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83502765

Table 48 : Liabilities and Assets of Scheduled Commercial Banks : 1999 and 2000 (Part 11 of 12)

FOREIGN BANKS

 
 
 
 
 
 
 
 
 
 
 
 

(Amount in Rs. lakh)


       

As on March 31


Items

   

Mashreq Bank

Morgan Guaranty

Oman International

Overseas Chinese

Sakura Bank

         

Trust


Bank


Bank


 
       

1999


2000


1999


2000


1999


2000


1999


2000


1999


2000


 
 
 
 

(61)


(62)


(63)


(64)


(65)


(66)


(67)


(68)


(69)


(70)


1.

Capital

 

3182

3182

11913

11913

3528

9161

3776

3776

8862

8862

       

(8.9)

(8.9)

(40.8)

(36.3)

(7.5)

(15.3)

(70.2)

(66.2)

(12.9)

(15.3)

2.

Reserves and Surplus

993

-293

-

130

569

621

61

47

1463

3939

       

(2.8)

-(0.8)

(-)

(0.4)

(1.2)

(1.0)

(1.1)

(0.8)

(2.1)

(6.8)

 

2.1.

Statutory Reserves

713

713

-

130

569

569

55

55

1493

1493

 

2.2.

Capital Reserves

-

-

-

-

-

-

-

-

-

-

 

2.3.

Share Premium

-

-

-

-

-

-

-

-

-

-

 

2.4.

Revenue and other Reserves

-

168

-

-

-

52

-

-

-

-

 

2.5.

Balance of Profit

280

-1173

-

-

-

-

6

-8

-29

2446

3.

Deposits

 

23634

25423

-

3351

35276

41600

1459

1238

24697

13579

       

(66.0)

(71.3)

(-)

(10.2)

(75.0)

(69.4)

(27.1)

(21.7)

(36.0)

(23.4)

 

3.1.

Demand deposits

2987

4374

-

51

3091

3763

501

133

9039

4281

   

(i)

From banks

149

284

-

-

77

127

-

133

1

2

   

(ii)

From others

2837

4090

-

51

3015

3636

501

-

9039

4280

 

3.2.

Savings bank deposits

521

557

-

-

2109

2438

14

15

1094

1059

 

3.3.

Term deposits

20127

20492

-

3300

30075

35398

944

1090

14564

8239

   

(i)

From banks

6572

6586

-

-

1190

440

-

-

10000

3184

   bsp;

(ii)

From others

13555

13906

-

3300

28886

34959

944

1090

4564

5055

 

3.A.

Deposits of branches in India

23634

25423

-

3351

35276

41600

1459

1238

24697

13579

 

3.B.

Deposits of branches outside India

-

-

-

-

-

-

-

-

-

-

4.

Borrowings

6576

6100

16177

10553

2741

2129

-

405

32558

30672

       

(18.4)

(17.1)

(55.4)

(32.2)

(5.8)

(3.5)

(-)

(7.1)

(47.4)

(52.8)

 

4.1.

Borrowings in India

6576

6100

16177

10553

2650

2129

-

405

7100

4500

   

(i)

From Reserve Bank of India

76

-

-

-

-

-

-

405

-

-

   

(ii)

From other banks

2500

5600

10034

-

2130

2129

-

-

7100

3000

   

(iii)

From other institutions and agencies

4000

500

6143

10553

520

-

-

-

-

1500

 

4.2.

Borrowings outside India

-

-

-

-

91

-

-

-

25458

26172

5.

Other liabilities

1417

1257

1120

6831

4928

6473

84

237

1084

1030

       

(4.0)

(3.5)

(3.8)

(20.8)

(10.5)

(10.8)

(1.6)

(4.1)

(1.6)

(1.8)

 

5.1.

Bills Payable

109

343

-

-

213

155

8

7

74

207

 

5.2.

Inter-office adjustments

574

22

-

-

7

-

1

9

-

-

 

5.3.

Interest accrued

176

276

37

7

3887

3145

11

20

405

363

 

5.4.

Others (including provisions)

558


616


1083


6824


820


3173


64


201


605


459


 

Total Liabilities

35803

35670

29210

32779

47041

59984

5381

5703

68665

58082

 
 
 
 

(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


 
 
 
 
 
 
 
 
 
 
 
 

(Amount in Rs. lakh)


       

As on March 31


Items

   

Mashreq Bank

Morgan Guaranty

Oman International

Overseas Chinese

Sakura Bank

         

Trust


Bank


Bank


 
       

1999


2000


1999


2000


1999


2000


1999


2000


1999


2000


 
 
 
 

(61)


(62)


(63)


(64)


(65)


(66)


(67)


(68)


(69)


(70)


1.

