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Document - Table 122 : Outstanding Liabilities of Central Government () or PDF - Table 122 : Outstanding Liabilities of Central Government ()
Date : Sep 13, 2005
Table 122 : Outstanding Liabilities of Central Government

(Rupees crore)

Year (end-
March)

Internal
debt

of which

Small
savings,
deposits &
provident
funds

Other
accounts

Reserve
fund and
deposits

Total
internal
liabilities
(2+6+7+8)

External
liabilities*

Total
liabilities
(9+10)

Market
loans

91-day
treasury
bills

182/364-day
treasury
bills

1

2

3

4

5

6

7

8

9

10

11

1980-81

30864

15549

12851

0

10621

3332

3634

48451

11298

59749

1981-82

35653

18534

10273

0

12301

4279

3627

55858

12328

68186

1982-83

46939

22232

17431

0

14518

5369

4364

71190

13682

84872

1983-84

50263

26270

15756

0

17253

6621

6004

80141

15120

95261

1984-85

58537

30360

19452

0

21315

8389

8563

96804

16637

113441

1985-86

71039

35241

26014

0

26078

10781

11433

119331

18153

137484

1986-87

86312

40832

19876

0

30230

14698

15006

146247

20299

166546

1987-88

98646

46695

8028

0

35002

19526

19164

172338

23223

195561

1988-89

114498

55115

14273

567

41783

26752

20992

204025

25746

229771

1989-90

133193

62520

25184

774

51467

35597

19592

239849

28343

268192

1990-91

154004

70520

6953

1078

61771

45336

21922

283033

31525

314558

1991-92

172750

78023

8840

3986

69682

51818

23464

317714

36948

354662

1992-93

199100

81693

20614

8777

77005

59797

23753

359655

42269

401924

1993-94

245712

110611

32595

8386

87877

72478

24556

430623

47345

477968

1994-95

266467

130908

32327

8165

106435

85787

28993

487682

50929

538611

1995-96

307869

163986

43790

1875

121425

92010

33680

554983

51249

606232

1996-97

344476

184101

56519

8241

138955

100088

37919

621437

54239

675676

1997-98

388998

216598

1601 #

16243

167780

124087

42097

722962

55332

778294

1998-99

459696

285585

1501

10196

206458

126802

41595

834552

57254

891806

1999-00

714254

355862

1521

14296

66406

134425

47508

962592

58437

1021029

2000-01

803698

428793

1876

16296

96343

144020

58535

1102597

65945

1168542

2001-02

913061

516517

5047

19584

144511

164157

73133

1294862

71546

1366408

2002-03

1020689

619105

9673

26122

226400

172374

80126

1499589

59612

1559201

2003-04

1141706

707965

7184

26132

288378

168094

92376

1690554

46124

1736678

2004-05 RE

1270272 @

758999

7184

26041

380828

173581

102474

1927155

54359

1981514

2005-06 BE

1406525 @

870836

7184

32496

476618

169215

116313

2168671

63215

2231886

RE : Revised Estimates. BE :Budget Estimates.
* At historical exchange rate.
# Sharp decline in 91-day treasury bills is on account of conversion of
ad hoc treasury bills into special securities.
@ Include liabilities on account of Market Stabilisation Scheme (MSS).
Also see Notes on Tables.
Source : Budget documents of the Government of India.