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83744728

B1 : Liabilities and assets of Scheduled Commercial Banks - 2006 and 2007 (Part 3 of 4)

(Amount in Rs. lakh)

 

As on March 31

 

ABN Amro

Abu Dhabi

American Express

Items

Bank

Commercial Bank

Bank

 

2006

2007

2006

2007

2006

2007

 

(1)

(2)

(3)

(4)

(5)

(6)

1.

Capital

16902

16902

20

20

14760

14760

 

 

 

 

(0.7)

(0.5)

(0.0)

(0.0)

(4.0)

(3.7)

 

 

 

 

 

 

 

 

 

 

2.

Reserves and Surplus

141957

180492

7561

7753

25118

29550

 

 

 

 

(6.0)

(5.6)

(11.0)

(9.8)

(6.9)

(7.3)

 

2.1.

 

Statutory Reserves

31765

41399

1422

1470

11914

12276

 

2.2.

 

Capital Reserves

163

163

147

147

837

4565

 

2.3.

 

Share Premium

 

2.4.

 

Investments Fluctuations Reserves

16500

 

2.5.

 

Revenue and other Reserves

19718

19718

8375

8375

741

 

2.6.

 

Balance of Profit

73811

119212

-2383

-2239

11626

12709

3.

Deposits

1186377

1599830

45866

47379

225991

266411

 

 

 

 

(50.4)

(49.9)

(66.5)

(59.7)

(61.8)

(65.9)

 

Type-wise

 

 

 

 

 

 

 

3A.1. Demand deposits

322785

367021

5473

5920

62934

58219

 

(i)

 

From banks

7958

5294

337

24

6126

4102

 

(ii)

 

From others

314827

361727

5136

5896

56808

54117

 

3A.2.

Savings bank deposits

191612

236474

7446

8052

24699

21811

 

3A.3.

Term deposits

671980

996335

32947

33407

138358

186381

 

(i)

 

From banks

33965

97

 

(ii)

 

From others

671980

996335

32947

33407

104393

186284

 

Location-wise

 

 

 

 

 

 

 

3B.1.

Deposits of branches in India

1186377

1599830

45867

47379

225992

266410

 

3B.2.

Deposits of branches outside India

4.

Borrowings

712990

722654

13400

21000

66309

59763

 

 

 

 

(30.3)

(22.5)

(19.4)

(26.5)

(18.1)

(14.8)

 

4.1.

 

Borrowings in India

326284

378856

13400

21000

63200

54547

 

(i)

 

From Reserve Bank of India

23600

 

(ii)

 

From other banks

298784

353256

13400

21000

63200

54547

 

(iii)

 

From other institutions and agencies

27500

2000

 

4.2.

 

Borrowings outside India

386706

343798

3109

5216

 

Secured borrowings included in 4.

27500

23600

5.

Other Liabilities

295773

687891 *

2085

3160

33347

33883

 

 

 

 

(12.6)

(21.4)

(3.0)

(4.0)

(9.1)

(8.4)

 

5.1.

 

Bills Payable

39973

76256

375

413

2673

2569

 

5.2.

 

Inter-office adjustments

121

61

48

12

3088

1597

 

5.3.

 

Interest accured

8139

8319

960

1224

548

834

 

5.4.

 

Others (including provisions)

247540

603255

702

1511

27038

28883

 

 

 

 

 

 

 

 

 

 

 

Total Liabilities

2353999

3207769

68932

79312

365525

404367

 

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

Note : Figures in brackets indicate per cent share in total.
* Includes “Innovative perpetual debt” of Rs.19940 lakh.
Source : Annual accounts of banks of respective years.



(Amount in Rs. lakh)

 

As on March 31

 

ABN Amro

Abu Dhabi

American Express

Items

Bank

Commercial Bank

Bank

 

2006

2007

2006

2007

2006

2007

 

(1)

(2)

(3)

(4)

(5)

(6)

1.

Cash in hand

5982

7119

98

73

886

981

 

 

 

(0.3)

(0.2)

(0.1)

(0.1)

(0.2)

(0.2)

2.

Balances with RBI

70113

154146

1957

3218

25718

16305

 

 

 

(3.0)

(4.8)

(2.8)

(4.1)

(7.0)

(4.0)

3.

Balances with banks in India

1650

8097

26169

25142

164

977

 

 

 

(0.1)

(0.3)

(38.0)

(31.7)

(0.0)

(0.2)

4.

Money at call and short notice

59008

22216

1561

3851

1252

 

 

 

(2.5)

(0.7)

(2.3)

(4.9)

(0.3)

5.

Balances with banks outside India

646

39144

807

299

3667

2591

 

 

 

(0.0)

(1.2)

(1.2)

(0.4)

(1.0)

(0.6)

6.

Investments

482545

640667

14208

14356

99051

195896

 

 

 

(20.5)

(20.0)

(20.6)

(18.1)

(27.1)

(48.4)

 

6.1.

Investments in India

482545

640667

14208

14356

99051

195896

 

 

(i)

Government securities

477000

639522

13137

13791

72101

95825

 

 

(ii)

Other approved securities

195

145

228

228

 

 

(iii)

Shares

18

 

 

(iv)

Debentures and Bonds

5350

1000

843

264

7073

3902

 

 

(v)

Subsidiaries and/or joint ventures

 

 

(vi)

Others

73

19859

96169

 

6.2.

Investments outside India

 

 

(i)

Government securities

 

 

(ii)

Subsidiaries and/or joint ventures

 

 

(iii)

Others

7.

Advances

1507321

1838755

11861

20344

201713

159318

 

 

 

(64.0)

(57.3)

(17.2)

(25.7)

(55.2)

(39.4)

 

Type-wise

 

 

 

 

 

 

 

7A.1.

Bills purchased and discounted

198271

216064

6515

14160

1818

6536

 

7A.2.

Cash credits, overdrafts & loans

747317

682104

3822

2212

83142

91325

 

7A.3.

Term loans

561733

940587

1524

3972

116753

61457

 

Security-wise

 

 

 

 

 

 

 

7B.1.

Secured by tangible assets

894106

1144211

5663

6006

41888

7094

 

7B.2.

Covered by Bank/Govt. Guarantees

100255

52731

6178

14312

22442

21032

 

7B.3.

Unsecured

512961

641814

20

27

137383

131192

 

Sector-wise

 

 

 

 

 

 

 

7C.I.

Advances in India

1507322

1838755

11861

20345

201713

159318

 

 

(i)

Priority sectors

554191

599992

2000

2042

39948

9672

 

 

(ii)

Public sectors

8924

9861

 

 

(iii)

Banks

350

 

 

(iv)

Others

943857

1238763

18303

161765

149646

 

7C.II.

Advances outside India

8.

Fixed Assets

12590

12404

707

672

6893

5648

 

 

 

 

(0.5)

(0.4)

(1.0)

(0.8)

(1.9)

(1.4)

 

8.1.

Premises

2555

2195

577

575

1955

704

 

8.2.

Fixed assets under construction

617

1322

 

8.3.

Other Fixed assets

9418

8887

130

97

4938

4944

9.

Other Assets

214143

485215

11563

11357

26182

22649

 

 

 

(9.1)

(15.1)

(16.8)

(14.3)

(7.2)

(5.6)

 

9.1

Inter - office adjustments (net)

 

9.2

Interest accrued

14850

26696

875

776

2319

3260

 

9.3

Tax paid

6962

10219

10283

5557

5738

 

9.4

Stationery and Stamps

 

9.5

Others

192331

458519

469

298

18306

13651

 

 

 

 

 

 

 

 

 

 

Total Assets

2353998

3207763

68931

79312

365526

404365

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)



(Amount in Rs. lakh)

 

As on March 31

 

ABN Amro

Abu Dhabi

American Express

Items

 

Bank

Commercial Bank

Bank

 

 

2006

2007

2006

2007

2006

2007

 

(1)

(2)

(3)

(4)

(5)

(6)

1.

Cash in hand

5982

7119

98

73

886

981

 

 

(0.3)

(0.2)

(0.1)

(0.1)

(0.2)

(0.2)

2.

Balances with RBI

70113

154146

1957

3218

25718

16305

 

 

(3.0)

(4.8)

(2.8)

(4.1)

(7.0)

(4.0)

3.

Balances with banks in India

1650

8097

26169

25142

164

977

 

 

(0.1)

(0.3)

(38.0)

(31.7)

(0.0)

(0.2)

4.

Money at call and short notice

59008

22216

1561

3851

1252

 

 

(2.5)

(0.7)

(2.3)

(4.9)

(0.3)

5.

Balances with banks outside India

646

39144

807

299

3667

2591

 

 

(0.0)

(1.2)

(1.2)

(0.4)

(1.0)

(0.6)

6.

Investments

482545

640667

14208

14356

99051

195896

 

 

(20.5)

(20.0)

(20.6)

(18.1)

(27.1)

(48.4)

 

6.1.