Cash in hand

61

57

-

-

61

50

2

1

40

37

       

(0.2)

(0.2)

(-)

(-)

(0.1)

(0.1)

(-)

(-)

(0.1)

(0.1)

2.

Balances with RBI

1004

1146

542

337

1870

1608

106

57

3153

2417

       

(2.8)

(3.2)

(1.9)

(1.0)

(4.0)

(2.7)

(2.0)

(1.0)

(4.6)

(4.2)

3.

Balances with banks in India

31

505

1

18

2586

143

1419

28

2705

1950

       

(0.1)

(1.4)

(-)

(0.1)

(5.5)

(0.2)

(26.4)

(0.5)

(3.9)

(3.4)

4.

Money at call and short notice

-

-

185

-

-

10091

-

1365

1500

-

       

(-)

(-)

(0.6)

(-)

(-)

(16.8)

(-)

(23.9)

(2.2)

(-)

5.

Balances with banks outside India

994

1009

-

19947

3013

802

273

1032

118

80

       

(2.8)

(2.8)

(-)

(60.9)

(6.4)

(1.3)

(5.1)

(18.1)

(0.2)

(0.1)

6.

Investments

13159

16910

24450

3004

13635

13751

931

831

15019

16520

       

(36.8)

(47.4)

(83.7)

(9.2)

(29.0)

(22.9)

(17.3)

(14.6)

(21.9)

(28.4)

 

6.A.

Investments in India

13159

16910

24450

3004

13635

13751

931

831

15019

16520

   

(i)

Government securities

7579

7579

24450

3004

12935

13551

631

531

12734

13699

   

(ii)

Other approved securities

113

113

-

-

200

200

-

-

-

-

   

(iii)

Shares

16

19

-

-

500

-

-

-

21

21

   

(iv)

Debentures and Bonds

5452

8000

-

-

-

-

300

300

2264

2801

   

(v)

Subsidiaries and/or joint ventures

-

-

-

-

-

-

-

-

-

-

   

(vi)

Others

-

1200

-

-

-

-

-

-

-

-

 

6.B.

Investments outside India

-

-

-

-

-

-

-

-

-

-

   

(i)

Government securities

-

-

-

-

-

-

-

-

-

-

   

(ii)

Subsidiaries and/or joint ventures

-

-

-

-

-

-

-

-

-

-

   

(iii)

Others

-

-

-

-

-

-

-

-

-

-

7.

Advances

16058

12191

-

-

20318

22410

2225

2013

41926

33103

       

(44.9)

(34.2)

(-)

(-)

(43.2)

(37.4)

(41.4)

(35.3)

(61.1)

(57.0)

 

7.1.

Bills purchased and discounted

4547

2643

-

-

3019

3806

650

391

7768

8527

 

7.2.

Cash credits, overdrafts & loans

10594

6572

-

-

9105

6772

460

648

24552

19357

 

7.3.

Term loans

917

2976

-

-

8194

11832

1115

974

9606

5220

 

Priority sector advances included in 7

5404

4833

-

-

4356

5342

1775

562

10921

7855

8.

Fixed Assets

390

378

1317

961

2239

2602

63

50

635

541

       

(1.1)

(1.1)

(4.5)

(2.9)

(4.8)

(4.3)

(1.2)

(0.9)

(0.9)

(0.9)

 

8.1.

Premises

-

-

1317

-

2030

2386

-

-

232

214

 

8.2.

Fixed assets under construction

-

-

-

-

-

-

-

-

-

-

 

8.2.

Other Fixed assets

390

378

-

961

209

216

63

50

403

327

9.

Other Assets

4105

3473

2715

8512

3319

8526

361

326

3569

3433

       

(11.5)

(9.7)

(9.3)

(26.0)

(7.1)

(14.2)

(6.7)

(5.7)

(5.2)

(5.9)

 

9.1.

Inter - office adjustments (net)

-

-

-

-

-

-

-

58

688

1508

 

9.2.

Interest accrued

335

385

321

321

438

436

53

-

1220

970

 

9.3.

Tax paid

1912

1486

3

157

797

626

47

152

-

-

 

9.4.

Stationery and Stamps

1

-

-

-

-

-

-

-

-

-

 

9.5.

