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(As at end-March)
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(Amount in Rs. crore)
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Item
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|
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Private Sector Banks
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|
Old Private Sector Banks
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|
New Private Sector Banks
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|
| |
|
|
2003
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2004
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|
2003
|
2004
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2003
|
2004
|
|
| |
|
|
Amount
|
per cent
|
Amount
|
per cent
|
Amount
|
per cent
|
Amount
|
per cent
|
Amount
|
per cent
|
Amount
|
per cent
|
| |
|
|
|
to total
|
|
to total
|
|
to total
|
|
to total
|
|
to total
|
|
to total
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| |
1
|
|
2
|
3
|
4
|
5
|
6
|
7
|
8
|
9
|
10
|
11
|
12
|
13
|
|
1.
|
Capital
|
2,921.06
|
0.98
|
3,028.14
|
0.82
|
648.77
|
0.62
|
632.71
|
0.52
|
2,272.29
|
1.18
|
2,395.43
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0.97
|
|
2.
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Reserves and Surplus
|
15,974.60
|
5.38
|
19,490.78
|
5.31
|
5,646.58
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5.38
|
6,657.97
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5.52
|
10,328.02
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5.37
|
12,832.81
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5.20
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3.
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Deposits
|
2,07,173.56
|
69.73
|
2,68,549.30
|
73.12
|
91,431.25
|
87.11
|
1,05,331.32
|
87.27
|
1,15,742.31
|
60.23
|
1,63,217.98
|
66.19
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| |
3.1
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Demand Deposits
|
23,274.15
|
7.83
|
40,134.73
|
10.93
|
8,515.54
|
8.11
|
9,793.11
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8.11
|
14,758.61
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7.68
|
30,341.62
|
12.31
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| |
3.2
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Savings Bank Deposits
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26,160.41
|
8.80
|
40,093.07
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10.92
|
13,673.97
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13.03
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16,983.84
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14.07
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12,486.44
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6.50
|
23,109.23
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9.37
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3.3
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Term Deposits
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1,57,739.00
|
53.09
|
1,88,321.50
|
51.28
|
69,241.74
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65.97
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78,554.37
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65.08
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88,497.26
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46.05
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1,09,767.13
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44.52
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4.
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Borrowings
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42,139.95
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14.18
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40,365.62
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10.99
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2,385.75
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2.27
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2,129.85
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1.76
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39,754.20
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20.69
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38,235.77
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15.51
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5.
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Other Liabilities and Provisions
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28,916.90
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9.73
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35,842.34
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9.76
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4,843.91
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4.62
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5,948.58
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4.93
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24,072.99
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12.53
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29,893.76
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12.12
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Total Liabilities
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2,97,126.07
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100.00
|
3,67,276.18
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100.00
|
1,04,956.26
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100.00
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1,20,700.43
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100.00
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1,92,169.81
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100.00
|
2,46,575.75
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100.00
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1.
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Cash and balances with RBI
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16,398.85
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5.52
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21,725.57
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5.92
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5,243.57
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5.00
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6,268.68
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5.19
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11,155.28
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5.80
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15,456.89
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6.27
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2.
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Balances with banks and
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money at call and short notice
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11,035.63
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3.71
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15,115.47
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4.12
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5,210.51
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4.96
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6,092.27
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5.05
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5,825.12
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3.03
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9,023.20
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3.66
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3.
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Investments
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1,07,322.85
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36.12
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1,34,801.05
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36.70
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39,995.94
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38.11
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47,461.51
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39.32
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67,326.91
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35.04
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87,339.54
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35.42
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3.1
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In Government Securities (a+b)
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73,166.95
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24.62
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96,239.45
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26.20
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28,479.35
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27.13
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35,286.32
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29.23
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44,687.60
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23.25
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60,953.13
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24.72
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a. In India
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73,082.81
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24.60
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96,142.62
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26.18
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28,395.21
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27.05
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35,202.78
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29.17
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44,687.60
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23.25
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60,939.84
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24.71
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b. Outside India
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84.14
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0.03
|
96.83
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0.03
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84.14
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0.08
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83.54
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0.07
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–
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–
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13.29
|
0.01
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| |
3.2
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In other approved Securities
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960.93
|
0.32
|
790.68
|
0.22
|
882.58
|
0.84
|
690.94
|
0.57
|
78.35
|
0.04
|
99.74
|
0.04
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3.3
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In non-approved Securities
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33,194.97
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11.17
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37,770.92
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10.28
|
10,634.01
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10.13
|
11,484.25
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9.51
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22,560.96
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11.74
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26,286.67
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10.66
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4.
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Loans and Advances
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1,38,948.68
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46.76
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1,70,895.56
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46.53
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49,433.92
|
47.10
|
55,789.52
|
46.22
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89,514.76
|
46.58
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1,15,106.04
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46.68
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4.1
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Bills purchased & discounted
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11,113.67
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3.74
|
12,868.58
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3.50
|
5,321.15
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5.07
|
5,192.51
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4.30
|
5,792.52
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3.01
|
7,676.07
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3.11
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4.2
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Cash Credit, Overdrafts, etc.
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38,467.33
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12.95
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45,392.98
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12.36
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23,661.51
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22.54
|
25,892.78
|
21.45
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14,805.82
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7.70
|
19,500.20
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7.91
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4.3
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Term Loans
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89,367.68
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30.08
|
1,12,634.00
|
30.67
|
20,451.26
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19.49
|
24,704.23
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20.47
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68,916.42
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35.86
|
87,929.77
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35.66
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5.
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Fixed Assets
|
7,499.41
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2.52
|
7,925.96
|
2.16
|
1,528.16
|
1.46
|
1,514.19
|
1.25
|
5,971.25
|
3.11
|
6,411.77
|
2.60
|
|
6.
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Other Assets
|
15,920.65
|
5.36
|
16,812.57
|
4.58
|
3,544.16
|
3.38
|
3,574.26
|
2.96
|
12,376.49
|
6.44
|
13,238.31
|
5.37
|
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Total Assets
|
2,97,126.07
|
100.00
|
3,67,276.18
|
100.00
|
1,04,956.26
|
100.00
|
1,20,700.43
|
100.00
|
1,92,169.81
|
100.00
|
2,46,575.75
|
100.00
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Source: Balance sheets of respective banks.
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