Investments in India

482545

640667

14208

14356

99051

195896

 

 

(i)

Government securities

477000

639522

13137

13791

72101

95825

 

 

(ii)

Other approved securities

195

145

228

228

 

 

(iii)

Shares

18

 

 

(iv)

Debentures and Bonds

5350

1000

843

264

7073

3902

 

 

(v)

Subsidiaries and/or joint ventures

 

 

(vi)

Others

73

19859

96169

 

6.2.

Investments outside India

 

 

(i)

Government securities

 

 

(ii)

Subsidiaries and/or joint ventures

 

 

(iii)

Others

7.

Advances

1507321

1838755

11861

20344

201713

159318

 

 

 

(64.0)

(57.3)

(17.2)

(25.7)

(55.2)

(39.4)

 

Type-wise

 

 

 

 

 

 

 

7A.1.

Bills purchased and discounted

198271

216064

6515

14160

1818

6536

 

7A.2.

Cash credits, overdrafts & loans

747317

682104

3822

2212

83142

91325

 

7A.3.

Term loans

561733

940587

1524

3972

116753

61457

 

Security-wise

 

 

 

 

 

 

 

7B.1.

Secured by tangible assets

894106

1144211

5663

6006

41888

7094

 

7B.2.

Covered by Bank/Govt. Guarantees

100255

52731

6178

14312

22442

21032

 

7B.3.

Unsecured

512961

641814

20

27

137383

131192

 

Sector-wise

 

 

 

 

 

 

 

7C.I.

Advances in India

1507322

1838755

11861

20345

201713

159318

 

 

(i)

Priority sectors

554191

599992

2000

2042

39948

9672

 

 

(ii)

Public sectors

8924

9861

 

 

(iii)

Banks

350

 

 

(iv)

Others

943857

1238763

18303

161765

149646

 

7C.II.

Advances outside India

8.

Fixed Assets

12590

12404

707

672

6893

5648

 

 

 

(0.5)

(0.4)

(1.0)

(0.8)

(1.9)

(1.4)

 

8.1.

Premises

2555

2195

577

575

1955

704

 

8.2.

Fixed assets under construction

617

1322

 

8.3.

Other Fixed assets

9418

8887

130

97

4938

4944

9.

Other Assets

214143

485215

11563

11357

26182

22649

 

 

 

(9.1)

(15.1)

(16.8)

(14.3)

(7.2)

(5.6)

 

9.1

Inter - office adjustments (net)

 

9.2

Interest accrued

14850

26696

875

776

2319

3260

 

9.3

Tax paid

6962

10219

10283

5557

5738

 

9.4

Stationery and Stamps

 

9.5

Others

192331

458519

469

298

18306

13651

 

 

 

 

 

 

 

 

 

 

Total Assets

2353998

3207763

68931

79312

365526

404365

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)



(Amount in Rs. lakh)

 

As on March 31

 

Antwerp Diamond

Arab Bangladesh

Bank International

Items

Bank

Bank

Indonesia

 

2006

2007

2006

2007

2006

2007

 

(7)

(8)

(9)

(10)

(11)

(12)

1.

Cash in hand

17

23

29

30

 

 

(0.3)

(0.3)

(0.2)

(0.3)

2.

Balances with RBI

3001

2391

61

78

133

182

 

 

(4.6)

(3.9)

(0.9)

(1.1)

(1.1)

(1.7)

3.

Balances with banks in India

3980

415

373

316

4093

4179

 

 

(6.2)

(0.7)

(5.5)

(4.4)

(34.7)

(39.3)

4.

Money at call and short notice

726

4030

400

200

285

375

 

 

(1.1)

(6.5)

(5.9)

(2.8)

(2.4)

(3.5)

5.

Balances with banks outside India

2

642

1052

1613

78

85

 

 

(0.0)

(1.0)

(15.6)

(22.6)

(0.7)

(0.8)

6.

Investments

14148

15752

817

922

1646

1329

 

 

(21.9)

(25.4)

(12.1)

(12.9)

(14.0)

(12.5)

 

6.1.

Investments in India

14148

15752

817

922

1646

1329

 

 

(i)

Government securities

14148

15752

672

777

815

423

 

 

(ii)

Other approved securities

431

431

 

 

(iii)

Shares

 

 

(iv)

Debentures and Bonds

400

475

 

 

(v)

Subsidiaries and/or joint ventures

 

 

(vi)

Others

145

145

 

6.2.

Investments outside India

 

 

(i)

Government securities

 

 

(ii)

Subsidiaries and/or joint ventures

 

 

(iii)

Others

7.

Advances

42246

37529

3405

3322

716

66

 

 

 

(65.3)

(60.5)

(50.5)

(46.5)

(6.1)

(0.6)

 

Type-wise

 

 

 

 

 

 

 

7A.1.

Bills purchased and discounted

1814

1717

701

 

7A.2.

Cash credits, overdrafts & loans

42131

37431

431

243

15

66

 

7A.3.

Term loans

115

98

1160

1362

 

Security-wise

 

 

 

 

 

 

 

7B.1.

Secured by tangible assets

41299

36403

244

208

15

65

 

7B.2.

Covered by Bank/Govt. Guarantees

926

1099

921

780

 

7B.3.

Unsecured

21

27

2240

2334

701

 

Sector-wise

 

 

 

 

 

 

 

7C.I.

Advances in India

42246

37529

3405

3322

716

66

 

 

(i)

Priority sectors

42131

37431

1229

937

14

 

 

(ii)

Public sectors

 

 

(iii)

Banks

 

 

(iv)

Others

115

98

2176

2385

702

66

 

7C.II.

Advances outside India

8.

Fixed Assets

102

44

21

15

632

572

 

 

 

(0.2)

(0.1)

(0.3)

(0.2)

(5.4)

(5.4)

 

8.1.

Premises

623

566

 

8.2.

Fixed assets under construction

 

8.3.

Other Fixed assets

102

44

21

15

9

6

9.

Other Assets

504

1235

602

649

4171

3810

 

 

 

(0.8)

(2.0)

(8.9)

(9.1)

(35.4)

(35.8)

 

9.1

Inter - office adjustments (net)

 

9.2

Interest accrued

348

212

27

28

63

75

 

9.3

Tax paid

32

870

58

110

51

60

 

9.4

Stationery and Stamps

1

1

 

9.5

Others

124

153

516

510

4057

3675

 

 

 

 

 

 

 

 

 

 

Total Assets

64709

62038

6748

7138

11783

10628

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)



(Amount in Rs. lakh)

 

As on March 31

 

Bank of

Bank of Bahrain &

Bank of

Items

America

Kuwait

Ceylon

 

2006

2007

2006

2007

2006

2007

 

(13)

(14)

(15)

(16)

(17)

(18)

1.

Capital

65710

65710

5840

5840

3809

3809

 

 

(11.0)

(10.4)

(13.1)

(12.4)

(21.5)

(23.0)

 

 

 

 

 

 

 

 

2.

Reserves and Surplus

92497

112050

2938

2938

1677

1881

 

 

 

 

(15.5)

(17.7)

(6.6)

(6.3)

(9.4)

(11.4)

 

2.1.

 

Statutory Reserves

31773

36661

1190

1190

522

585

 

2.2.

 

Capital Reserves

45695

46702

37

37

 

2.3.

 

Share Premium

 

2.4.

 

Investments Fluctuations Reserves

6503

8003

 

2.5.

 

Revenue and other Reserves

8526

20684

1711

1711

 

2.6.

 

Balance of Profit

1155

1296

 

 

 

 

 

 

 

 

 

 

3.

Deposits

210621

271798

32683

36430

8715

8649

 

 

 

 

(35.3)

(43.0)

(73.3)

(77.6)

(49.1)

(52.2)

 

 

 

 

 

 

 

 

 

 

 

Type-wise

 

 

 

 

 

 

 

3A.1. Demand deposits

157555

161959

4350

4273

2726

2720

 

(i)

 

From banks

10504

19806

73

17

960

927

 

(ii)

 

From others

147051

142153

4277

4256

1766

1793

 

3A.2.

Savings bank deposits

7946

11677

4410

3564

708

720

 

3A.3.

Term deposits

45120

98162

23923

28593

5281

5209

 

(i)

 

From banks

15

 

(ii)

 

From others

45120

98162

23923

28578

5281

5209

 

 

 

 

 

 

 

 

 

 

 

Location-wise

 

 

 

 

 

 

 

3B.1.

Deposits of branches in India

210621

271797

32683

36429

8715

8649

 

3B.2.

Deposits of branches outside India

 

 

 

 

 

 

 

 

 

 

4.

Borrowings

145718

91372

1850

235

1448

 

 

 

 

(24.4)

(14.5)

(4.1)

(0.5)

(8.2)

 

4.1.

