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Table 48 : Liabilities and Assets of Scheduled Commercial Banks - 1998-99 (Part 5 of 11)

OTHER SCHEDULED COMMERCIAL BANKS

 
 
 

(Amount in Rs. lakhs)


     

As on 31st March


Items

 

Dhanalakshmi

Federal Bank

Ganesh Bank of

Global Trust Bank

HDFC Bank

     

Bank


 

Kurundwad


 
 
     

1998


1999


1998


1999


1998


1999


1998


1999


1998


1999


 
 
 

(21)


(22)


(23)


(24)


(25)


(26)


(27)


(28)


(29)


(30)


1.

Capital

1451

1466

2171

2171

3

27

10400

10400

20000

20000

     

(1.2)

(1.1)

(0.3)

(0.3)

(-)

(0.2)

(2.8)

(2.0)

(10.6)

(4.6)

                         

2.

Reserves and Surplus

4952

5179

35238

30090

479

533

13772

18625

8513

13893

     

(4.1)

(3.8)

(4.8)

(3.7)

(4.6)

(4.3)

(3.6)

(3.6)

(3.0)

(3.2)

 

2.1.

Statutory Reserves

954

1070

11032

11916

201

205

4748

6519

3014

5074

 

2.2.

Capital Reserves

620

533

1499

961

-

-

-

-

-

-

 

2.3.

Share Premium

2731

2823

14885

14891

-

10

-

-

-

-

 

2.4.

Revenue and other Reserves

646

754

7684

2315

278

319

9021

12076

-

-

 

2.5.

Balance of Profit

2

-

138

8

-

-

3

30

5499

8819

                         

3.

Deposits

104029

123594

642442

678207

9226

11332

328537

409680

219174

291511

     

(85.9)

(89.5)

(87.9)

(84.0)

(88.1)

(90.9)

(86.9)

(78.8)

(77.4)

(67.0)

 

3.1.

Demand deposits

6779

8463

32756

43190

606

627

21381

37954

67321

98152

   

(i) From banks

3

158

3860

9269

65

101

1

54

76

306

   

(ii) From others

6777

8305

28896

33921

541

526

21380

37901

67245

97846

 

3.2.

Savings bank deposits

9676

12968

66335

84684

1557

1919

4742

12365

17735

34651

 

3.3.

Term deposits

87573

102163

543351

550334

7063

8786

302413

359361

134118

158708

   

(i) From banks

12402

9733

157964

131671

321

419

73692

105627

-

-

   

(ii) From others

75171

92430

385387

418663

6742

8367

228722

253734

134118

158708

 

3.A.

Deposits of branches in India

104029

123594

642442

678207

9226

11332

328537

409680

219174

291511

 

3.B.

Deposits of branches outside India

-

-

-

-

-

-

-

-

-

-

                         

4.

Borrowings

2419

2396

23155

48833

334

233

3638

48304

5470

44788

     

(2.0)

(1.7)

(3.2)

(6.0)

(3.2)

(1.9)

(1.0)

(9.3)

(1.9)

(10.3)

 

4.1.

Borrowings in India

2419

2396

23155

48833

334

233

1533

45778

4759

42649

   

(i) From Reserve Bank of India

39

813

825

3325

-

-

-

10000

-

12368

   

(ii) From other banks

-

-

5500

16131

-

-

-

18500

9

9788

   

(iii) From other institutions and agencies

2380

1583

16830

29377

334

233

1533

17278

4750

20493

 

4.2.

Borrowings outside India

-

-

-

-

-

-

2106

2526

711

2139

                         

5.

Other liabilities

8243

5449

28068

48142

429

336

21802

33024

19841

64804

     

(6.8)

(3.9)

(3.8)

(6.0)

(4.1)

(2.7)

(5.8)

(6.4)

(7.0)

(14.9)

 

5.1.

Bills payable

76

69

11232

15008

42

66

3987

5479

5803

24397

 

5.2.

Inter-office adjustments

2375

2331

-

-

-

64

-

-

-

-

 

5.3.

Interest accrued

927

819

4489

3432

62

90

4925

4128

3701

4951

 

5.4.

Others (including provisions)

4865


2229


12348


29702


325


117


12890


23416


10337


35456


 

Total Liabilities

121093

138084

731074

807443

10471

12461

378149

520033

282998

434996

 
 
 

(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


1.

Cash in hand

1181

1526

5867

5717

245

261

516

725

1126

1591

     

(1.0)

(1.1)

(0.8)

(0.7)

(2.3)

(2.1)

(0.1)

(0.1)

(0.4)

(0.4)

2.

