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Date : Dec 27, 2023
Appendix Table VI.3: Consolidated Balance Sheet of NBFCs-D
(Amount in ₹ crore)
Item End-March 2019 End-March 2020 End-March 2021 End-March 2022 End-March 2023 End-September 2023 Percentage variation 2022-23
1 2 3 4 5 6 7 8
1. Share Capital 5,202 7,191 8,463 7,048 8,178 7,948 16.0
2. Reserves & Surplus 61,959 78,577 92,820 1,04,963 1,28,224 1,31,864 22.2
3. Public Deposits 40,057 50,022 62,262 70,539 85,254 96,156 20.9
4. Total Borrowings (A+B) 2,70,128 2,94,382 2,83,762 3,01,017 3,65,642 4,05,044 21.5
A. Secured Borrowings 2,21,117 2,53,562 2,45,153 2,60,271 3,06,685 3,31,840 17.8
A.1. Debentures 97,265 99,553 92,775 1,02,909 1,09,487 1,15,265 6.4
A.2. Borrowings from Banks 1,06,079 1,24,038 1,14,277 1,19,735 1,30,355 1,46,882 8.9
A.3. Borrowings from FIs 4,976 8,068 12,670 11,370 9,748 10,468 -14.3
A.4. Interest Accrued 3,119 3,328 3,149 3,657 2,678 3,091 -26.8
A.5. Others 9,678 18,576 22,282 22,600 54,418 56,134 140.8
B. Un-Secured Borrowings 49,010 40,820 38,610 40,746 58,957 73,204 44.7
B.1. Debentures 1,892 3,785 5,122 6,094 7,553 7,909 23.9
B.2. Borrowings from Banks 151 350 315 85 905 730 961.5
B.3. Borrowings from FIs - - - - - - -
B.4. Borrowings from Relatives 86 82 62 48 52 25 9.4
B.5. Inter-Corporate Borrowings 7,390 8,529 7,906 11,106 18,216 20,805 64.0
B.6. Commercial Paper 18,112 7,478 8,523 7,899 16,589 28,438 110.0
B.7. Interest Accrued 3,645 3,491 955 1,066 1,476 1,498 38.5
B.8. Others 17,736 17,104 15,727 14,448 14,166 13,800 -1.9
5. Current Liabilities & Provisions 44,482 56,653 70,892 71,159 73,639 75,859 3.5
Total Liabilities/ Total Assets 4,21,829 4,86,825 5,18,199 5,54,726 6,60,937 7,16,871 19.1
1. Loans & Advances 3,79,019 4,17,807 4,25,819 4,63,831 5,52,904 6,20,016 19.2
1.1. Secured 3,07,573 3,28,907 3,34,543 3,59,896 4,25,438 4,72,450 18.2
1.2. Un-Secured 71,446 88,899 91,276 1,03,935 1,27,467 1,47,565 22.6
2. Investments 23,891 39,151 46,627 45,953 59,872 53,790 30.3
2.1. Govt. Securities 5,538 9,118 17,720 25,655 30,383 31,904 18.4
2.2. Equity Shares 6,901 10,343 10,397 12,279 14,894 14,023 21.3
2.3. Preference Shares 225 265 284 3 67 67 2,046.2
2.4. Debentures & Bonds 1,355 496 308 317 888 523 180.4
2.5. Units of Mutual Funds 4,807 15,302 11,198 4,523 6,844 2,635 51.3
2.6. Commercial Paper 857 852 511 100 705 829 604.7
2.7. Other Investments 5,272 2,773 6,209 3,077 6,092 3,808 98.0
3. Cash & Bank Balances 9,786 17,275 34,364 32,750 29,323 22,964 -10.5
3.1. Cash in Hand 447 139 377 637 612 593 -3.9
3.2. Deposits with Banks 9,339 17,136 33,987 32,112 28,711 22,372 -10.6
4. Others 9,132 12,592 11,388 12,192 18,838 20,102 54.5
Memo Items              
1. Capital Market Exposure 9,630 10,025 12,236 15,798 27,544 31,363 74.4
of which: Equity Shares 516 5,514 5,742 595 2,407 2,299 304.5
2. CME as per cent to Total Assets 2.3 2.1 2.4 2.8 4.2 4.4  
3. Leverage Ratio 5.7 5.0 4.5 4.2 4.2 4.5  
Notes: 1. Data are provisional.
2. Percentage figures are rounded-off.
Source: Quarterly returns of NBFCs-D, RBI.

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