publications

(86 kb) or (39 kb)
Date : Mar 04, 2011
Table 3.1 : Bank Group-Wise Liabilities And Assets of Scheduled Commercial Banks In India : 2009 and 2010

(Amount in ` crore)

Items

As on March 31

State Bank  of India Associates

Nationalised
Banks $

Public Sector
Banks

Old Private
Sector Banks

2009

2010

2009

2010

2009

2010

2009

2010

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

Number of reporting banks

7

7

20

20

27

27

15

15

Liabilities

 

 

 

 

 

 

 

 

1. Capital

1080

1104

12456

12440

13536

13544

1171

1273

2. Reserves and Surplus

71341

82622

123465

144836

194806

227458

16306

18898

2.1. Statutory Reserves

36572

43834

30994

37973

67566

81807

4556

5238

2.2. Capital Reserves

1693

1899

22500

24538

24193

26437

1171

1206

2.3. Share Premium

21011

21508

14854

15116

35864

36624

4899

5732

2.4. Investment Fluctuations Reserves

-

50

445

666

445

716

206

235

2.5. Revenue and other Reserves

12064

15330

51975

62289

64039

77619

4985

5980

2.6. Balance of Profit

2

2

2697

4254

2699

4256

488

507

3. Deposits

1007041

1108086

2105706

2583716

3112747

3691802

199274

229897

Type-wise

 

 

 

 

 

 

 

 

3A.1. Demand deposits

132373

145374

178862

223155

311235

368528

17632

21597

(i) From banks

13295

11405

6123

8232

19418

19637

438

481

(ii) From others

119078

133968

172739

214923

291817

348891

17194

21115

3A.2. Savings bank deposits

255855

328109

449627

559158

705481

887267

34532

43567

3A.3. Term deposits

618814

634603

1477217

1801403

2096031

2436006

147110

164733

(i) From banks

14539

15806

80566

121127

95106

136933

11369

12342

(ii) From others

604275

618797

1396650

1680276

2000925

2299074

135742

152391

Location-wise

 

 

 

 

 

 

 

 

3B.1 Deposits of branches in India

975000

1068687

2005576

2461458

2980576

3530145

199274

229897

3B.2 Deposits of branches outside India

32042

39399

100129

122258

132171

161657

-

-

Note : $ Includes IDBI Bank Ltd.
Source : Annual accounts of banks.


TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS
IN INDIA - 2009 AND 2010
(Contd.)

(Amount in ` crore)

Items

As on March 31

State Bank  of India Associates

Nationalised
Banks $

Public Sector
Banks

Old Private
Sector Banks

2009

2010

2009

2010

2009

2010

2009

2010

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

4.

Borrowings

102616

121567

155790

192247

258406

313814

6168

8127

 

4.1. Borrowings in India

47960

53775

125236

155132

173196

208907

4047

6467

 

(i) From Reserve Bank of India

700

-

7986

3574

8686

3574

-

44

 

(ii) From other banks

1220

8538

2358

9446

3578

17984

430

680

 

(iii) From other institutions and agencies

46040

45237

114892

142112

160932

187349

3617

5743

 

4.2. Borrowings outside India

54656

67792

30554

37115

85210

104907

2121

1660

 

Secured borrowings included in 4

6732

9358

9344

5415

16076

14773

14

183

5.

Other liabilities and provisions

97976

99136

88286

95360

186262

194497

9374

107

 

5.1. Bill payable

24086

26332

16070

17991

40155

44323

1627

2070

 

5.2. Inter-office adjustment

5847

11832

3828

2253

9675

14084

262

325

 

5.3. Interest accured

10021

9411

8930

10296

18951

19707

832

1007

 

5.4. Subordinate debt.

-

-

4796

1525

4796

1525

432

547

 

5.5. Deferred tax liabilities

-

-

461

1003

461

1003

118

211

 

5.6. Others (including provisions)

58023

51561

54201

62293

112224

113855

6103

6622

Total Liabilities

1280055

1412515

2485702

3028599

3765757

4441114

232292

268977

6.