Balances with RBI

8687

15147

36458

38874

905

1117

30109

46648

20084

27574

     

(7.2)

(11.0)

(5.0)

(4.8)

(8.6)

(9.0)

(8.0)

(9.0)

(7.1)

(6.3)

3.

Balances with banks in India

7580

10105

12250

27150

388

412

1083

1273

839

865

     

(6.3)

(7.3)

(1.7)

(3.4)

(3.7)

(3.3)

(0.3)

(0.2)

(0.3)

(1.0)

4.

Money at call and short notice

4825

-

-

-

244

287

7562

8878

31634

3609

     

(4.0)

(-)

(-)

(-)

(2.3)

(2.3)

(2.0)

(1.7)

(11.2)

(-)

5.

Balances with banks outside India

58

1099

10581

295

-

-

90

512

426

2025

     

(-)

(0.8)

(1.4)

(-)

(-)

(-)

(-)

(0.1)

(0.2)

(4.7)

6.

Investments

35453

42723

236595

260172

1964

2619

121511

196187

112133

190380

     

(29.3)

(30.9)

(32.4)

(32.2)

(18.8)

(21.0)

(32.1)

(37.7)

(39.6)

(43.8)

 

6.A.

Investments in India

35453

42723

236595

260172

1964

2619

121511

196187

112133

190380

   

(i) Government securities

24292

27577

153444

173157

1592

2049

82433

105297

57329

86760

   

(ii)Other approved securities

1073

1012

7784

7471

362

459

585

585

-

-

 

(iii) Shares

951

1091

12536

14033

-

-

3375

18882

2153

14666

   

(iv) Debentures and bonds

8618

12338

60171

62553

10

110

33417

70257

48187

85895

   

(v) Subsidiaries and joint ventures

-

-

1500

1500

-

-

-

-

-

-

   

(vi) Others

519

706

1160

1458

1

1

1701

1166

4464

3059

 

6.B.

Investments outside India

-

-

-

-

-

-

-

-

-

-

   

(i) Government securities

-

-

-

-

-

-

-

-

-

-

   

(ii) Subsidiaries and joint ventures

-

-

-

-

-

-

-

-

-

-

   

(iii) Others

-

-

-

-

-

-

-

-

-

-

7.

Advances

57606

60523

392117

422777

5639

6640

175585

211844

84198

140056

     

(47.6)

(43.8)

(53.6)

(52.4)

(53.9)

(53.3)

(46.4)

(40.7)

(29.8)

(32.2)

 

7.1.

Bills purchased and discounted

5796

4919

140433

129705

93

168

42036

51033

27495

29455

 

7.2.

Cash credits, overdrafts & loans

30454

35050

174111

193187

2351

2220

91143

105088

23502

50327

 

7.3.

Term loans

21357

20554

77573

99885

3195

4252

42406

55723

33201

60274

Priority sector advances included in 7.

19666

17419

94344

122755

2694

3068

55539

51292

12587

19947

8.

Fixed Assets

1373

1271

15559

15482

894

954

27563

32451

11031

13155

     

(1.1)

(0.9)

(2.1)

(1.9)

(8.5)

(7.7)

(7.3)

(6.2)

(3.9)

(3.0)

 

8.1.

Premises

628

650

6499

12540

700

726

10541

13402

4142

4799

 

8.2.

Fixed assets under construction

-

-

-

-

-

-

-

-

388

352

 

8.3.

Other fixed assets

745

621

9059

2942

193

228

17022

19049

6501

8004

9.

Other Assets

4331

5689

21648

36978

191

171

14128

21514

21527

37454

     

(3.6)

(4.1)

(3.0)

(4.6)

(1.8)

(1.4)

(3.7)

(4.1)

(7.6)

(8.6)

 

9.1.

Inter - office adjustments (net)

-

-

1870

12765

40

-

-

-

-

-

 

9.2.

Interest accrued

2097

2678

10446

11397

92

105

5189

5413

3204

4401

 

9.3.

Tax paid

598

1449

5739

7125

16

26

-

548

398

1361

 

9.4.

Stationery and stamps

34

25

181

209

20

20

5

15

3

42

 

9.5.

Others

1602


1537


3412


5481


23


20


8934


15538


17922


31650


 

Total Assets

121093

138084

731074

807443

10471

12461

378149

520033

282998

434996

 
 
 

(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)



Note :

Figures in bracket indicate percent share in total.

-

:

Nil or negligible.

Source :

Annual accounts of banks.


