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Date : Jul 06, 2010
Manipur
APPENDIX III : DETAILS OF CAPITAL RECEIPTS
Manipur

(Rs. lakh)

Item

1990-91

1991-92

1992-93

1993-94

1994-95

1995-96

1996-97

1997-98

1998-99

1999-00

1

2

3

4

5

6

7

8

9

10

11

TOTAL CAPITAL RECEIPTS (I to XIII)

8,475

5,607

33,841

16,170

5,359

7,507

28,768

16,130

15,847

55,207

TOTAL CAPITAL RECEIPTS (Includes Public Accounts on a net basis)*

–

–

–

–

–

–

–

–

–

–

I.External Debt #

–

–

–

–

–

–

–

–

–

–

II.Internal Debt (1 to 8)

2,463

2,198

28,844

1,324

2,579

2,180

3,588

4,598

4,636

6,821

1.Market Loans

1,103

1,213

1,452

1,200

1,400

1,600

1,760

2,272

2,928

3,039

2.Loans from LIC

161

–

–

69

75

81

280

280

349

–

3.Loans from SBI and other Banks

17

–

–

–

–

11

10

63

1,326

–

4.Loans from National Bank for Agriculture and Rural Development

–

–

–

–

–

–

–

–

–

–

5.Loans from National Co-operative Development Corporation

241

200

–

55

72

123

213

46

33

673

6.WMA from RBI

–

–

–

–

–

–

–

–

–

–

7.Special Securities issued to NSSF

–

–

–

–

–

–

–

–

–

1,799

8.Others@

941

785

27,392

–

1,032

365

1,325

1,937

–

1,310

of which:

 

 

 

 

 

 

 

 

 

 

Land Compensation and other Bonds

100

–

–

–

–

–

–

–

–

–

III.Loans and Advances from the Centre (1 to 6)

5,885

1,606

5,150

7,250

2,290

2,358

3,332

13,280

14,653

7,487

1.State Plan Schemes

1,553

1,075

1,632

1,644

1,632

1,882

2,535

5,337

4,408

5,759

of which:

 

 

 

 

 

 

 

 

 

 

Advance release of Plan Assistance for Natural Calamities

–

–

–

–

–

–

–

–

–

–

2.Central Plan Schemes

3,200

1

5

1

-1

3

–

4

–

1,056

3.Centrally Sponsored Schemes

59

28

15

48

61

195

37

11

17

161

4.Non-Plan (i to iii)

1,073

344

350

477

535

274

756

1,553

1,701

9

(i) Share of Small Savings

953

240

340

365

494

144

523

1,260

1,379

–

(ii)Relief for Natural Calamities

–

–

–

–

–

–

–

–

–

–

(iii)Others

120

104

10

112

41

130

233

293

322

9

5.Ways and Means Advances from Centre

–

51

3,103

4,900

–

–

–

6,300

8,500

500

6.Loans for Special Schemes

–

107

45

180

63

4

4

75

27

2

IV.Recovery of Loans and Advances (1 to 12)

142

187

157

126

109

90

82

62

39

56

1.Housing

1

4

3

1

1

2

17

–

–

–

2.Urban Development

–

–

–

–

–

–

–

–

–

–

3.Crop Husbandry

–

–

–

–

–

–

–

–

–

–

4.Food Storage and Warehousing

–

–

–

–

–

–

–

–

–

–

5.Co-operation

2

61

17

3

2

2

2

3

3

2

6.Minor Irrigation

–

–

–

–

–

–

–

–

–

–

7.Power Projects

–

–

–

–

–

–

–

–

–

–

8.Village and Small Industries

7

3

1

1

1

1

1

1

1

–

9.Industries and Minerals

–

–

–

–

–

–

–

–

–

–

10.Road Transport

–

–

–

–

–

–

–

–

–

–

11.Government Servants, etc.+

132

119

135

120

105

84

62

58

35

53

12.Others**

–

–

1

1

–

1

–

–

–

1

V.Inter-State Settlement

–

–

–

–

–

–

–

–

–

–

VI.Contingency Fund

–

–

–

–

–

–

–

–

–

–

VII.Small Savings, Provident Funds etc. (1+2)

