Table 3.1 : Bank Group-Wise Liablities and Assets of Scheduled Commercial Banks in India : 2004 And 2005 - RBI - Reserve Bank of India
Table 3.1 : Bank Group-Wise Liablities and Assets of Scheduled Commercial Banks in India : 2004 And 2005
(Amount in Rs. crore) |
|||||||||||||||||
As on March 31 |
|||||||||||||||||
Items |
State Bank |
of India |
Nationalised |
Foreign |
Other Scheduled |
All Scheduled |
|||||||||||
and its Associates |
Banks |
Banks |
Commercial Banks |
Commercial Banks |
|||||||||||||
2004 |
2005 |
2004 |
2005 $ |
2004 |
2005 |
2004 |
2005 * |
2004 |
2005 * |
||||||||
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
||||||||
Number |
of |
reporting banks |
8 |
8 |
19 |
20 |
33 |
31 |
30 |
28 |
90 |
87 |
|||||
Liabilities |
|||||||||||||||||
1. |
Capital |
1036 |
1036 |
13640 |
14492 |
4645 |
7013 |
3002 |
3342 |
22322 |
25881 |
||||||
2. |
Reserve |
and Surplus |
26714 |
31728 |
37835 |
52620 |
10201 |
11969 |
19496 |
27175 |
94246 |
123486 |
|||||
2.1. |
Statutory Reserves |
14432 |
17395 |
11176 |
13938 |
3087 |
3602 |
4387 |
5321 |
33082 |
40255 |
||||||
(i) |
Opening balance |
12964 |
14432 |
8456 |
11273 |
2439 |
3043 |
3355 |
4270 |
27214 |
33017 |
||||||
(ii) |
Additions during the Year |
1468 |
2963 |
2720 |
2665 |
648 |
559 |
1207 |
1115 |
6042 |
7302 |
||||||
(iii) |
Deductions |
during the |
Year |
— |
— |
— |
— |
— |
— |
175 |
64 |
174 |
64 |
||||
2.2. |
Capital Reserves |
189 |
463 |
2129 |
4591 |
1453 |
1837 |
956 |
1002 |
4726 |
7891 |
||||||
(i) |
Opening balance |
161 |
189 |
2120 |
3522 |
1254 |
1443 |
595 |
876 |
4130 |
6029 |
||||||
(ii) |
Additions during the Year |
28 |
274 |
60 |
1269 |
199 |
394 |
370 |
130 |
656 |
2066 |
||||||
(iii) |
Deductions |
during the |
Year |
— |
— |
51 |
200 |
— |
— |
9 |
4 |
60 |
204 |
||||
2.3. |
Share Premium |
3863 |
3863 |
3341 |
7127 |
— |
— |
3823 |
9496 |
11028 |
20486 |
||||||
(i) |
Opening balance |
3863 |
3863 |
3030 |
4966 |
— |
— |
3400 |
3574 |
10293 |
12403 |
||||||
(ii) |
Additions during the Year |
— |
— |
311 |
3301 |
— |
— |
427 |
6217 |
738 |
9518 |
||||||
(iii) |
Deductions |
during the |
Year |
— |
— |
— |
1140 |
— |
— |
4 |
295 |
3 |
1435 |
||||
2.4. |
Investment Fluctuations Reserves |
6368 |
7284 |
8853 |
10841 |
1057 |
1571 |
2668 |
2432 |
18946 |
22127 |
||||||
(i) |
Opening balance |
3363 |
6368 |
4366 |
8925 |
683 |
1045 |
1206 |
2567 |
9617 |
18904 |
||||||
(ii) |
Additions during the Year |
3005 |
916 |
4490 |
2259 |
377 |
526 |
1462 |
128 |
9334 |
3828 |
||||||
(iii) |
Deductions |
during the |
Year |
— |
— |
3 |
343 |
3 |
— |
— |
263 |
5 |
605 |
||||
2.5. |
Revenue and other Reserves |
1856 |
2721 |
11965 |
14389 |
3280 |
3837 |
6706 |
7782 |
23807 |
28728 |
||||||
(i) |
Opening balance |
1734 |
2144 |
11002 |
12833 |
3475 |
3373 |
6712 |
6719 |
22923 |
25068 |
||||||
(ii) |
Additions during the Year |
124 |
577 |
1380 |
2022 |
76 |
565 |
720 |
1162 |
2299 |
4326 |
||||||
(iii) |
Deductions |
during the |
Year |
2 |
— |
417 |
466 |
271 |
101 |
726 |
99 |
1415 |
666 |
||||
2.6. |
Balance of Profit |
6 |
