
77881
85709
130227
27445
41301
30856
52480
203517
301888
371520
569460
75318
221304
312874 1150834
1516556
9.C.I.
Advances in India
260854
344576
540462
702250
214780
300019
1091411
1444397
Priority sectors
92068
125025
202167
265806
19412
26218
56957
95688
370602
512736
Public sectors
33089
32779
71657
80846
670
833
8983
9392
114399
123849
Banks
228
807
3396
6175
238
367
2599
1629
6460
8978
others
135469
185965
263242
349423
54998
70137
146241
193310
599950
798834
9.C.II
Advances Outside India
23900
26945
28999
32358
6525
12855
59420
72156
Due from Banks
1406
2239
5558
7104
1038
1856
8001
11199
Due from Others
22494
24706
23441
25254
5487
10999
51419
60957
a) Bills purchased and
discounted
9012
8229
7037
9154
2538
4465
18586
21847
b) Syndicate loans
6556
6389
4597
4417
1193
2970
12345
13775
c) Others
6926
10088
11807
11683
1756
3564
20488
25335
Total (9.C.I + 9.C.II)
371521
734608
221305
312874 1150831
1516553
10.
Fixed Assets
3463
3951
9979
10711
1882
2405
7728
7989
23049
25057
10.1
Premises
1020
1311
6386
6928
1244
1711
3285
3375
11935
13326
At cost as on 31st March of
the preceding year
1287
1518
7429
7747
1346
1281
3231
3584
13293
14129
231
359
1060
1664
188
726
552
404
2030
3153
16
270
97
86
144
402
Depreciation to date
498
2087
2213
193
210
467
568
3244
3554
10.2
Assets under construction
129
62
63
10
54
162
255
317
10.3
Other Fixed assets
1965
3015
3288
667
2811
3170
8403
9484
4933
5845
7886
9285
1770
1868
4906
5527
19495
22525
1089
1486
1500
261
1076
1438
3990
4754
177
234
174
230
160
225
107
796
3880
4739
6262
7267
1258
1306
3057
3688
14457
16999
10.4
Assets on Lease
349
200
516
432
15
1578
1282
2456
1930
1408
1368
2077
1993
21
28
3035
2900
6540
6289
47
60
13
12
18
32
77
104
222
325
244
277
536
832
903
946
1478
1296
1231
1373
3631
11.
Other Assets
24905
32200
39943
40981
15409
21236
18197
23209
98450
117625
Inter - office adjustments (net)
438
2184
78
146
119
190
2817
3482
Interest accrued
7157
6598
10529
10350
1327
1844
3489
5008
22501
23799
Tax paid in advance/
tax deducted at source
3305
1817
8234
11963
1058
1189
4843
16836
19812
Stationery and Stamps
106
110
94
44
13899
22535
18902
16556
12945
18056
10321
13124
56066
70271
Total Assets
627115
691871 1146866
1323026
153638
201583
427896
571406 2355494
2787876
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