Others

1856


1601


2391


8035


2084


7464


262


116


1660


956


 

Total Assets

35803

35670

29210

32779

47041

59984

5381

5703

68665

58082

 
 
 
 

(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


 
 
 
 
 
 
 
 
 
 
 
 

(Amount in Rs. lakh)


       

As on March 31


Items

   

Sanwa Bank

Societe Generale

Sonali Bank

Standard Chartered

State Bank of

         
 
 

Bank


Mauritius


       

1999


2000


1999


2000


1999


2000


1999


2000


1999


2000


 
 
 
 

(71)


(72)


(73)


(74)


(75)


(76)


(77)


(78)


(79)


(80)


1.

Capital

 

5680

5680

5988

6093

20

20

-

-

8339

8339

       

(20.4)

(21.9)

(8.5)

(9.1)

(0.6)

(0.3)

(-)

(-)

(26.3)

(20.0)

2.

Reserves and Surplus

1603

1638

2262

2170

528

349

58001

71702

1427

2043

       

(5.8)

(6.3)

(3.2)

(3.2)

(14.4)

(5.8)

(7.1)

(7.9)

(4.5)

(4.9)

 

2.1.

Statutory Reserves

519

526

1267

1269

192

217

7674

11008

441

564

 

2.2.

Capital Reserves

75

75

-

-

28

28

-

-

-

-

 

2.3.

Share Premium

1008

-

-

-

-

-

690

-

-

-

 

2.4.

Revenue and other Reserves

-

1037

113

113

-

-

18219

28182

20

20

 

2.5.

Balance of Profit

-

-

882

787

308

104

31418

32511

966

1459

3.

Deposits

 

9189

11605

42157

37255

2182

4559

535265

500600

12712

12800

       

(33.0)

(44.8)

(59.5)

(55.6)

(59.4)

(76.2)

(65.6)

(55.0)

(40.2)

(30.7)

 

3.1.

Demand deposits

2159

2799

2932

8654

1875

4187

89404

113404

295

1925

   

(i)

From banks

1

1

118

31

1048

3260

1812

4901

-

3

   

(ii)

From others

2157

2798

2813

8623

827

928

87592

108503

295

1921

 

3.2.

Savings bank deposits

488

572

249

2128

66

76

56308

55949

80

132

 

3.3.

Term deposits

6542

8235

38977

26474

242

296

389552

331247

12336

10743

   

(i)

From banks

-

-

-

-

-

-

-

-

-

-

   

(ii)

From others

6542

8235

38977

26474

242

296

389552

331247

12336

10743

 

3.A.

Deposits of branches in India

9189

11605

42157

37255

2182

4559

535265

500600

12712

12800

 

3.B.

Deposits of branches outside India

-

-

-

-

-

-

-

-

-

-

4.

Borrowings

11200

6300

18728

19619

-

-

161643

259675

6156

17395

       

(40.3)

(24.3)

(26.5)

(29.3)

(-)

(-)

(19.8)

(28.5)

(19.4)

(41.7)

 

4.1.

Borrowings in India

11200

6300

18624

19619

-

-

160813

259114

6156

17395

   

(i)

From Reserve Bank of India

-

-

-

-

-

-

11139

12929

1656

2895

   

(ii)

From other banks

9500

6300

16824

10894

-

-

126355

201297

2000

9700

   

(iii)

From other institutions and agencies

1700

-

1800

8725

-

-

23319

44888

2500

4800

 

4.2.

Borrowings outside India

-

-

103

-

-

-

830

561

-

-

5.

Other liabilities

150

710

1666

1850

945

1054

60807

78722

3025

1134

       

(0.5)

(2.7)

(2.4)

(2.8)

(25.7)

(17.6)

(7.5)

(8.6)

(9.6)

(2.7)

 

5.1.

Bills Payable

50

67

291

167

-

-

4710

3354

731

391

 

5.2.

Inter-office adjustments

-

-

-

58

36

27

-

-

13

57

 

5.3.

Interest accrued

60

56

562

524

3

3

34426

27424

344

389

 

5.4.

Others (including provisions)

40


586


814


1101


907


1025


21670


47943


1936


297


 

Total Liabilities

27822

25934

70801

66988

3676

5983

815716

910698

31658

41712

 
 

(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


 
 
 
 
 
 
 
 
 
 
 
 

(Amount in Rs. lakh)


       

As on March 31


Items

   

Sanwa Bank

Societe Generale

Sonali Bank

Standard Chartered

State Bank of

         
 
 

Bank


Mauritius


       

1999


2000


1999


2000


1999


2000


1999


2000


1999


2000


 
 
 
 

(71)


(72)


(73)


(74)


(75)


(76)


(77)


(78)


(79)


(80)


1.