2 |
371 |
1734 |
1324 |
1122 |
956 |
1142 |
2657 |
3999 |
||||||
3. |
Deposits |
(3.1+3.2+3.3) |
432891 |
505650 |
793947 |
930204 |
80144 |
86505 |
268550 |
312646 |
1575527 |
1834999 |
|||||
3.1. |
Demand Deposits [(i)+(ii)] |
63496 |
71261 |
77728 |
92045 |
21785 |
26069 |
40135 |
45041 |
203141 |
234414 |
||||||
(i) |
From banks |
9018 |
9700 |
2067 |
3452 |
591 |
812 |
1514 |
1424 |
13188 |
15387 |
||||||
(ii) |
From others |
54478 |
61561 |
75661 |
88593 |
21194 |
25257 |
38621 |
43617 |
189953 |
219027 |
||||||
3.2. |
Savings bank deposits |
106705 |
126217 |
214311 |
252559 |
12568 |
15505 |
40093 |
50172 |
373677 |
444452 |
||||||
3.3. |
Term Deposits [(i)+(ii)] |
262690 |
308172 |
501908 |
585600 |
45791 |
44931 |
188322 |
217433 |
998709 |
1156133 |
||||||
(i) |
From banks |
7721 |
7622 |
17872 |
22992 |
17576 |
9304 |
22244 |
24868 |
65412 |
64784 |
||||||
(ii) |
From others |
254969 |
300550 |
484036 |
562608 |
28215 |
35627 |
166078 |
192565 |
933297 |
1091349 |
||||||
3A. |
Deposits of branches |
in India |
424070 |
491401 |
766856 |
897376 |
80132 |
86498 |
267185 |
308886 |
1538242 |
1784160 |
|||||
3B. |
Deposits of branches |
outside India |
8820 |
14249 |
27091 |
32827 |
11 |
7 |
1364 |
3759 |
37287 |
50841 |
|||||
Total (3.A + 3.B) |
432890 |
505650 |
793947 |
930203 |
80143 |
86505 |
268549 |
312645 |
1575529 |
1835001 |
|||||||
Notes : $ Includes IDBI Ltd. |
(Amount in |
Rs. crore) |
||||||||||||
As on March 31 |
|||||||||||||
Items |
State Bank |
of India |
Nationalised |
Foreign |
Other Scheduled |
All Scheduled |
|||||||
and its Associates |
Banks |
Banks |
Commercial Banks |
Commercial Banks |
|||||||||
2004 |
2005 |
2004 |
2005 $ |
2004 |
2005 |
2004 |
2005 * |
2004 |
2005 * |
||||
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
||||
4. |
Borrowings |
16815 |
23475 |
13921 |
69405 |
25002 |
30993 |
40366 |
44444 |
96101 |
168314 |
||
4.1. |
Borrowings in India |
1668 |
2093 |
4633 |
51794 |
12693 |
14885 |
30362 |
27655 |
49354 |
96425 |
||
(i) From Reserve Bank of India |
— |
— |
50 |
59 |
27 |
— |
— |
45 |
76 |
103 |
|||
(ii) From other banks |
195 |
152 |
1603 |
5137 |
7887 |
10962 |
6423 |
7219 |
16107 |
23469 |
|||
(iii) From other institutions and agencies |
1473 |
1941 |
2980 |
46598 |
4779 |
3923 |
23939 |
20391 |
33171 |
72853 |
|||
4.2. |
Borrowings outside India |
15147 |
21382 |
9288 |
17611 |
12309 |
16108 |
10004 |
16789 |
46747 |
71889 |
||
5. |
Other |
liabilities and provisions |
71801 |
65185 |
62827 |
80147 |
16324 |
17649 |
35863 |
38197 |
186813 |
201177 |
|
(i) |
Bills Payable |
20384 |
11899 |
12293 |
15267 |
2156 |
2878 |
7781 |
6710 |
42613 |
36753 |
||
(ii) |
Inter-office adjustments |
7359 |
19010 |
3600 |
2257 |
21 |
45 |
869 |
1212 |
11849 |
22524 |
||
(iii) |
Interest accured |
22088 |
11839 |
4170 |
6280 |
1350 |
1395 |
2674 |
2499 |
30282 |
22013 |
||
(iv) |
Subordinate debt. |
3653 |
4030 |
8011 |
6948 |
1167 |
1172 |
11491 |
10935 |
24323 |
23085 |
||
(v) |
Deferred Tax Liabilities |
1 |
— |
393 |
890 |
2 |
4 |
187 |
116 |
582 |
1010 |
||
(vi) |