Table 48 : Liabilities and Assets of Scheduled Commercial Banks - 1998-99 (Part 10 of 22)

OTHER SCHEDULED COMMERCIAL BANKS

 
 

(Amount in Rs. lakh)


   

As on 31st March


   

ICICI Bank

IDBI Bank

Induslnd Bank

Jammu & Kashmir

Karnataka Bank

Items

   
 
 
 
 
 

Bank


 
 
     

1998


1999


1998


1999


1998


1999


1998


1999


1998


1999


 
 
 

(31)


(32)


(33)


(34)


(35)


(36)


(37)


(38)


(39)


(40)


1.

Capital

16500

16500

10000

14000

15786

15891

3000

4784

1350

1350

     

(5.0)

(2.4)

(4.5)

(4.1)

(3.1)

(2.6)

(0.5)

(0.6)

(0.3)

(0.3)

                         

2.

Reserves and Surplus

10175

14333

2467

7723

35482

37073

24537

38055

21447

24821

     

(3.1)

(2.1)

(1.1)

(2.3)

(7.1)

(6.0)

(4.4)

(5.1)

(5.6)

(5.1)

 

2.1.

Statutory Reserves

5886

7886

493

1108

6490

7410

4389

6535

9617

12042

 

2.2.

Capital Reserves

-

-

-

-

-

-

33

33

232

-

 

2.3.

Share Premium

3750

3750

-

3200

21251

21617

3500

8627

7198

7198

 

2.4.

Revenue and other Reserves

500

2684

-

-

7630

5091

16615

22860

4400

5580

 

2.5.

Balance of Profit

39

13

1974

3414

111

2955

-

-

1

1

                         

3.

Deposits

262902

607294

184553

275128

427334

501842

488246

644403

340835

438211

     

(80.2)

(87.0)

(83.8)

(80.5)

(85.0)

(81.4)

(87.3)

(85.7)

(88.3)

(89.9)

 

3.1.

Demand deposits

36317

57662

56348

62484

34203

56005

80164

114290

25167

29858

   

(i) From banks

372

740

5

7

1428

1604

6928

3911

366

701

   

(ii) From others

35945

56922

56343

62478

32775

54401

73236

110378

24801

29157

 

3.2.

Savings bank deposits

10374

22712

1619

7572

4384

9397

104191

121608

45189

55693

 

3.3.

Term deposits

216211

526920

126586

205072

388747

436440

303891

408505

270479

352660

   

(i) From banks

25856

131415

17278

11132

61959

125638

36121

79016

21964

28060

   

(ii) From others

190356

395505

109307

193940

326787

310801

267771

329489

248515

324600

 

3.A.

Deposits of branches in India

262902

607294

184553

275128

427334

501842

488246

644403

340835

438211

 

3.B.

Deposits of branches outside India

-

-

-

-

-

-

-

-

-

-

                         

4.

Borrowings

19223

19989

16081

35957

6262

40542

1232

20931

9200

12477

     

(5.9)

(2.9)

(7.3)

(10.5)

(1.2)

(6.6)

(0.2)

(2.8)

(2.4)

(2.6)

 

4.1.

Borrowings in India

19223

19989

16081

35957

6262

40542

1190

20763

9200

12477

   

(i) From Reserve Bank of India

-

14848

2581

11977

-

26300

-

-

-

4861

   

(ii) From other banks

2929

4177

10800

7000

1981

3078

178

163

-

-

   

(iii) From other institutions and agencies

16294

964

2700

16980

4281

11164

1011

20600

9200

7616

 

4.2.

Borrowings outside India

-

-

-

-

-

-

43

168

-

-

                         

5.

Other liabilities

19143

40051

7051

9114

17697

21466

42544

43776

13138

10416

     

(5.8)

(5.7)

(3.2)

(2.7)

(3.5)

(3.5)

(7.6)

(5.8)

(3.4)

(2.1)

 

5.1.

Bills payable

10781

11219

3065

4211

4828

4777

18412

18945

2578

4346

 

5.2.

Inter-office adjustments

-

-

-

7

209

155

6053

3739

884

1179

 

5.3.

Interest accrued

1756

2349

2280

1311

6330

6634

3209

4487

1392

913

 

5.4.

Others (including provisions)

6606


26483


1705


3586


6330


9900


14868


16604


8284


3978


 

Total Liabilities

327943

698167

220153

341922

502560

616813

559559

751948

385969

487274

 
 
 

(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


1.

Cash in hand

700

926

168

374

407

740

4571

5702

3240

4526

     

(0.2)

(0.1)

(0.1)

(0.1)

(0.1)

(0.1)

(0.8)

(0.8)

(0.8)

(0.9)

2.