 

Borrowings in India

52342

52000

1850

235

50

 

(i)

 

From Reserve Bank of India

200

235

 

(ii)

 

From other banks

51500

52000

1650

50

 

(iii)

 

From other institutions and agencies

842

 

4.2.

 

Borrowings outside India

93376

39372

1398

 

Secured borrowings included in 4.

 

 

 

 

 

 

 

 

 

 

5.

Other Liabilities

82017

90825

1280

1533

2098

2233

 

 

 

 

(13.7)

(14.4)

(2.9)

(3.3)

(11.8)

(13.5)

 

5.1.

 

Bills Payable

11505

14051

191

136

125

146

 

5.2.

 

Inter-office adjustments

-2708

6803

 

5.3.

 

Interest accured

1316

958

248

437

11

12

 

5.4.

 

Others (including provisions)

71904

69013

841

960

1962

2075

 

 

 

 

 

 

 

 

 

 

 

Total Liabilities

596563

631755

44591

46976

17747

16572

 

 

 

 

(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)

 

As on March 31

 

Bank of

Bank of Bahrain &

Bank of

Items

America

Kuwait

Ceylon

 

2006

2007

2006

2007

2006

2007

 

(13)

(14)

(15)

(16)

(17)

(18)

1.

Cash in hand

570

464

61

68

14

56

 

 

(0.1)

(0.1)

(0.1)

(0.1)

(0.1)

(0.3)

2.

Balances with RBI

29645

19455

1410

1923

644

731

 

 

(5.0)

(3.1)

(3.2)

(4.1)

(3.6)

(4.4)

3.

Balances with banks in India

1328

3878

2504

6506

4081

3188

 

 

(0.2)

(0.6)

(5.6)

(13.8)

(23.0)

(19.2)

4.

Money at call and short notice

1918

1117

500

 

 

(4.3)

(2.4)

(3.0)

5.

Balances with banks outside India

27513

72638

2186

3763

3078

2592

 

 

(4.6)

(11.5)

(4.9)

(8.0)

(17.3)

(15.6)

6.

Investments

166375

188617

12935

10894

3036

3087

 

 

(27.9)

(29.9)

(29.0)

(23.2)

(17.1)

(18.6)

 

6.1.

Investments in India

166375

188617

12935

10894

3036

3087

 

 

(i)

Government securities

130619

134483

12129

10610

1618

1605

 

 

(ii)

Other approved securities

1418

1482

 

 

(iii)

Shares

6

6

310

284

 

 

(iv)

Debentures and Bonds

35750

45397

496

 

 

(v)

Subsidiaries and/or joint ventures

 

 

(vi)

Others

8731

 

6.2.

Investments outside India

 

 

(i)

Government securities

 

 

(ii)

Subsidiaries and/or joint ventures

 

 

(iii)

Others

7.

Advances

336907

291622

16898

17090

4870

4094

 

 

 

(56.5)

(46.2)

(37.9)

(36.4)

(27.4)

(24.7)

 

Type-wise

 

 

 

 

 

 

 

7A.1.

Bills purchased and discounted

70013

45858

6162

6333

845

614

 

7A.2.

Cash credits, overdrafts & loans

265041

239852

3713

3548

2901

2840

 

7A.3.

Term loans

1853

5912

7023

7209

1124

640

 

Security-wise

 

 

 

 

 

 

 

7B.1.

Secured by tangible assets

43574

52418

10644

9964

4516

3870

 

7B.2.

Covered by Bank/Govt. Guarantees

2245

4811

4900

31

31

 

7B.3.

Unsecured

291088

239203

1443

2227

322

192

 

Sector-wise

 

 

 

 

 

 

 

7C.I.

Advances in India

336907

291621

16898

17090

4870

4094

 

 

(i)

Priority sectors

68583

65433

3868

3840

2609

2198

 

 

(ii)

Public sectors

17500

 

 

(iii)

Banks

2120

 

 

(iv)

Others

248704

226188

13030

13250

2261

1896

 

7C.II.

Advances outside India

8.

Fixed Assets

1652

1901

624

587

10

13

 

 

 

(0.3)

(0.3)

(1.4)

(1.2)

(0.1)

(0.1)

 

8.1.

Premises

421

139

424

416

 

8.2.

Fixed assets under construction

 

8.3.

Other Fixed assets

1231

1762

200

171

10

13

9.

Other Assets

32573

53183

6054

5029

2015

2313

 

 

 

(5.5)

(8.4)

(13.6)

(10.7)

(11.4)

(14.0)

 

9.1

Inter - office adjustments (net)

13

41

 

9.2

Interest accrued

3204

6841

293

356

84

93

 

9.3

Tax paid

2280

4164

875

454

1893

2141

 

9.4

Stationery and Stamps

1

1

 

9.5

Others

27089

42178

4886

4219

24

37

 

 

 

 

 

 

 

 

 

 

Total Assets

596563

631758

44590

46977

17748

16574

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)




(Amount in Rs. lakh)

 

As on March 31

 

Bank of Nova

Bank of Tokyo-

Barclays

Items

Scotia

Mitsubishi UFJ

Bank

 

2006

2007

2006

2007

2006

2007

 

(19)

(20)

(21)

(22)

(23)

(24)

1.

Capital

13547

36455

28658

28658

113728

113728

 

 

 

 

(3.7)

(8.3)

(15.0)

(11.9)

(60.6)

(36.4)

 

 

 

 

 

 

 

 

 

 

2.

Reserves and Surplus

16774

24358

30861

35546

24048

25558

 

 

 

 

(4.5)

(5.5)

(16.2)

(14.8)

(12.8)

(8.2)

 

2.1.

 

Statutory Reserves

4262

6158

11418

12684

8400

15059

 

2.2.

 

Capital Reserves

75

75

5

5

 

2.3.

 

Share Premium

 

2.4.

 

Investments Fluctuations Reserves

1

4384

 

2.5.

 

Revenue and other Reserves

9205

12577

18949

18949

3663

3663

 

2.6.

 

Balance of Profit

3307

5623

418

3838

7596

6831

 

 

 

 

 

 

 

 

 

 

3.

Deposits

235462

198293

78427

96049

36077

101008

 

 

 

 

(63.6)

(45.0)

(41.2)

(40.0)

(19.2)

(32.3)

 

 

 

 

 

 

 

 

 

 

 

Type-wise

 

 

 

 

 

 

 

3A.1. Demand deposits

9652

10763

39498

50291

702

736

 

(i)

 

From banks

302

301

311

292

38

223

 

(ii)

 

From others

9350

10462

39187

49999

664

513

 

3A.2.

Savings bank deposits

3322

3551

10768

12205

22

98

 

3A.3.

Term deposits

222488

183979

28161

33553

35353

100174

 

(i)

 

From banks

90430

84841

29789

47638

 

(ii)

 

From others

132058

99138

28161

33553

5564

52536

 

 

 

 

 

 

 

 

 

 

 

Location-wise

 

 

 

 

 

 

 

3B.1.

Deposits of branches in India

235460

198293

78426

96049

36077

101007

 

3B.2.

Deposits of branches outside India

 

 

 

 

 

 

 

 

 

 

4.

Borrowings

82523

164469

27584

62280

10500

66000

 

 

 

 

(22.3)

(37.3)

(14.5)

(25.9)

(5.6)

(21.1)

 

4.1.

 

Borrowings in India

24993

61574

14200

45500

10500

66000

 

(i)

 

From Reserve Bank of India

116

10500

15000

 

(ii)

 

From other banks

24877

61574

14200

45500

51000

 

(iii)

 

From other institutions and agencies

 

4.2.

 

Borrowings outside India

57530

102895

13384

16780

 

Secured borrowings included in 4.

10500

15000

 

 

 

 

 

 

 

 

 

 

5.

Other Liabilities

21820

17028

24956

17869

3429

6045

 

 

 

 

(5.9)

(3.9)

(13.1)

(7.4)

(1.8)

(1.9)

 

5.1.

 

Bills Payable

930

656

10641

827

413

602

 

5.2.

 

Inter-office adjustments

320

 

5.3.

 

Interest accured

1490

1537

2711

3593

445

1228

 

5.4.

 

Others (including provisions)

19400

14515

11604

13449

2571

4215

 

 

 

 

 

 

 

 

 

 

 

Total Liabilities

370126

440603

190486

240402

187782

312339

 

 

 

 

(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)

 

As on March 31

 

Bank of Nova

Bank of Tokyo-

Barclays

 

 

Scotia

Mitsubishi UFJ

Bank

 

Items

 

 

 

 

 

 

 

2006

2007

2006

2007

2006

2007

 

 

 

 

 

 

 

 

(19)

(20)

(21)

(22)

(23)

(24)

 

 

 

 

 

 

 

1.

Cash in hand

131

127

309

272

2

6

 

 

(0.0)

(0.0)

(0.2)

(0.1)

(0.0)

(0.0)

2.