Others (including provisions) |
18316 |
18407 |
34360 |
48505 |
11628 |
12155 |
12861 |
16725 |
77164 |
95792 |
||
Total |
Liabilities |
549257 |
627074 |
922170 |
1146868 |
136316 |
154129 |
367277 |
425804 |
1975009 |
2353857 |
||
6. |
Cash |
and balances with RBI |
26162 |
25220 |
58080 |
64772 |
7277 |
6771 |
21725 |
21190 |
113244 |
117951 |
|
6.1. |
Cash in hand |
1629 |
1767 |
4922 |
5136 |
296 |
346 |
2119 |
2368 |
8966 |
9616 |
||
6.2. |
Balances with RBI |
24533 |
23453 |
53158 |
59636 |
6981 |
6425 |
19606 |
18822 |
104278 |
108335 |
||
(i) In current accoount |
24533 |
23453 |
50552 |
57883 |
4540 |
5693 |
19606 |
18722 |
99231 |
105751 |
|||
(ii) In other account |
— |
— |
2606 |
1753 |
2441 |
732 |
— |
100 |
5047 |
2584 |
|||
7. |
Balances with banks and money at |
||||||||||||
call and short notice (7.1+7.2) |
27334 |
28068 |
30115 |
37202 |
9660 |
11260 |
14854 |
19548 |
81958 |
96077 |
|||
7.1. |
In India (7.1.1+7.2.2) |
18567 |
20471 |
17576 |
24643 |
6223 |
8034 |
11723 |
14998 |
54085 |
68145 |
||
7.1.1. |
Balances with Banks |
4047 |
5356 |
13348 |
17179 |
4926 |
6988 |
9818 |
10364 |
32138 |
39887 |
||
(i) In current accoount |
755 |
1065 |
3969 |
4903 |
471 |
669 |
2262 |
2525 |
7456 |
9162 |
|||
(ii) In other deposit account |
3292 |
4291 |
9379 |
12276 |
4455 |
6319 |
7556 |
7839 |
24682 |
30725 |
|||
7.1.2 |
Money at call and short notice |
14520 |
15115 |
4228 |
7464 |
1297 |
1046 |
1905 |
4634 |
21947 |
28258 |
||
(i) with Banks |
14520 |
14990 |
2804 |
5561 |
962 |
1040 |
1452 |
4161 |
19736 |
25751 |
|||
(ii) with other institutions |
— |
125 |
1424 |
1903 |
335 |
6 |
453 |
473 |
2211 |
2507 |
|||
7.2 |
Outside India (7.2.1+7.2.2) |
8767 |
7597 |
12539 |
12559 |
3437 |
3226 |
3131 |
4550 |
27873 |
27932 |
||
7.2.1 |
Balances with Banks |
2870 |
3392 |
8335 |
9973 |
2614 |
2270 |
1845 |
2996 |
15664 |
18631 |
||
(i) In current account |
2526 |
1676 |
2096 |
1753 |
572 |
324 |
710 |
1027 |
5904 |
4780 |
|||
(ii) In other deposit account |
344 |
1716 |
6239 |
8220 |
2042 |
1946 |
1135 |
1969 |
9760 |
13851 |
|||
7.2.2 |
Money at call and short notice |
5897 |
4205 |
4204 |
2586 |
823 |
956 |
1286 |
1554 |
12209 |
9301 |
||
Notes: $ Includes IDBI Ltd. * Excludes Sangli Bank. |
(Amount in |
Rs. crore) |
||||||||||||||
As on March 31 |
|||||||||||||||
Items |
State Bank |
of India |
Nationalised |
Foreign |
Other Scheduled |
All Scheduled |
|||||||||
and its Associates |
Banks |
Banks |
Commercial Banks |
Commercial Banks |
|||||||||||
2004 |
2005 |
2004 |
2005 $ |
2004 |
2005 |
2004 |
2005 * |
2004 |
2005 * |
||||||
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
||||||
8. |
Investments (8.1 + 8.2) |
247775 |
260705 |
377903 |
425026 |
41587 |
42518 |
135491 |
138968 |
802751 |
867211 |
||||
8.1 |
In India in |
243783 |
256063 |
369439 |
416113 |
41587 |
42518 |
135046 |
137380 |
789852 |
852070 |
||||
(i) |
Government securities |
213606 |
230661 |
293445 |
333685 |
32650 |
34031 |
96141 |
96219 |
635842 |
694595 |
||||
(ii) |
Other approved securities |
5753 |
4646 |
11785 |
10817 |