Balances with RBI

30310

45654

33138

25175

32604

36790

83748

71643

38435

40999

     

(9.2)

(6.5)

(15.1)

(7.4)

(6.5)

(6.0)

(15.0)

(9.5)

(10.0)

(8.4)

3.

Balances with banks in India

2525

24197

4176

17969

2138

9958

23284

51352

11796

39137

     

(0.8)

(3.5)

(1.9)

(5.3)

(0.4)

(1.6)

(4.2)

(6.8)

(3.1)

(8.0)

4.

Money at call and short notice

51105

91012

-

10700

2500

10600

-

-

-

-

     

(15.6)

(13.0)

(-)

(3.1)

(0.5)

(1.7)

(-)

(-)

(-)

(-)

5.

Balances with banks outside India

2648

2035

3323

3303

21066

36116

2819

5370

8968

2175

     

(0.8)

(0.3)

(1.5)

(1.0)

(4.2)

(5.9)

(0.5)

(0.7)

(2.3)

(0.4)

6.

Investments

102339

286123

84764

161706

169625

209507

206068

295063

125826

177506

     

(31.2)

(41.0)

(38.5)

(47.3)

(33.8)

(34.0)

(36.8)

(39.2)

(32.6)

(36.4)

 

6.A.

Investments in India

102339

286123

84764

161706

169625

209507

206068

295063

125826

177506

   

(i) Government securities

70467

152736

38150

76495

126411

149670

141790

191311

94577

114872

   

(ii)Other approved securities

-

-

-

-

2615

2620

17740

24988

6108

6442

   

(iii) Shares

4703

13800

5100

15375

922

1747

1074

2420

1763

2844

   

(iv) Debentures and bonds

21651

66661

31208

64157

38243

53343

39108

70158

18939

48411

   

(v) Subsidiaries and joint ventures

-

-

-

-

-

-

583

-

-

-

   

(vi) Others

5518

52925

10306

5680

1434

2127

5772

6186

4438

4938

 

6.B.

Investments outside India

-

-

-

-

-

-

-

-

-

-

   

(i) Government securities

-

-

-

-

-

-

-

-

-

-

   

(ii) Subsidiaries and joint ventures

-

-

-

-

-

-

-

-

-

-

   

(iii) Others

-

-

-

-

-

-

-

-

-

-

7.

Advances

112787

211012

84305

107444

245083

266227

215824

295096

181829

204663

     

(34.4)

(30.2)

(38.3)

(31.4)

(48.8)

(43.2)

(38.6)

(39.2)

(47.1)

(42.0)

 

7.1.

Bills purchased and discounted

14092

45496

26981

42393

31087

45707

6806

16056

21033

22983

 

7.2.

Cash credits, overdrafts & loans

84159

138351

25300

36150

180958

173182

148482

169479

122275

136752

 

7.3.

Term loans

14536

27166

32025

28902

33038

47338

60536

109561

38522

44929

 

Priority sector advances included in 7.

32867

47782

17683

25699

58400

65381

35630

60994

69412

78146

8.

Fixed Assets

18370

19963

6336

7792

12660

12446

3794

6339

6510

7818

     

(5.6)

(2.9)

(2.9)

(2.3)

(2.5)

(2.0)

(0.7)

(0.8)

(1.7)

(1.6)

 

8.1.

Premises

10249

15828

1210

3303

2461

2818

1149

3027

2175

5819

 

8.2.

Fixed assets under construction

-

-

854

105

-

-

947

1319

-

-

 

8.3.

Other fixed assets

8121

4135

4273

4384

10199

9628

1697

1993

4335

1999

9.

Other Assets

7158

17245

3941

7459

16476

34429

19451

21384

9365

10450

     

(2.2)

(2.5)

(1.8)

(2.2)

(3.3)

(5.6)

(3.5)

(2.8)

(2.4)

(2.1)

 

9.1.

Inter - office adjustments (net)

-

1

49

-

-

-

-

-

-

-

 

9.2.

Interest accrued

2736

6615

1667

3450

4445

7039

8040

10149

4329

5582

 

9.3.

Tax paid

55

224

619

1709

476

3150

-

701

3374

2120

 

9.4.

Stationery and stamps

1

2

14

4

-

3

-

-

115

130

 

9.5.

Others

4366


10403


1591


2296


11556


24236


11411


10533


1546


2618


 

Total Assets

327943

698167

220153

341922

502560

616813

559559

751948

385969

487274

 
 
 

(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)



Note

: Figures in bracket indicate percent share in total.

-

: Nil or negligible.

Source

: Annual accounts of banks.

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