450

1,953

1,041

709

473

582

-625

1,909

743

28,802

1.State Provident Funds

350

1,856

960

630

389

514

-679

1,886

722

28,765

2.Others

100

97

81

79

84

68

54

23

21

37

VIII.Reserve Funds (1 to 4)

–

74

100

116

90

233

-1

197

275

242

1.Depreciation/Renewal Reserve Funds

–

–

100

116

–

–

–

–

–

–

2.Sinking Funds

–

–

–

–

–

–

–

–

–

–

3.Famine Relief Fund

–

–

–

–

–

–

–

–

–

–

4.Others

–

74

–

–

90

233

-1

197

275

242

IX.Deposits and Advances (1 to 4)

460

370

1,232

521

863

767

3,299

5,238

-162

-572

1.Civil Deposits

178

401

811

-326

114

262

2,007

1,581

-667

-499

2.Deposits of Local Funds

-427

4

–

–

1

–

–

–

–

–

3.Civil Advances

–

-6

17

-5

-19

44

-1

-3

-69

-1

4.Others

709

-29

404

852

767

461

1,293

3,660

574

-72

X.Suspense and Miscellaneous (1 to 4)

-825

699

105

3,801

356

567

13,272

-776

-2,775

14,226

1.Suspense

-847

533

130

4,117

206

771

6,981

-580

-2,275

13,957

2.Cash Balance Investment Accounts

–

–

–

–

–

–

–

–

–

–

3.Deposits with RBI

–

–

–

–

–

–

–

–

–

–

4.Others

22

166

-25

-316

150

-204

6,291

-196

-500

269

XI.Appropriation to Contingency Fund

–

–

–

–

–

–

–

–

–

–

XII.Miscellaneous Capital Receipts

–

–

–

–

–

–

–

–

–

–

of which:

 

 

 

 

 

 

 

 

 

 

Disinvestment

–

–

–

–

–

–

–

–

–

–

XIII.Remittances

-100

-1,480

-2,788

2,323

-1,401

730

5,821

-8,378

-1,562

-1,855

See Notes to Appendix III'.


APPENDIX III : DETAILS OF CAPITAL RECEIPTS

Manipur

(Rs. lakh)

Item

2000-01

2001-02

2002-03

2003-04

2004-05

2005-06

2006-07

2007-08

2008-09(RE)

2009-10(BE)

1

12

13

14

15

16

17

18

19

20

21

TOTAL CAPITAL RECEIPTS (I to XIII)

19,920

82,493

1,10,006

2,46,485

5,32,046

5,07,171

9,10,374

16,06,838

15,77,131

16,05,107

TOTAL CAPITAL RECEIPTS (Includes Public Accounts on a net basis)*

–

–

–

71,428

1,18,874

62,861

69,152

67,726

62,358

36,796

I.External Debt #

–

–

–

–

–

–

–

–

–

–

II.Internal Debt (1 to 8)

4,288

5,305

7,871

65,672

35,856

43,127

49,170

49,492

55,490

33,380

1.Market Loans

2,520

4,520

7,728

19,445

8,299

20,491

25,599

24,723

30,330

31,780

2.Loans from LIC

–

–

–

–

–

–

–

–

–

–

3.Loans from SBI and other Banks

–

–

–

–

–

–

–

–

–

–

4.Loans from National Bank for Agriculture and Rural Development

–

–

–

–

–

799

156

412

1,000

1,000

5.Loans from National Co-operative Development Corporation

7

281

–

–

–

15

–

–

–

–

6.WMA from RBI

–

–

–

46,227

24,155

9,090

–

3,879

–

–

7.Special Securities issued to NSSF

–

–

–

–

3,402

12,732

23,169

20,345

23,660

100

8.Others@

1,761

504

143

–

–

–

245

133

500

500

of which:

 

 

 

 

 

 

 

 

 

 

Land Compensation and other Bonds

–

–

–

–

–

–

–

–

–

–

III.Loans and Advances from the Centre (1 to 6)

23,691

50,420

1,02,495

52,746

1,02,722

506

595

833

1,461

1,162

1.State Plan Schemes

3,792

6,567

6,950

8,092

8,195

29

155

171

690

690

of which:

 

 

 

 

 

 

 

 

 

 

Advance release of Plan Assistance for Natural Calamities

–

–

–

–

–

–

–

–

–

–

2.Central Plan Schemes

–

–

–

–

–

–

–

–

–

–

3.Centrally Sponsored Schemes

126

178

91

60

192

377

440

662

771

472

4.Non-Plan (i to iii)