172 |
215 |
791 |
602 |
18500 |
16280 |
||||
(iii) |
Shares |
1121 |
1333 |
2563 |
5801 |
453 |
426 |
2717 |
2602 |
6854 |
10162 |
||||
(iv) |
Debentures |
and Bonds |
18818 |
15451 |
51250 |
53977 |
8103 |
7049 |
22960 |
24393 |
101130 |
100869 |
|||
(v) |
Subsidiaries |
and/or joint ventures |
1465 |
1563 |
1087 |
1787 |
— |
— |
1348 |
1555 |
3900 |
4905 |
|||
(vi) |
Others |
3020 |
2409 |
9309 |
10046 |
209 |
797 |
11089 |
12009 |
23626 |
25259 |
||||
8.2 |
Outside India in |
3992 |
4642 |
8464 |
8913 |
— |
— |
445 |
1588 |
12899 |
15141 |
||||
(i) |
Government securities |
203 |
518 |
2578 |
2732 |
— |
— |
97 |
114 |
2877 |
3363 |
||||
(ii) |
Subsidiaries |
and/or joint ventures |
277 |
246 |
240 |
240 |
— |
— |
320 |
782 |
836 |
1268 |
|||
(iii) |
Others |
3512 |
3878 |
5646 |
5941 |
— |
— |
28 |
692 |
9186 |
10510 |
||||
9. |
Advances |
220516 |
284727 |
412224 |
569944 |
60507 |
75318 |
170385 |
220337 |
863630 |
1150326 |
||||
9A. |
(i) |
Bills purchased |
and discounted |
20987 |
27454 |
26939 |
37545 |
6437 |
7516 |
14207 |
19309 |
68569 |
91823 |
||
(ii) |
Cash credits, overdrafts & loans repayble |
99889 |
109131 |
199723 |
240709 |
26830 |
30771 |
45393 |
55965 |
371835 |
436576 |
||||
(iii) |
Term loans |
99640 |
148142 |
185562 |
291690 |
27240 |
37031 |
110785 |
145063 |
423226 |
621927 |
||||
Total |
220516 |
284727 |
412224 |
569944 |
60507 |
75318 |
170385 |
220337 |
863630 |
1150326 |
|||||
9B. |
(i) |
Secured by |
tangible assets |
170405 |
212786 |
330302 |
442448 |
35494 |
43638 |
144942 |
180003 |
681143 |
878874 |
||
(ii) |
Covered by Bank/Government Guarantees |
16231 |
12432 |
26946 |
41303 |
4433 |
4235 |
8786 |
9593 |
56396 |
67562 |
||||
(iii) |
Unsecured |
33880 |
59509 |
54976 |
86193 |
20580 |
27445 |
16657 |
30741 |
126091 |
203888 |
||||
Total |
220516 |
284727 |
412224 |
569944 |
60507 |
75318 |
170385 |
220337 |
863630 |
1150324 |
|||||
9.C.I |
Adavances in India |
204609 |
260827 |
387291 |
540945 |
60508 |
75318 |
169073 |
213813 |
821479 |
1090902 |
||||
(i) |
Priority sectors |
67949 |
92049 |
149535 |
202167 |
14058 |
19408 |
45079 |
56752 |
276621 |
370376 |
||||
(ii) |
Public sectors |
34088 |
33088 |
58981 |
71657 |
248 |
670 |
8052 |
8807 |
101369 |
114223 |
||||
(iii) |
Banks |
2552 |
228 |
1961 |
3396 |
398 |
238 |
1641 |
2488 |
6550 |
6349 |
||||
(iv) |
others |
100020 |
135462 |
176814 |
263725 |
45804 |
55002 |
114301 |
145766 |
436939 |
599954 |
||||
Notes: $ Includes IDBI Ltd. |
(Amount in |
Rs. crore) |
|||||||||||||
As on March 31 |
||||||||||||||
Items |
State Bank |
of India |
Nationalised |
Foreign |
Other Scheduled |
All Scheduled |
||||||||
and its Associates |
Banks |
Banks |
Commercial Banks |
Commercial Banks |
||||||||||
2004 |
2005 |
2004 |
2005 $ |
2004 |
2005 |
2004 |
2005 * |
2004 |
2005 * |
|||||
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
(9) |
(10) |
|||||
9.C.II. Adavances Outside India |
15908 |
23900 |
24933 |
28999 |
— |
— |
1310 |
6525 |
42149 |
59420 |
||||
(i) |
Due from Banks |
892 |
1406 |
4709 |
5558 |
— |
— |
— |
1038 |