Cash and balances with RBI

74107

82057

150034

188802

224141

270858

13250

16915

 

6.1. Cash in hand

5443

8547

9138

9840

14580

18387

1630

1769

 

6.2. Balances with RBI

68665

73509

140896

178962

209561

252471

11621

15146

 

(i) In current account

68662

73507

139212

178777

207874

252284

11621

15146

 

(ii) In other account

3

3

1684

185

1687

188

-

-

7.

Balances with banks and money at call and short notice

53522

40622

77781

83594

131303

124216

10043

5692

 

7.1. In India

28491

17064

28974

43291

57465

60355

8868

5363

 

7.1.1. Balances with banks

14579

14765

19349

23407

33928

38173

5572

2271

 

(i) In current account

1278

1367

5847

5542

7125

6909

612

555

 

(ii) In other deposit accounts

13301

13398

13502

17866

26804

31264

4960

1715

  7.1.2 Money at call and short notice

13912

2299

9625

19884

23537

22182

3296

3093

 

(i) with banks

13912

300

7396

14617

21308

14917

3036

2343

 

(ii) with other institutions

0

1999

2229

5267

2229

7266

260

750

  7.2 Outside India
25031
23558
48807
40303
73838
63861
1175
329

 

7.2.1 Balances with Banks

15979

17678

35942

25453

51921

43131

692

223

 

(i) In current account

14531

16915

10820

4845

25352

21760

189

158

 

(ii) In other deposit accounts

1448

763

25121

20608

26569

21371

502

65

 

7.2.2 Money at call and short notice

9052

5880

12865

14850

21917

20729

484

106

Note : $ Includes IDBI Bank Ltd.
Source : Annual accounts of banks.

TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS
IN INDIA - 2009 AND 2010
(Contd.)

(Amount in ` crore)

Items

As on March 31

State Bank of India Associates

Nationalised
Banks $

Public Sector
Banks

Old Private
Sector Banks

2009

2010

2009

2010

2009

2010

2009

2010

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

8. Investments

357624

377658

655042

828125

1012666

1205783

72393

83499

8.1 Investment in India in

351141

369257

641526

814654

992667

1183911

72393

83499

(i) Government securities

300264

309729

541332

690286

841597

1000015

53623

60819

(ii) Other approved securities

2252

1254

5678

3761

7931

5015

185

289

(iii) Shares

5117

7787

9713

12913

14830

20700

471

634

(iv) Debentures and Bonds

17487

19070

41346

36246

58832

55315

4689

4251

(v) Subsidiaries and/or joint ventures

3650

4319

3177

3557

6827

7876

395

394

(vi) Others

22370

27099

40280

67891

62651

94989

13029

17112

8.2 Investment outside India in

6483

8401

13516

13471

19999

21872

-

-

(i) Government securities

743

2010

4892

6346

5635

8356

-

-

(ii) Subsidiaries and/or joint ventures

1255

1404

847

1003

2102

2406

-

-

(iii) Others

4485

4988

7777

6121

12262

11109

-

-

9. Advances

739450

858198

1519762

1843102

2259212

2701300

128504

154136

Type-wise

 

 

 

 

 

 

 

 

9A. (i) Bills purchased and discounted

53465

51076

74045

89740

127510

140817

7522

8957

(ii) Cash credits,overdrafts & loans repayable on
demand

300222

359411

595373

715089

895595

1074500

56390

68119

(iii) Term loans

385762

447711

850344

1038272

1236106

1485984

64592

77060

Security-wise

 

 

 

 

 

 

 

 

9B. (i)  Secured by tangible assets

513071

600076

1139618

1346992

1652688

1947068

108253

128613

(ii) Covered by Bank/Government Guarantees

83871

91018

87365

118020

171236

209038

5024

5804

(iii)  Unsecured

142508

167104

292779

378090

435287

545193

15227

19718

Sector-wise & Location-wise

 

 

 

 

 

 

 

 

9.C.I. Advances in India

653663

762038

1422540

1720810

2076203

2482848

128504

154136

(i) Priority sectors

212215

252714

469110

581713

681325

834427

45578

54589

(ii)  Public sectors

48648

63561

173851

191173

222499

254734

5364

9153

(iii) Banks

350

275

6218

12415

6569

12690

199

303

(iv) Others

392450

445488

773360

935509

1165810

1380996

77363

90091

Note : $ Includes IDBI Bank Ltd.
Source : Annual accounts of banks.

TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS
IN INDIA - 2009 AND 2010
(Contd.)

(Amount in ` crore)

Items

As on March 31

State Bank of India Associates

Nationalised
Banks $

Public Sector
Banks

Old Private
Sector Banks

2009

2010

2009

2010

2009

2010

2009

2010

(1)

(2)

(3)

(4)

(5)

(6)

(7)

(8)

9.C.II. Advances outside India

85787

96160

97222

122292

183009

218452

-

-

(i) Due from banks

4412

15657

16392

15949

20804

31606

-

-

(ii) Due from others

81375

80503

80830

106343

162205

186846

-

-

a) Bills purchased and discounted

29309

25294

22334

31389

51642

56683

-

-

b) Syndicate loans

27094

26475

23829

28012

50923

54487

-

-

c) Others

24972

28734

34667

46943

59639

75676

-

-

10. Fixed Assets

5512

6213

28232

28253

33743

34466

2183

2357

10.1 Premises

1870

1913

23274

22658

25144

24570

1365

1385

10.2. Fixed assets under construction

278

303

251

317

528

620

155

232

10.3 Other fixed assets

3364

3998

4707

5278

8071

9276

662

740

11. Other Assets

49840

47767

54851

56724

104692

104491

5919

6378

(i) Inter - office adjustments (net)

3470

1784

3474

2838

6943

4622

122

180

(ii) Interest accrued

9313

10359

15354

16392

24667

26752

1561

1705

(iii) Tax paid in advance/tax  deducted at source

5289

5729

15025

16995

20314

22724

1282

1587

(iv) Stationery and stamps

121

127

120

118

241

245

21

29

(v) Others

31648

29767

20879

20381

52526

50148

2933

2878

Total Assets

1280055

1412515

2485702

3028599

3765757

4441114

232292

268977

Note : $ Includes IDBI Bank Ltd.
Source : Annual accounts of banks.

TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS
IN INDIA - 2009 AND 2010
(Contd.)

(Amount in ` crore)

Items

As on March 31

New Private Sector Banks

Private Sector Banks

Foreign Banks

All Scheduled Commercial Banks

2009

2010

2009

2010

2009

2010

2009

2010

(9)

(10)

(11)

(12)

(13)

(14)

(15)

(16)

Number of reporting banks

7

7

22

22

31

32

80

81

Liabilities

 

 

 

 

 

 

 

 

1. Capital

3070

3276

4241

4549

25513

30555

43289

48648

2. Reserves and Surplus

79122

96537

95428

115435

34424

38584

324658

381476

2.1.  Statutory Reserves

9183

11903

13739

17141

9805

11197

91110

110144

2.2.  Capital Reserves

2257

3194

3428

4400

2723

2926

30344

33763

2.3.  Share Premium

47725

57791

52624

63523

-

-

88489

100146

2.4.  Investment Fluctuations Reserves

75

206

282

441

337

257

1063

1413

2.5.  Revenue and other Reserves

10267

10367

15252

16347

17125

18540

96416

112505

2.6.  Balance of Profit

9615

13077

10103

13584

4435

5664

17237

23503

3. Deposits

537104

592904

736378

822801

214076

237853

4063201

4752456

Type-wise

 

 

 

 

 

 

 

 

3A.1. Demand deposits

83160

112992

100791

134589

60551

67902

472577

571019

(i) From banks

2954

4058

3391

4539

1494

1630

24303

25806

(ii) From others

80206

108934

97400

130050

59057

66272

448274

545213

3A.2. Savings bank deposits

105738

142653

140269

186220

28789

36427

 874540

1109915

3A.3. Term deposits

348207

337259

495317

501992

124737

133524

2716084

3071522

(i) From banks

28255

19475

39623

31817

11910

10068

146639

178818

(ii) From others

319952

317784

455694

470175

112827

123456

2569446

2892704

Location-wise

 

 

 

 

 

 

 

 

3B.1 Deposits of branches in India

524125

578880

723398

808777

214076

237848

3918051

4576771

3B.2 Deposits of branches outside India

12979

14024

12979

14024

-

-

145150

175680

Source : Annual accounts of banks.

TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS
IN INDIA - 2009 AND 2010
(Contd.)

(Amount in ` crore)

Items

As on March 31

New Private Sector Banks

Private Sector Banks

Foreign Banks

All Scheduled Commercial Banks

2009

2010

2009

2010

2009

2010

2009

2010

(9)

(10)

(11)

(12)

(13)

(14)

(15)

(16)

4. Borrowings

131537

140676

137705

148803

77486

62146

473597

524764

4.1. Borrowings in India

55076

69277

59123

75744

40739

31989

273058

316640

(i) From Reserve Bank of India

1490

-

1490

44

1606

820

11782

4438

(ii) From other banks

5720

7251

6150

7931

10627

9719

20355

35635

(iii) From other institutions and agencies

47866

62026

51483

67769

28507

21450

240921

276568

4.2. Borrowings outside India

76461

71399

78582

73059

36747

30157

200539

208123

Secured borrowings included in 4

3094

1980

3109

2163

22573

15938

41758

32875

5. Other liabilities and provisions

44631

48438

54005

59221

93630

64080

333897

317798

5.1. Bill payable

7859

12824

9486

14894

2883

3599

52524

62816

5.2. Inter-office adjustment

435

30

697

355

6

116

10378

14556

5.3. Interest accured

7245

5751

8077

6758

2559

1998

29586

28463

5.4. Subordinate debt.

-

-

432

547

-

-

5228

2072

5.5. Deferred tax liabilities

-

-

118

211

10

28

589

1242

5.6. Others (including provisions)

28691

29833

34794

36455

88173

58339

235191

208649

Total Liabilities

795464

881831

1027756

1150809

445129

433219

5238642

6025141

6. Cash and balances with RBI

44233

58943

57484

75858

15642

19097

297267

365812

6.1. Cash in hand

6343

8162

7972

9931

587

607

23140

28925

6.2. Balances with RBI

37891

50781

49512

65927

15055

18489

274127

336887

(i) In current account

37791

50681

49412

65827

15052

18485

272338

336595

(ii) In other account

100

100

100

100

3

4

1790

292

7. Balances with banks and money at call
and short notice

23904

32989

33947

38681

31266

20559

196516

183455

7.1. In India

12504

20596

21372

25960

6539

5344

85376

91659

7.1.1. Balances with banks

10497

10039

16068

12310

6076

4645

56073

55128

(i) In current account

1919

2413

2530

2968

1130

974

10785

10852

(ii) In other deposit accounts

8578

7626

13538

9342

4946

3671

45288

44276

7.1.2 Money at call and short notice

2007

10557

5304

13649

463

699

29303

36531

(i) with banks

20

624

3056

2967

347

679

24712

18562

(ii) with other institutions

1987

9933

2247

10683

115

20

4591

17968

7.2 Outside India

11400

12392

12575

12721

24727

15215

111140

91797

7.2.1 Balances with Banks

7080

8101

7772

8325

13340

12496

73033

63952

(i) In current account

3970

2995

4160

3153

2199

2138

31711

27052

(ii) In other deposit accounts

3110

5106

3612

5172

11141

10357

41322

36900

7.2.2 Money at call and short notice

4320

4291

4804

4397

11387

2719

38107

27845

Source : Annual accounts of banks.

TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS
IN INDIA - 2009 AND 2010
(Contd.)