Balances with RBI

10757

15245

9002

7924

383

2439

 

 

(2.9)

(3.5)

(4.7)

(3.3)

(0.2)

(0.8)

3.

Balances with banks in India

1695

420

7634

4084

14755

15178

 

 

(0.5)

(0.1)

(4.0)

(1.7)

(7.9)

(4.9)

4.

Money at call and short notice

672

5612

3500

83430

83899

 

 

(0.2)

(1.3)

(1.8)

(44.4)

(26.9)

5.

Balances with banks outside India

624

710

448

256

715

5872

 

 

(0.2)

(0.2)

(0.2)

(0.1)

(0.4)

(1.9)

6.

Investments

98071

109503

44876

52238

58457

134205

 

 

(26.5)

(24.9)

(23.6)

(21.7)

(31.1)

(43.0)

 

6.1.

Investments in India

98071

109503

44876

52238

58457

134205

 

 

(i)

Government securities

90282

99677

34849

42431

38856

53878

 

 

(ii)

Other approved securities

275

275

200

200

 

 

(iii)

Shares

62

 

 

(iv)

Debentures and Bonds

5000

5000

9690

9532

6251

 

 

(v)

Subsidiaries and/or joint ventures

 

 

(vi)

Others

2789

4826

13150

80127

 

6.2.

Investments outside India

 

 

(i)

Government securities

 

 

(ii)

Subsidiaries and/or joint ventures

 

 

(iii)

Others

7.

Advances

244045

296907

103351

158857

433

17270

 

 

 

(65.9)

(67.4)

(54.3)

(66.1)

(0.2)

(5.5)

 

Type-wise

 

 

 

 

 

 

 

7A.1.

Bills purchased and discounted

8101

6183

118

15

709

 

7A.2.

Cash credits, overdrafts & loans

205442

270470

85914

118334

15494

 

7A.3.

Term loans

30502

20254

17319

40508

433

1067

 

Security-wise

 

 

 

 

 

 

 

7B.1.

Secured by tangible assets

84586

81405

32573

31170

373

1166

 

7B.2.

Covered by Bank/Govt. Guarantees

86617

109198

 

7B.3.

Unsecured

72842

106304

70778

127688

60

16104

 

Sector-wise

 

 

 

 

 

 

 

7C.I.

Advances in India

244045

296907

103351

158857

433

17270

 

 

(i)

Priority sectors

78181

112655

21022

35717

3006

 

 

(ii)

Public sectors

5980

10500

 

 

(iii)

Banks

 

 

(iv)

Others

165864

184252

76349

112640

433

14264

 

7C.II.

Advances outside India

8.

Fixed Assets

557

652

1314

1237

485

6452

 

 

 

(0.2)

(0.1)

(0.7)

(0.5)

(0.3)

(2.1)

 

8.1.

Premises

197

231

192

191

4

4

 

8.2.

Fixed assets under construction

21

87

 

8.3.

Other Fixed assets

360

421

1122

1025

481

6361

9.

Other Assets

13573

11429

20052

15537

29120

47016

 

 

 

(3.7)

(2.6)

(10.5)

(6.5)

(15.5)

(15.1)

 

9.1

Inter - office adjustments (net)

144

11592

4818

 

9.2

Interest accrued

2416

2960

2699

4309

920

1420

 

9.3

Tax paid

2974

1756

271

4658

 

9.4

Stationery and Stamps

1

1

 

9.5

Others

8038

6712

5761

6410

27929

40938

 

Total Assets

370125

440605

190486

240405

187780

312337

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)



(Amount in Rs. lakh)

 

As on March 31

 

BNP Paribas

Calyon Bank

Chinatrust

Items

 

 

 

 

Commercial Bank

 

(25)

(26)

(27)

(28)

(29)

(30)

1.

Capital

34513

53073

59503

59503

4640

4640

 

 

 

 

(9.2)

(12.6)

(31.8)

(18.0)

(27.8)

(24.5)

 

 

 

 

 

 

 

 

 

 

2.

Reserves and Surplus

15137

21433

12291

18590

-411

-347

 

 

 

 

(4.1)

(5.1)

(6.6)

(5.6)

 

2.1.

 

Statutory Reserves

4327

5917

6442

8686

162

178

 

2.2.

 

Capital Reserves

1310

1310

 

2.3.

 

Share Premium

 

2.4.

 

Investments Fluctuations Reserves

1

132

167

 

2.5.

 

Revenue and other Reserves

13602

14206

2507

2507

 

2.6.

 

Balance of Profit

-4103

3342

7397

-705

-692

 

 

 

 

 

 

 

 

 

 

3.

Deposits

184746

209790

37202

77473

7807

10287

 

 

 

 

(49.5)

(49.9)

(19.9)

(23.4)

(46.8)

(54.3)

 

 

 

 

 

 

 

 

 

 

 

Type-wise

 

 

 

 

 

 

 

3A.1. Demand deposits

49805

53394

15991

14263

3949

4709

 

(i)

 

From banks

310

93

327

245

 

(ii)

 

From others

49495

53301

15664

14018

3949

4709

 

3A.2.

Savings bank deposits

6844

8190

1878

3546

233

246

 

3A.3.

Term deposits

128097

148206

19333

59664

3625

5332

 

(i)

 

From banks

4385

 

(ii)

 

From others

123712

148206

19333

59664

3625

5332

 

 

 

 

 

 

 

 

 

 

 

Location-wise

 

 

 

 

 

 

 

3B.1.

Deposits of branches in India

184746

209790

37202

77474

7807

10287

 

3B.2.

Deposits of branches outside India

 

 

 

 

 

 

 

 

 

 

4.

Borrowings

89355

77179

46312

141574

4342

4079

 

 

 

 

(23.9)

(18.3)

(24.7)

(42.8)

(26.0)

(21.5)

 

4.1.

 

Borrowings in India

87460

74110

41002

131750

2000

1500

 

(i)

 

From Reserve Bank of India

1000

300

 

(ii)

 

From other banks

75500

73300

41002

131750

2000

1500

 

(iii)

 

From other institutions and agencies

10960

510

 

4.2.

 

Borrowings outside India

1895

3069

5310

9824

2342

2579

 

Secured borrowings included in 4.

 

 

 

 

 

 

 

 

 

 

5.

Other Liabilities

49594

59207

32058

33670

300

298

 

 

 

 

(13.3)

(14.1)

(17.1)

(10.2)

(1.8)

(1.6)

 

5.1.

 

Bills Payable

3938

6578

1022

1022

78

15

 

5.2.

 

Inter-office adjustments

29

 

5.3.

 

Interest accured

1489

1712

506

918

69

112

 

5.4.

 

Others (including provisions)

44167

50888

30530

31730

153

171

 

 

 

 

 

 

 

 

 

 

 

Total Liabilities

373345

420682

187366

330810

16678

18957

 

 

 

 

(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)

 

As on March 31

 

BNP Paribas

Calyon Bank

Chinatrust

Items

 

 

 

 

Commercial Bank

 

2006

2007

2006

2007

2006

2007

 

(25)

(26)

(27)

(28)

(29)

(30)

1.

Cash in hand

185

259

28

24

8

17

 

 

(0.0)

(0.1)

(0.0)

(0.0)

(0.0)

(0.1)

2.

Balances with RBI

12327

18963

5988

5175

1737

852

 

 

(3.3)

(4.5)

(3.2)

(1.6)

(10.4)

(4.5)

3.

Balances with banks in India

106

1433

115

159

177

276

 

 

(0.0)

(0.3)

(0.1)

(0.0)

(1.1)

(1.5)

4.

Money at call and short notice

33461

28256

103459

900

1500

 

 

(9.0)

(6.7)

(31.3)

(5.4)

(7.9)

5.

Balances with banks outside India

661

876

4714

5468

159

134

 

 

(0.2)

(0.2)

(2.5)

(1.7)

(1.0)

(0.7)

6.

Investments

110810

111964

42700

94784

3417

4115

 

 

(29.7)

(26.6)

(22.8)

(28.7)

(20.5)

(21.7)

 

6.1.

Investments in India

110810

111964

42700

94784

3417

4115

 

 

(i)

Government securities

101521

103175

32718

49246

2635

3333

 

 

(ii)

Other approved securities

 

 

(iii)

Shares

 

 

(iv)

Debentures and Bonds

500

9982

9981

 

 

(v)

Subsidiaries and/or joint ventures

 

 

(vi)

Others

8789

8789

35557

782

782

 

6.2.

Investments outside India

 

 

(i)

Government securities

 

 

(ii)

Subsidiaries and/or joint ventures

 

 

(iii)

Others

7.

Advances

185382

234171

101179

100330

9833

11590

 

 

 

(49.7)

(55.7)

(54.0)

(30.3)

(59.0)

(61.1)

 

Type-wise

 

 

 

 

 

 

 

7A.1.

Bills purchased and discounted

27985

21506

756

2243

2697

2821

 

7A.2.