5600 |
8001 |
|||
(ii) |
Due from Others |
15016 |
22494 |
20224 |
23441 |
— |
— |
1310 |
5487 |
36549 |
51419 |
|||
a) Bills purchased and discounted |
5156 |
9012 |
3760 |
7037 |
— |
— |
650 |
2538 |
9565 |
18586 |
||||
b) Syndicate loans |
5276 |
6556 |
5711 |
4597 |
— |
— |
196 |
1193 |
11183 |
12345 |
||||
c) Others |
4584 |
6926 |
10753 |
11807 |
— |
— |
464 |
1756 |
15801 |
20488 |
||||
Total (9.C.I + 9.C.II) |
220517 |
284727 |
412224 |
569944 |
60508 |
75318 |
170383 |
220338 |
863628 |
1150322 |
||||
10. |
Fixed Assets |
3349 |
3463 |
8176 |
9979 |
1951 |
1882 |
7926 |
7696 |
21400 |
23018 |
|||
10.1 |
Premises |
845 |
1020 |
5607 |
6386 |
1306 |
1244 |
3072 |
3257 |
10830 |
11908 |
|||
(i) |
At cost as on 31st March of the preceding year |
1215 |
1287 |
6290 |
7429 |
1479 |
1346 |
3028 |
3191 |
12011 |
13253 |
|||
(ii) |
Additions during the Year |
73 |
231 |
1141 |
1060 |
201 |
188 |
478 |
552 |
1893 |
2030 |
|||
(iii) |
Deductions during the |
Year |
1 |
— |
9 |
16 |
225 |
97 |
35 |
31 |
269 |
144 |
||
(iv) |
Depreciation to date |
442 |
498 |
1815 |
2087 |
149 |
193 |
399 |
455 |
2805 |
3231 |
|||
10.2. |
Assets under construction |
150 |
129 |
68 |
62 |
7 |
10 |
122 |
54 |
345 |
255 |
|||
10.3 |
Other |
Fixed assets |
1843 |
1965 |
2298 |
3015 |
560 |
613 |
2880 |
2807 |
7581 |
8399 |
||
(i) |
At cost as on 31st March of the preceding year |
3579 |
4933 |
6289 |
7886 |
1740 |
1770 |
4420 |
4887 |
16028 |
19476 |
|||
(ii) |
Additions during the Year |
1389 |
1089 |
1223 |
1565 |
237 |
261 |
1282 |
1075 |
4130 |
3989 |
|||
(iii) |
Deductions during the |
Year |
35 |
177 |
246 |
174 |
262 |
160 |
143 |
114 |
686 |
625 |
||
(iv) |
Depreciation to date |
3090 |
3880 |
4968 |
6262 |
1155 |
1258 |
2679 |
3041 |
11891 |
14441 |
|||
10.4 |
Assets on Lease |
511 |
349 |
203 |
516 |
78 |
15 |
1852 |
1578 |
2644 |
2456 |
|||
(i) |
At cost as on 31st March of the preceding year |
1522 |
1408 |
537 |
2077 |
17 |
21 |
3166 |
3035 |
5241 |
6540 |
|||
(ii) |
Additions during the Year |
— |
— |
82 |
47 |
83 |
13 |
123 |
18 |
288 |
77 |
|||
(iii) |
Deductions during the |
Year |
202 |
156 |
41 |
130 |
5 |
6 |
172 |
244 |
419 |
536 |
||
(iv) |
Depreciation to date |
809 |
903 |
375 |
1478 |
17 |
13 |
1265 |
1231 |
2466 |
3625 |
|||
11. |
Other Assets |
24122 |
24891 |
35671 |
39943 |
15335 |
16378 |
16896 |
18064 |
92019 |
93603 |
|||
(i) |
Inter - office adjustments (net) |
953 |
425 |
1335 |
2184 |
156 |
78 |
73 |
117 |
2516 |
2803 |
|||
(ii) |
Interest accrued |
7513 |
7157 |
10078 |
10529 |
1285 |
1327 |
3907 |
3465 |
22783 |
22477 |
|||
(iii) |
Tax paid in advance/tax deducted at source |
3496 |
3305 |
6321 |
8234 |
1339 |
1132 |
3370 |
4223 |
14525 |
16895 |
|||
(iv) |
Stationery and Stamps |
106 |
106 |
83 |
94 |
2 |
1 |
26 |
34 |
216 |
235 |
|||
(v) |
Others |
12054 |
13898 |
17854 |
18902 |
12553 |
13840 |
9520 |
10225 |
51979 |
51193 |
|||
Total |
Assets |
549258 |
627074 |
922169 |
1146866 |
136317 |
154127 |
367277 |
425803 |
1975002 |
2348186 |
|||
Notes: $ Includes IDBI Ltd. * Excludes Sangli Bank. |