Cash in hand

24

18

13

11

64

55

2082

3687

34

16

       

(0.1)

(0.1)

(-)

(-)

(1.8)

(0.9)

(0.3)

(0.4)

(0.1)

(-)

2.

Balances with RBI

1819

1875

3083

1773

345

297

64100

50645

1403

3114

       

(6.5)

(7.2)

(4.4)

(2.6)

(9.4)

(5.0)

(7.9)

(5.6)

(4.4)

(7.5)

3.

Balances with banks in India

2

2

133

51

12

19

5668

2134

53

46

       

(-)

(-)

(0.2)

(0.1)

(0.3)

(0.3)

(0.7)

(0.2)

(0.2)

(0.1)

4.

Money at call and short notice

-

-

5092

1178

-

350

17200

10727

-

600

       

(-)

(-)

(7.2)

(1.8)

(-)

(5.8)

(2.1)

(1.2)

(-)

(1.4)

5.

Balances with banks outside India

2223

555

1324

343

1259

3371

247

299

786

251

       

(8.0)

(2.1)

(1.9)

(0.5)

(34.2)

(56.3)

(0.0)

(0.1)

(2.5)

(0.6)

6.

Investments

4634

4492

23632

31575

310

350

271977

314007

5600

7924

       

(16.7)

(17.3)

(33.4)

(47.1)

(8.4)

(5.9)

(33.3)

(34.5)

(17.7)

(19.0)

 

6.A.

Investments in India

4634

4492

23632

31575

310

350

271977

314007

5600

7924

   

(i)

Government securities

4634

4492

17866

29038

310

278

161273

190584

3612

5751

   

(ii)

Other approved securities

-

-

55

55

-

-

4369

4369

379

379

   

(iii)

Shares

-

-

221

217

-

-

2528

289

-

-

   

(iv)

Debentures and Bonds

-

-

5490

2265

-

-

97751

117368

1610

1795

   

(v)

Subsidiaries and/or joint ventures

-

-

-

-

-

-

-

5

-

-

   

(vi)

Others

-

-

-

-

-

72

6055

1392

-

-

 

6.B.

Investments outside India

-

-

-

-

-

-

-

-

-

-

   

(i)

Government securities

-

-

-

-

-

-

-

-

-

-

   

(ii)

Subsidiaries and/or joint ventures

-

-

-

-

-

-

-

-

-

-

   

(iii)

Others

-

-

-

-

-

-

-

-

-

-

7.

Advances

17994

17970

28954

23305

631

394

338122

431886

19012

26332

       

(64.7)

(69.3)

(40.9)

(34.8)

(17.2)

(6.6)

(41.5)

(47.4)

(60.1)

(63.1)

 

7.1.

Bills purchased and discounted

423

64

2229

1589

584

336

19182

21588

8710

7474

 

7.2.

Cash credits, overdrafts & loans

15427

14007

16306

15600

48

58

142667

293350

5963

12196

 

7.3.

Term loans

2144

3898

10418

6117

-

-

176273

116948

4339

6663

 

Priority sector advances included in 7

3846

6850

5709

4902

1

3

84089

91020

9944

7917

8.

Fixed Assets

393

334

4879

4597

36

30

26598

20784

1995

1919

       

(1.4)

(1.3)

(6.9)

(6.9)

(1.0)

(0.5)

(3.3)

(2.3)

(6.3)

(4.6)

 

8.1.

Premises

39

31

4594

4364

-

-

20182

14934

1800

1762

 

8.2.

Fixed assets under construction

-

-

-

-

-

-

-

-

-

-

 

8.2.

Other Fixed assets

355

303

285

233

36

30

6416

5851

195

158

9.

Other Assets

732

688

3691

4154

1019

1117

89723

76528

2775

1509

       

(2.6)

(2.7)

(5.2)

(6.2)

(27.7)

(18.7)

(11.0)

(8.4)

(8.8)

(3.6)

 

9.1.

Inter - office adjustments (net)

-

-

6

-

29

24

11485

18176

-

-

 

9.2.

Interest accrued

195

198

418

477

-

-

24636

12805

283

301

 

9.3.

Tax paid

360

321

1830

2021

975

1081

20522

12709

1928

1131

 

9.4.

Stationery and Stamps

-

-

1

1

1

2

22

34

-

-

 

9.5.

Others

177


168


1435


1656


13


9


33059


32805


563


77


 

Total Assets

27822

25934

70801

66988

3676

5983

815716

910698

31658

41712

 
 
 
 

(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


(100.0)


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