Cash credits, overdrafts & loans

34967

67675

77055

67231

4009

4972

 

7A.3.

Term loans

122430

144990

23368

30856

3127

3797

 

Security-wise

 

 

 

 

 

 

 

7B.1.

Secured by tangible assets

85670

100724

37648

40797

3924

7493

 

7B.2.

Covered by Bank/Govt. Guarantees

19990

19885

8235

10750

 

7B.3.

Unsecured

79722

113562

55296

48783

5910

4097

 

Sector-wise

 

 

 

 

 

 

 

7C.I.

Advances in India

185382

234171

101179

100330

9834

11590

 

 

(i)

Priority sectors

54348

69452

22551

27266

2966

3630

 

 

(ii)

Public sectors

 

 

(iii)

Banks

1

 

 

(iv)

Others

131033

164719

78628

73064

6868

7960

 

7C.II.

Advances outside India

8.

Fixed Assets

4999

4997

3600

3416

30

26

 

 

 

(1.3)

(1.2)

(1.9)

(1.0)

(0.2)

(0.1)

 

8.1.

Premises

3616

3491

3074

2968

 

8.2.

Fixed assets under construction

87

262

 

8.3.

Other Fixed assets

1296

1244

526

448

30

26

9.

Other Assets

25411

19764

29040

17996

416

447

 

 

 

(6.8)

(4.7)

(15.5)

(5.4)

(2.5)

(2.4)

 

9.1

Inter - office adjustments (net)

 

9.2

Interest accrued

4322

3868

942

1499

62

73

 

9.3

Tax paid

545

7047

8146

143

164

 

9.4

Stationery and Stamps

6

4

 

9.5

Others

20538

15892

21051

8351

211

210

 

 

 

 

 

 

 

 

 

 

Total Assets

373342

420683

187364

330811

16677

18957

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)



(Amount in Rs. lakh)

 

As on March 31

 

Citibank

DBS

Deutsche

Items

 

Bank

Bank

 

2006

2007

2006

2007

2006

2007

 

(31)

(32)

(33)

(34)

(35)

(36)

 

 

 

 

 

 

 

1.

Capital

50136

160596

52223

95183

71268

121268

 

 

 

 

(1.1)

(2.4)

(16.4)

(15.7)

(5.9)

(6.8)

 

 

 

 

 

 

 

 

 

 

2.

Reserves and Surplus

384575

499682

5054

12463

59864

72718

 

 

 

 

(8.5)

(7.5)

(1.6)

(2.1)

(5.0)

(4.1)

 

2.1.

 

Statutory Reserves

96950

119449

1491

3344

37288

42744

 

2.2.

 

Capital Reserves

1104

1171

51

51

1564

1772

 

2.3.

 

Share Premium

 

2.4.

 

Investments Fluctuations Reserves

627

 

2.5.

 

Revenue and other Reserves

286521

379062

3109

3108

12044

12044

 

2.6.

 

Balance of Profit

403

5960

8968

15531

 

 

 

 

 

 

 

 

 

 

3.

Deposits

2791174

3787501

145224

383621

437990

697838

 

 

 

 

(61.4)

(57.1)

(45.7)

(63.2)

(36.3)

(39.4)

 

 

 

 

 

 

 

 

 

 

 

Type-wise

 

 

 

 

 

 

 

3A.1. Demand deposits

1011653

1092164

2485

6922

305713

481490

 

(i)

 

From banks

10950

7291

357

1067

6754

3069

 

(ii)

 

From others

1000703

1084873

2128

5855

298959

478421

 

3A.2.

Savings bank deposits

626797

742217

163

1186

22153

37516

 

3A.3.

Term deposits

1152724

1953120

142576

375513

110124

178832

 

(i)

 

From banks

89260

282298

 

(ii)

 

From others

1152724

1953120

53316

93215

110124

178832

 

 

 

 

 

 

 

 

 

 

 

Location-wise

 

 

 

 

 

 

 

3B.1.

Deposits of branches in India

2791174

3787500

145224

383622

437990

697838

 

3B.2.

Deposits of branches outside India

4.

Borrowings

818308

1267633

62678

53000

499383

694301

 

 

 

 

(18.0)

(19.1)

(19.7)

(8.7)

(41.4)

(39.2)

 

4.1.

 

Borrowings in India

391661

731322

62654

53000

435236

688067

 

(i)

 

From Reserve Bank of India

312500

46000

 

(ii)

 

From other banks

288766

299116

62654

53000

194926

409816

 

(iii)

 

From other institutions and agencies

102895

119706

240310

232251

 

4.2.

 

Borrowings outside India

426647

536311

24

64147

6234

 

Secured borrowings included in 4.

46000

 

 

 

 

 

 

 

 

 

 

5.

Other Liabilities

499554

920421

52460

62868

136522

185384

 

 

 

 

(11.0)

(13.9)

(16.5)

(10.4)

(11.3)

(10.5)

 

5.1.

 

Bills Payable

139440

138750

144

1532

19228

27008

 

5.2.

 

Inter-office adjustments

75

12

332

 

5.3.

 

Interest accured

16063

27123

1716

6303

31788

39528

 

5.4.

 

Others (including provisions)

344051

754473

50600

55033

85494

118516

 

 

 

 

 

 

 

 

 

 

 

Total Liabilities

4543747

6635833

317639

607135

1205027

1771509

 

 

 

 

(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)

 

As on March 31

 

Citibank

DBS

Deutsche

Items

 

Bank

Bank

 

 

2006

2007

2006

2007

2006

2007

 

(31)

(32)

(33)

(34)

(35)

(36)

1.

Capital

50136

160596

52223

95183

71268

121268

 

 

 

 

(1.1)

(2.4)

(16.4)

(15.7)

(5.9)

(6.8)

 

 

 

 

 

 

 

 

 

 

2.

Reserves and Surplus

384575

499682

5054

12463

59864

72718

 

 

 

 

(8.5)

(7.5)

(1.6)

(2.1)

(5.0)

(4.1)

 

2.1.

 

Statutory Reserves

96950

119449

1491

3344

37288

42744

 

2.2.

 

Capital Reserves

1104

1171

51

51

1564

1772

 

2.3.

 

Share Premium

 

2.4.

 

Investments Fluctuations Reserves

627

 

2.5.

 

Revenue and other Reserves

286521

379062

3109

3108

12044

12044

 

2.6.

 

Balance of Profit

403

5960

8968

15531

 

 

 

 

 

 

 

 

 

 

3.

Deposits

2791174

3787501

145224

383621

437990

697838

 

 

 

 

(61.4)

(57.1)

(45.7)

(63.2)

(36.3)

(39.4)

 

 

 

 

 

 

 

 

 

 

 

Type-wise

 

 

 

 

 

 

 

3A.1. Demand deposits

1011653

1092164

2485

6922

305713

481490

 

(i)

 

From banks

10950

7291

357

1067

6754

3069

 

(ii)

 

From others

1000703

1084873

2128

5855

298959

478421

 

3A.2.

Savings bank deposits

626797

742217

163

1186

22153

37516

 

3A.3.

Term deposits

1152724

1953120

142576

375513

110124

178832

 

(i)

 

From banks

89260

282298

 

(ii)

 

From others

1152724

1953120

53316

93215

110124

178832

 

Location-wise

 

 

 

 

 

 

 

3B.1.

Deposits of branches in India

2791174

3787500

145224

383622

437990

697838

 

3B.2.

Deposits of branches outside India

4.

Borrowings

818308

1267633

62678

53000

499383

694301

 

 

 

 

(18.0)

(19.1)

(19.7)

(8.7)

(41.4)

(39.2)

 

4.1.

 

Borrowings in India

391661

731322

62654

53000

435236

688067

 

(i)

 

From Reserve Bank of India

312500

46000

 

(ii)

 

From other banks

288766

299116

62654

53000

194926

409816

 

(iii)

 

From other institutions and agencies

102895

119706

240310

232251

 

4.2.

 

Borrowings outside India

426647

536311

24

64147

6234

 

Secured borrowings included in 4.

46000

5.

Other Liabilities

499554

920421

52460

62868

136522

185384

 

 

 

 

(11.0)

(13.9)

(16.5)

(10.4)

(11.3)

(10.5)

 

5.1.

 

Bills Payable

139440

138750

144

1532

19228

27008

 

5.2.

 

Inter-office adjustments

75

12

332

 

5.3.

 

Interest accured

16063

27123

1716

6303

31788

39528

 

5.4.

 

Others (including provisions)

344051

754473

50600

55033

85494

118516

 

Total Liabilities

4543747

6635833

317639

607135

1205027

1771509

 

 

 

 

(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)

 

As on March 31

 

Hongkong & Shanghai

J P Morgan Chase

Krung Thai

Items

Banking Corporation

 

Bank

Bank

 

 

2006

2007

2006

2007

2006

2007

 

(37)

(38)

(39)

(40)

(41)

(42)

1.