105

365

38,141

13

61,083

–

–

–

–

–

(i) Share of Small Savings

–

–

–

–

–

–

–

–

–

–

(ii)Relief for Natural Calamities

–

–

–

–

–

–

–

–

–

–

(iii)Others

105

365

38,141

13

61,083

–

–

–

–

–

5.Ways and Means Advances from Centre

19,600

43,300

57,268

44,500

33,100

–

–

–

–

–

6.Loans for Special Schemes

68

10

45

81

152

100

–

–

–

–

IV.Recovery of Loans and Advances (1 to 12)

52

47

47

48

58

64

90

229

300

300

1.Housing

1

1

1

–

–

–

–

165

–

–

2.Urban Development

–

–

–

–

–

–

–

–

–

–

3.Crop Husbandry

–

–

–

–

–

–

–

–

–

–

4.Food Storage and Warehousing

–

–

–

–

6

–

–

–

–

–

5.Co-operation

2

3

4

3

–

31

37

4

42

42

6.Minor Irrigation

–

–

–

–

–

–

–

–

–

–

7.Power Projects

–

–

–

–

6

–

–

–

–

–

8.Village and Small Industries

–

–

–

1

–

–

–

–

–

–

9.Industries and Minerals

–

–

–

–

–

–

–

–

–

–

10.Road Transport

–

–

–

–

–

–

–

–

–

–

11.Government Servants, etc.+

49

43

41

44

46

33

53

60

58

58

12.Others**

–

–

1

–

–

–

–

–

200

200

V.Inter-State Settlement

–

–

–

–

–

–

–

–

–

–

VI.Contingency Fund

–

–

–

–

–

–

–

–

–

–

VII.Small Savings, Provident Funds etc. (1+2)

9,142

4,130

-4,746

12,127

13,093

24,027

14,153

12,945

11,209

11,324

1.State Provident Funds

7,646

1,067

-5,629

10,040

12,919

23,837

13,986

12,775

11,000

11,100

2.Others

1,496

3,063

883

2,087

174

190

167

170

209

224

VIII.Reserve Funds (1 to 4)

38

–

116

516

740

1,036

84

1,333

1,972

2,657

1.Depreciation/Renewal Reserve Funds

–

–

–

–

–

–

–

–

–

–

2.Sinking Funds

–

–

–

–

–

–

–

–

1,266

1,832

3.Famine Relief Fund

–

–

–

–

–

–

–

–

–

–

4.Others

38

–

116

516

740

1,036

84

1,333

706

825

IX.Deposits and Advances (1 to 4)

-1,319

790

-1,549

3,181

13,631

51,772

20,250

39,038

15,350

14,400

1.Civil Deposits

-230

1,236

528

2,813

12,847

32,912

-11,220

6,182

6,000

6,500

2.Deposits of Local Funds

–

–

–

–

–

–

–

–

–

–

3.Civil Advances

–

–

–

292

506

889

1,761

1,556

1,500

1,500

4.Others

-1,089

-446

-2,077

76

278

17,971

29,708

31,300

7,850

6,400

X.Suspense and Miscellaneous (1 to 4)

-13,106

17,776

8,141

57,896

3,06,311

2,81,426

6,63,019

13,47,662

14,23,500

14,72,000

1.Suspense

-12,099

16,993

7,709

2,619

20,295

22,508

-113

19,134

17,500

16,000

2.Cash Balance Investment Accounts

–

–

–

53,336

2,84,800

2,52,615

6,53,785

13,22,529

14,00,000

14,50,000

3.Deposits with RBI

–

–

–

–

–

–

–

–

–

–

4.Others

-1,007

783

432

1,941

1,216

6,303

9,347

5,999

6,000

6,000

XI.Appropriation to Contingency Fund

–

–

–

–

–

–

–

–

–

–

XII.Miscellaneous Capital Receipts

–

–

–

–

–

–

–

–

–

–

of which:

 

 

 

 

 

 

 

 

 

 

Disinvestment

–

–

–

–

–

–

–

–

–

–

XIII.Remittances

-2,866

4,025

-2,369

54,299

59,635

1,05,213

1,63,013

1,55,306

67,849

69,884

See Notes to Appendix III'.