(Amount in ` crore)

Items

As on March 31

New Private Sector Banks

Private Sector Banks

Foreign Banks

All Scheduled Commercial Banks

2009

2010

2009

2010

2009

2010

2009

2010

(9)

(10)

(11)

(12)

(13)

(14)

(15)

(16)

8. Investments

234139

270618

306531

354117

130354

159286

1449551

1719185

8.1 Investment in India in

223756

260741

296149

344240

130354

159286

1419169

1687437

(i) Government securities

164327

180209

217950

241028

100009

117492

1159555

1358534

(ii) Other approved securities

31

21

217

311

6

4

8154

5330

(iii) Shares

2208

3511

2679

4145

94

98

17603

24942

(iv) Debentures and Bonds

19033

20398

23722

24650

2952

6634

85506

86599

(v) Subsidiaries and/or joint ventures

6692

6848

7087

7242

-

-

13913

15119

(vi) Others

31465

49753

44494

66864

27293

35058

134437

196912

8.2 Investment outside India in

10383

9877

10383

9877

-

-

30381

31749

(i) Government securities

95

165

95

165

-

-

5730

8521

(ii) Subsidiaries and/or joint ventures

6606

6614

6606

6614

-

-

8708

9021

(iii) Others

3681

3098

3681

3098

-

-

15943

14208

9. Advances

446824

478358

575328

632494

165385

163260

2999924

3497054

Type-wise

 

 

 

 

 

 

 

 

9A. (i) Bills purchased and discounted

13484

18505

21006

27462

14507

21306

163023

189585

(ii) Cash credits,overdrafts & loans repayable on demand

88382

90600

144771

158719

71254

65923

1111620

1299141

(iii)  Term loans

344959

369252

409550

446313

79624

76031

1725281

2008328

Security-wise

 

 

 

 

 

 

 

 

9B. (i)  Secured by tangible assets

334829

354513

443082

483127

74659

75473

2170429

2505667

(ii) Covered by Bank/Government Guarantees

5771

8734

10795

14539

5053

7326

187084

230902

(iii)  Unsecured

106224

115111

121451

134829

85672

80462

642410

760484

Sector-wise & Location-wise

 

 

 

 

 

 

 

 

9.C.I. Advances in India

381533

418912

510037

573048

165385

163260

2751624

3219156

(i) Priority sectors

131378

147142

176957

201730

50647

55417

908929

1091574

(ii)  Public sectors

3866

9471

9230

18624

517

2739

232246

276097

(iii) Banks

449

1164

648

1467

1013

3991

8230

18149

(iv) Others

245839

261135

323202

351226

113207

101113

1602219

1833335

Source : Annual accounts of banks.

TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS
IN INDIA - 2009 AND 2010
(Concld.)

(Amount in ` crore)

Items

As on March 31

New Private Sector Banks

Private Sector Banks

Foreign Banks

All Scheduled Commercial Banks

2009

2010

2009

2010

2009

2010

2009

2010

(9)

(10)

(11)

(12)

(13)

(14)

(15)

(16)

9.C.II. Advances outside India

65291

59446

65291

59446

-

-

248300

277898

(i) Due from banks

1565

1385

1565

1385

-

-

22369

32991

(ii) Due from others

63726

58061

63726

58061

-

-

225931

244907

a) Bills purchased and discounted

1813

1983

1813

1983

-

-

53455

58666

b) Syndicate loans

31433

26982

31433

26982

-

-

82356

81468

c) Others

30481

29096

30481

29096

-

-

90120

104772

10. Fixed Assets

7698

7882

9880

10239

4738

4859

48361

49564

10.1 Premises

3177

3360

4542

4744

3023

3146

32709

32461

10.2.Fixed assets under construction

72

76

227

309

711

808

1467

1736

10.3 Other fixed assets

4449

4445

5112

5185

1003

906

14185

15367

11.Other Assets

38667

33043

44586

39421

97746

66158

247023

210070

(i) Inter - office adjustments (net)

-

-

122

180

96

154

7161

4955

(ii) Interest accrued

7592

6889

9153

8594

3069

2964

36889

38310

(iii) Tax paid in advance/tax deducted at source

5449

5825

6731

7412

1024

2289

28069

32425

(iv) Stationery and stamps

35

30

56

59

1

1

299

305

(v) Others

25590

20299

28523

23177

93556

60750

174605

134076

Total Assets

795464

881831

1027756

1150809

445129

433219

5238642

6025141

Source : Annual accounts of banks.

Server 214
Top