Capital

136775

227155

42144

103536

3584

3584

 

 

 

 

(3.6)

(4.1)

(14.6)

(16.6)

(46.4)

(38.2)

 

 

 

 

 

 

 

 

 

 

2.

Reserves and Surplus

279852

388789

12327

17611

639

782

 

 

 

 

(7.5)

(7.1)

(4.3)

(2.8)

(8.3)

(8.3)

 

2.1.

 

Statutory Reserves

54666

75806

6541

9211

332

370

 

2.2.

 

Capital Reserves

186308

218519

 

2.3.

 

Share Premium

 

2.4.

 

Investments Fluctuations Reserves

223

216

 

2.5.

 

Revenue and other Reserves

34727

58099

84

84

 

2.6.

 

Balance of Profit

4151

36365

5786

8400

112

 

 

 

 

 

 

 

 

 

 

3.

Deposits

2495512

3482465

182626

166656

3295

4923

 

 

 

 

(66.6)

(63.3)

(63.4)

(26.7)

(42.6)

(52.5)

 

 

 

 

 

 

 

 

 

 

 

Type-wise

 

 

 

 

 

 

 

3A.1. Demand deposits

888389

984817

46041

87759

1431

1998

 

(i)

 

From banks

7718

6465

37

37

 

(ii)

 

From others

880671

978352

46041

87759

1394

1961

 

3A.2.

Savings bank deposits

454184

531064

269

407

 

3A.3.

Term deposits

1152939

1966584

136585

78897

1595

2518

 

(i)

 

From banks

 

(ii)

 

From others

1152939

1966584

136585

78897

1595

2518

 

 

 

 

 

 

 

 

 

 

 

Location-wise

 

 

 

 

 

 

 

3B.1.

Deposits of branches in India

2495511

3482465

182626

166655

3295

4922

 

3B.2.

Deposits of branches outside India

 

 

 

 

 

 

 

 

 

 

4.

Borrowings

311595

488749

45223

325843

 

 

 

 

(8.3)

(8.9)

(15.7)

(52.2)

 

4.1.

 

Borrowings in India

100398

237695

45000

325812

 

(i)

 

From Reserve Bank of India

2900

1150

39000

224500

 

(ii)

 

From other banks

1452

112545

6000

59900

 

(iii)

 

From other institutions and agencies

96046

124000

41412

 

4.2.

 

Borrowings outside India

211197

251054

223

31

 

Secured borrowings included in 4.

39000

265912

 

 

 

 

 

 

 

 

 

 

5.

Other Liabilities

523574

911557

5651

10012

214

92

 

 

 

 

(14.0)

(16.6)

(2.0)

(1.6)

(2.8)

(1.0)

 

5.1.

 

Bills Payable

63172

58531

206

6

3

5

 

5.2.

 

Inter-office adjustments

152

 

5.3.

 

Interest accured

35749

41499

2688

1375

27

48

 

5.4.

 

Others (including provisions)

424653

811527

2757

8631

32

39

 

 

 

 

 

 

 

 

 

 

 

Total Liabilities

3747308

5498715

287971

623658

7732

9381

 

 

 

 

(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)

 

As on March 31

 

Hongkong & Shanghai

J P Morgan Chase

Krung Thai

Items

Banking Corporation

Bank

Bank

 

2006

2007

2006

2007

2006

2007

 

(37)

(38)

(39)

(40)

(41)

(42)

1.

Cash in hand

8701

9990

4

5

 

 

(0.2)

(0.2)

(0.1)

(0.1)

2.

Balances with RBI

136941

315338

9196

16538

245

287

 

 

(3.7)

(5.7)

(3.2)

(2.7)

(3.2)

(3.1)

3.

Balances with banks in India

20165

34796

213

405

3458

3280

 

 

(0.5)

(0.6)

(0.1)

(0.1)

(44.7)

(35.0)

4.

Money at call and short notice

115999

425902

23547

14828

180

 

 

(3.1)

(7.7)

(8.2)

(2.4)

(1.9)

5.

Balances with banks outside India

5682

18455

736

75

218

2031

 

 

(0.2)

(0.3)

(0.3)

(0.0)

(2.8)

(21.7)

6.

Investments

1214193

1413083

216343

436669

2470

2217

 

 

(32.4)

(25.7)

(75.1)

(70.0)

(31.9)

(23.6)

 

6.1.

Investments in India

1214193

1413083

216343

436669

2470

2217

 

 

(i)

Government securities

860568

1023318

107249

348493

1663

1410

 

 

(ii)

Other approved securities

5533

5533

 

 

(iii)

Shares

482

402

 

 

(iv)

Debentures and Bonds

191573

98152

10346

12210

720

720

 

 

(v)

Subsidiaries and/or joint ventures

5

5

 

 

(vi)

Others

156032

285673

98748

75966

87

87

 

6.2.

Investments outside India

 

 

(i)

Government securities

 

 

(ii)

Subsidiaries and/or joint ventures

 

 

(iii)

Others

7.

Advances

1681230

2314168

7565

79925

1054

1044

 

 

 

(44.9)

(42.1)

(2.6)

(12.8)

(13.6)

(11.1)

 

Type-wise

 

 

 

 

 

 

 

7A.1.

Bills purchased and discounted

177949

219324

393

486

 

7A.2.

Cash credits, overdrafts & loans

592616

853823

1298

426

432

 

7A.3.

Term loans

910665

1241021

7565

78627

235

126

 

Security-wise

 

 

 

 

 

 

 

7B.1.

Secured by tangible assets

949291

1214096

900

45442

1001

1010

 

7B.2.

Covered by Bank/Govt. Guarantees

92950

84781

 

7B.3.

Unsecured

638988

1015291

6665

34483

52

35

 

Sector-wise

 

 

 

 

 

 

 

7C.I.

Advances in India

1681230

2314167

7565

79925

1053

1045

 

 

(i)

Priority sectors

347455

509343

25163

173

172

 

 

(ii)

Public sectors

9890

8192

 

 

(iii)

Banks

52

 

 

(iv)

Others

1323833

1796632

7565

54762

880

873

 

7C.II.

Advances outside India

8.

Fixed Assets

42071

70216

243

202

38

78

 

 

 

 

(1.1)

(1.3)

(0.1)

(0.0)

(0.5)

(0.8)

 

8.1.

Premises

35346

59945

 

8.2.

Fixed assets under construction

 

8.3.

Other Fixed assets

6725

10271

243

202

38

78

9.

Other Assets

522327

896767

30129

75014

246

258

 

 

 

(13.9)

(16.3)

(10.5)

(12.0)

(3.2)

(2.8)

 

9.1

Inter - office adjustments (net)

 

9.2

Interest accrued

34594

44420

3346

11513

63

94

 

9.3

Tax paid

26063

32374

515

3879

24

20

 

9.4

Stationery and Stamps

49

142

 

9.5

Others

461621

819831

26268

59622

159

144

 

Total Assets

3747309

5498715

287972

623656

7733

9380

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)



(Amount in Rs. lakh)

 

As on March 31

 

Mashreq

Mizuho Corporate

Oman International

Items

Bank

Bank

Bank

 

2006

2007

2006

2007

2006

2007

 

(43)

(44)

(45)

(46)

(47)

(48)

1.

Capital

4838

4838

34434

34434

15596

15851

 

 

 

 

(54.6)

(43.8)

(63.4)

(36.9)

(36.4)

(40.1)

 

 

 

 

 

 

 

 

 

 

2.

Reserves and Surplus

1416

2452

2462

3673

569

569

 

 

 

 

(16.0)

(22.2)

(4.5)

(3.9)

(1.3)

(1.4)

 

2.1.

 

Statutory Reserves

1551

1830

684

987

569

569

 

2.2.

 

Capital Reserves

208

208

 

2.3.

 

Share Premium

 

2.4.

 

Investments Fluctuations Reserves

115

115

 

2.5.

 

Revenue and other Reserves

1677

1677

970

969

 

2.6.

 

Balance of Profit

-2135

-1378

808

1717

 

 

 

 

 

 

 

 

 

 

3.

Deposits

2144

3522

13710

26139

20257

19406

 

 

 

 

(24.2)

(31.9)

(25.3)

(28.0)

(47.3)

(49.1)

 

Type-wise

 

 

 

 

 

 

 

3A.1. Demand deposits

1283

1491

1822

7029

967

723

 

(i)

 

From banks

686

1137

62

23

192

82

 

(ii)

 

From others

597

354

1760

7006

775

641

 

3A.2.

Savings bank deposits

250

212

78

102

3751

3736

 

3A.3.

Term deposits

611

1819

11810

19008

15539

14947

 

(i)

 

From banks

9500

14000

 

(ii)

 

From others

611

1819

2310

5008

15539

14947

 

 

 

 

 

 

 

 

 

 

 

Location-wise

 

 

 

 

 

 

 

3B.1.

Deposits of branches in India

2144

3522

13710

26141

20256

19405

 

3B.2.

Deposits of branches outside India

 

 

 

 

 

 

 

 

 

 

4.

Borrowings

100

3223

26975

3123

2804

 

 

 

 

(1.1)

(5.9)

(28.9)

(7.3)

(7.1)

 

4.1.

 

Borrowings in India

100

3000

26975

1500

 

(i)

 

From Reserve Bank of India

100

1500

 

(ii)

 

From other banks

3000

26975

 

(iii)

 

From other institutions and agencies

 

4.2.

 

Borrowings outside India

223

3123

1304

 

Secured borrowings included in 4.

5.

Other Liabilities

362

232

456

2175

3276

890

 

 

 

 

(4.1)

(2.1)

(0.8)

(2.3)

(7.7)

(2.3)

 

5.1.

 

Bills Payable

24

18

78

508

115

51

 

5.2.

 

Inter-office adjustments

 

5.3.

 

Interest accured

3

2

45

331

2666

636

 

5.4.

 

Others (including provisions)

335

212

333

1336

495

203

 

Total Liabilities

8860

11044

54285

93396

42821

39520

 

 

 

 

(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)

 

As on March 31

 

Mashreq

Mizuho Corporate

Oman International

Items

Bank

Bank

Bank

 

2006

2007

2006

2007

2006

2007

 

(43)

(44)

(45)

(46)

(47)

(48)

1.

Cash in hand

3

7

24

22

 

 

(0.0)

(0.0)

(0.1)

(0.1)

2.

Balances with RBI

175

277

720

1186

1095

1180

 

 

(2.0)

(2.5)

(1.3)

(1.3)

(2.6)

(3.0)

3.

Balances with banks in India

500

165

380

10418

8799

 

 

(4.5)

(0.3)

(0.4)

(24.3)

(22.3)

4.

Money at call and short notice

706

3526

8031

7607

 

 

(8.0)

(31.9)

(14.8)

(8.1)

5.

Balances with banks outside India

228

107

499

359

545

117

 

 

(2.6)

(1.0)

(0.9)

(0.4)

(1.3)

(0.3)

6.

Investments

3707

2797

9120

15771

11453

10444

 

 

(41.8)

(25.3)

(16.8)

(16.9)

(26.7)

(26.4)

 

6.1.

Investments in India

3707

2797

9120

15771

11453

10444

 

 

(i)

Government securities

3121

2196

6752

12509

11353

10344

 

 

(ii)

Other approved securities

102

102

100

100

 

 

(iii)

Shares

 

 

(iv)

Debentures and Bonds

484

499

2200

2200

 

 

(v)

Subsidiaries and/or joint ventures

 

 

(vi)

Others

168

1062

 

6.2.

Investments outside India

 

 

(i)

Government securities

 

 

(ii)

Subsidiaries and/or joint ventures

 

 

(iii)

Others

7.

Advances

3070

3278

32799

64149

771

177

 

 

 

(34.6)

(29.7)

(60.4)

(68.7)

(1.8)

(0.4)

 

Type-wise

 

 

 

 

 

 

 

7A.1.

Bills purchased and discounted

3039

3264

137

4580

171

 

7A.2.

Cash credits, overdrafts & loans

22501

43087

347

10

 

7A.3.

Term loans

31

14

10161

16482

253

167

 

Security-wise

 

 

 

 

 

 

 

7B.1.

Secured by tangible assets

30

13

17385

20957

771

177

 

7B.2.

Covered by Bank/Govt. Guarantees

3039

3264

 

7B.3.

Unsecured

1

15415

43192

 

Sector-wise

 

 

 

 

 

 

 

7C.I.

Advances in India

3070

3278

32800

64148

771

177

 

 

(i)

Priority sectors

3039

3264

6787

19879

272

 

 

(ii)

Public sectors

 

 

(iii)

Banks

 

 

(iv)

Others

31

14

26013

44269

499

177

 

7C.II.

Advances outside India

8.

Fixed Assets

32

129

400

780

1778

1657

 

 

 

 

(0.4)

(1.2)

(0.7)

(0.8)

(4.2)

(4.2)

 

8.1.

Premises

152

387

1736

1627

 

8.2.

Fixed assets under construction

 

8.3.

Other Fixed assets

32

129

248

393

42

30

9.

Other Assets

943

428

2547

3157

16738

17121

 

 

 

 

(10.6)

(3.9)

(4.7)

(3.4)

(39.1)

(43.3)

 

9.1

Inter - office adjustments (net)

5

 

9.2

Interest accrued

73

91

349

572

551

835

 

9.3

Tax paid

751

166

493

494

 

9.4

Stationery and Stamps

 

9.5

Others

119

171

2198

2585

15694

15787

 

 

 

 

 

 

 

 

 

 

 

Total Assets

8861

11042

54284

93396

42822

39517

 

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)



(Amount in Rs. lakh)

 

As on March 31

 

Shinhan

Societe

Sonali Bank

Items

Bank #

Generale

 

 

2006

2007

2006

2007

2006

2007

 

(49)

(50)

(51)

(52)

(53)

(54)

1.

Capital

7866

16871

29835

29835

20

20

 

 

(19.9)

(31.2)

(16.5)

(10.4)

(0.7)

(0.5)

2.

Reserves and Surplus

4226

4822

4073

4990

442

495

 

 

 

(10.7)

(8.9)

(2.2)

(1.7)

(14.7)

(12.4)

 

2.1.

Statutory Reserves

3542

3942

2777

3330

354

371

 

2.2.

Capital Reserves

28

28

 

2.3.

Share Premium

 

2.4.

Investments Fluctuations Reserves

251

6

 

2.5.

Revenue and other Reserves

 

2.6.

Balance of Profit

433

880

1296

1660

54

96

3.

Deposits

14944

20772

94292

112777

2002

2810

 

 

 

(37.8)

(38.5)

(52.0)

(39.4)

(66.6)

(70.3)

 

Type-wise

 

 

 

 

 

 

 

3A.1. Demand deposits

9778

8484

4065

3006

1267

2150

 

(i)

From banks

132

268

514

1692

 

(ii)

From others

9778

8484

3933

2738

753

458

 

3A.2.

Savings bank deposits

128

208

312

1387

183

181

 

3A.3.

Term deposits

5038

12080

89915

108384

552

479

 

(i)

From banks

 

(ii)

From others

5038

12080

89915

108384

552

479

 

Location-wise

 

 

 

 

 

 

 

3B.1.

Deposits of branches in India

14944

20773

94291

112778

2002

2810

 

3B.2.

Deposits of branches outside India

4.

Borrowings

8192

5933

49538

135005

 

 

 

(20.7)

(11.0)

(27.3)

(47.1)

 

4.1.

Borrowings in India

1500

49538

135005

 

(i)

From Reserve Bank of India

 

(ii)

From other banks

1500

17650

66000

 

(iii)

From other institutions and agencies

31888

69005

 

4.2.

Borrowings outside India

6692

5933

 

Secured borrowings included in 4.

 

 

 

 

 

 

 

 

 

5.

Other Liabilities

4308

5613

3461

3754

542

671

 

 

 

(10.9)

(10.4)

(1.9)

(1.3)

(18.0)

(16.8)

 

5.1.

Bills Payable

479

715

1061

105

 

5.2.

Inter-office adjustments

6

11

 

5.3.

Interest accured

6

65

1364

1238

8

8

 

5.4.

Others (including provisions)

3823

4833

1036

2411

528

652

 

 

 

 

 

 

 

 

 

 

Total Liabilities

39536

54011

181199

286361

3006

3996

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

Note : Figures in brackets indicate per cent share in total.
# See “Explanatory Notes”.
Source : Annual accounts of banks of respective years.



(Amount in Rs. lakh)

 

As on March 31

 

Shinhan

Societe

Sonali Bank

Items

Bank #

Generale

 

 

2006

2007

2006

2007

2006

2007

 

(49)

(50)

(51)

(52)

(53)

(54)

1.

Cash in hand

28

44

26

14

64

33

 

 

(0.1)

(0.1)

(0.0)

(0.0)

(2.1)

(0.8)

2.

Balances with RBI

770

1408

4398

4816

260

311

 

 

(1.9)

(2.6)

(2.4)

(1.7)

(8.6)

(7.8)

3.

Balances with banks in India

271

24006

10062

60020

79

329

 

 

(0.7)

(44.4)

(5.6)

(21.0)

(2.6)

(8.2)

4.

Money at call and short notice

12788

750

19783

23474

100

 

 

(32.3)

(1.4)

(10.9)

(8.2)

(3.3)

5.

Balances with banks outside India

5541

41

223

451

876

2002

 

 

(14.0)

(0.1)

(0.1)

(0.2)

(29.1)

(50.1)

6.

Investments

6673

8226

108742

145672

705

538

 

 

(16.9)

(15.2)

(60.0)

(50.9)

(23.4)

(13.5)

 

6.1.

Investments in India

6673

8226

108742

145672

705

538

 

 

(i)

Government securities

5253

6866

65654

48182

436

430

 

 

(ii)

Other approved securities

 

 

(iii)

Shares

 

 

(iv)

Debentures and Bonds

1420

1360

75958

 

 

(v)

Subsidiaries and/or joint ventures

 

 

(vi)

Others

43088

21532

269

108

 

6.2.

Investments outside India

 

 

(i)

Government securities

 

 

(ii)

Subsidiaries and/or joint ventures

 

 

(iii)

Others

7.

Advances

9108

13628

27086

38487

300

334

 

 

 

(23.0)

(25.2)

(14.9)

(13.4)

(10.0)

(8.4)

 

Type-wise

 

 

 

 

 

 

 

7A.1.

Bills purchased and discounted

298

642

571

410

130

91

 

7A.2.

Cash credits, overdrafts & loans

6155

7263

16715

21485

170

243

 

7A.3.

Term loans

2655

5723

9800

16592

 

Security-wise

 

 

 

 

 

 

 

7B.1.

Secured by tangible assets

1832

4167

19364

22740

149

248

 

7B.2.

Covered by Bank/Govt. Guarantees

3880

5820

4186

4938

 

7B.3.

Unsecured

3396

3641

3536

10809

151

85

 

Sector-wise

 

 

 

 

 

 

 

7C.I.

Advances in India

9108

13628

27085

38486

300

334

 

 

(i)

Priority sectors

4501

3189

1624

6362

130

91

 

 

(ii)

Public sectors

 

 

(iii)

Banks

156

 

 

(iv)

Others

4607

10439

25461

31968

170

243

 

7C.II.

Advances outside India

8.

Fixed Assets

61

172

3456

3155

19

15

 

 

 

(0.2)

(0.3)

(1.9)

(1.1)

(0.6)

(0.4)

 

8.1.

Premises

3158

2870

 

8.2.

Fixed assets under construction

 

8.3.

Other Fixed assets

61

172

298

285

19

15

9.

Other Assets

4296

5735

7420

10273

604

435

 

 

 

(10.9)

(10.6)

(4.1)

(3.6)

(20.1)

(10.9)

 

9.1

Inter - office adjustments (net)

22

20

 

9.2

Interest accrued

321

786

2405

2932

16

20

 

9.3

Tax paid

3752

4474

986

561

279

352

 

9.4

Stationery and Stamps

1

1

 

9.5

Others

223

475

4029

6780

286

42

 

 

 

 

 

 

 

 

 

 

Total Assets

39536

54010

181196

286362

3007

3997

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)

(100.0)



(Amount in Rs. lakh)

 

As on March 31

 

Standard

Chartered

State Bank of

 

Items

 

Bank

Mauritius

 

 

2006

2007

2006

2007

 

(55)

(56)

(57)

(58)

1.

Capital

52820

52820

8339

8339

 

 

(1.1)

(0.9)

(18.6)

(16.2)

2.

Reserves and Surplus

403342

527263

4943

7109

 

 

(8.8)

(9.0)

(11.0)

(13.8)

 

2.1.

 

Statutory Reserves

177857

211965

1224

1421

 

2.2.

 

Capital Reserves

22990

31760

581

581

 

2.3.

 

Share Premium

 

2.4.

 

Investments Fluctuations Reserves

512

571

 

2.5.

 

Revenue and other Reserves

189460

283538

341

1719

 

2.6.

 

Balance of Profit

13035

2285

2817

 

 

 

 

 

 

 

 

3.

Deposits

2845980

3417405

26440

21178

 

 

 

 

(61.9)

(58.1)

(59.0)

(41.2)

 

 

 

 

 

 

 

 

 

Type-wise

 

 

 

 

 

3A.1. Demand deposits

910367

903924

2498

2617

 

(i)

 

From banks

28096

40730

21

56

 

(ii)

 

From others

882271

863194

2477

2561

 

3A.2.

Savings bank deposits

509639

554816

390

620

 

3A.3.

Term deposits

1425974

1958665

23552

17941

 

(i)

 

From banks

45434

 

(ii)

 

From others

1425974

1913231

23552

17941

 

 

 

 

 

 

 

 

 

Location-wise

 

 

 

 

 

3B.1.

Deposits of branches in India

2845981

3417404

26440

21178

 

3B.2.

Deposits of branches outside India

 

 

 

 

 

 

 

 

4.

Borrowings

791678

635182

3900

13329

 

 

 

 

(17.2)

(10.8)

(8.7)

(25.9)

 

4.1.

 

Borrowings in India

332497

441812

3900

9092

 

(i)

 

From Reserve Bank of India

5000

4200

 

(ii)

 

From other banks

255875

335362

3400

6000

 

(iii)

 

From other institutions and agencies

71622

102250

500

3092

 

4.2.

 

Borrowings outside India

459181

193370

4237

 

Secured borrowings included in 4.

500

3092

 

 

 

 

 

 

 

 

5.

Other Liabilities

501641

1252650

1221

1465

 

 

 

 

(10.9)

(21.3)

(2.7)

(2.8)

 

5.1.

 

Bills Payable

36701

42832

581

132

 

5.2.

 

Inter-office adjustments

 

5.3.

 

Interest accured

28335

36983

141

430

 

5.4.

 

Others (including provisions)

436605

1172835

499

903

 

 

 

 

 

 

 

 

 

Total Liabilities

4595461

5885320

44843

51420

 

 

 

 

(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)

 

As on March 31

 

Standard Chartered

State Bank of

Items

Bank

Mauritius

 

2006

2007

2006

2007

 

(55)

(56)

(57)

(58)

1.

Cash in hand

6844

8043

38

29

 

 

(0.1)

(0.1)

(0.1)

(0.1)

2.

Balances with RBI

133276

192311

1865

1655

 

 

(2.9)

(3.3)

(4.2)

(3.2)

3.

Balances with banks in India

77586

58056

1038

169

 

 

(1.7)

(1.0)

(2.3)

(0.3)

4.

Money at call and short notice

252451

132872

11037

 

 

(5.5)

(2.3)

(21.5)

5.

Balances with banks outside India

8649

11399

2438

5958

 

 

(0.2)

(0.2)

(5.4)

(11.6)

6.

Investments

1063172

1190229

11892

12640

 

 

(23.1)

(20.2)

(26.5)

(24.6)

 

6.1.

Investments in India

1063172

1190229

11892

12640

 

 

(i)

Government securities

807658

966933

9525

10952

 

 

(ii)

Other approved securities

 

 

(iii)

Shares

41217

1897

21

 

 

(iv)

Debentures and Bonds

181092

171318

2367

1667

 

 

(v)

Subsidiaries and/or joint ventures

7

1

 

 

(vi)

Others

33198

50080

 

6.2.

Investments outside India

 

 

(i)

Government securities

 

 

(ii)

Subsidiaries and/or joint ventures

 

 

(iii)

Others

7.

Advances

2407672

3010379

22507

13428

 

 

 

(52.4)

(51.2)

(50.2)

(26.1)

 

Type-wise

 

 

 

 

 

7A.1.

Bills purchased and discounted

169524

268247

2535

1239

 

7A.2.

Cash credits, overdrafts & loans

1190125

1518278

2951

2872

 

7A.3.

Term loans

1048023

1223854

17021

9317

 

Security-wise

 

 

 

 

 

7B.1.

Secured by tangible assets

1325980

1747044

19568

10286

 

7B.2.

Covered by Bank/Govt. Guarantees

102469

84654

1865

97

 

7B.3.

Unsecured

979224

1178681

1075

3045

 

Sector-wise

 

 

 

 

 

7C.I.

Advances in India

2407672

3010380

22506

13427

 

 

(i)

Priority sectors

690476

843540

5023

4271

 

 

(ii)

Public sectors

8806

915

29

 

 

(iii)

Banks

 

 

(iv)

Others

1708390

2165925

17454

9156

 

7C.II.

Advances outside India

8.

Fixed Assets

89138

87727

2111

3383

 

 

 

 

(1.9)

(1.5)

(4.7)

(6.6)

 

8.1.

Premises

84546

83881

1866

3204

 

8.2.

Fixed assets under construction

733

578

151

 

8.3.

Other Fixed assets

3859

3268

94

179

9.

Other Assets

556670

1194302

2955

3121

 

 

 

 

(12.1)

(20.3)

(6.6)

(6.1)

 

9.1

Inter - office adjustments (net)

 

9.2

Interest accrued

34602

42517

507

444

 

9.3

Tax paid

41752

26842

2135

2277

 

9.4

Stationery and Stamps

79

31

 

9.5

Others

480237

1124912

313

400

 

 

 

 

 

 

 

 

 

Total Assets

4595458

5885318

44844

51420

 

 

 

 

(100.0)

(100.0)

(100.0)

(100.0)

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