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Document - Appendix Table IV.2: International Liabilities of Banks in India – By Type of Instruments () or PDF - Appendix Table IV.2: International Liabilities of Banks in India – By Type of Instruments ()
Date : Dec 29, 2025
Appendix Table IV.2: International Liabilities of Banks in India – By Type of Instruments
(Amount in ₹ crore)
Liability Type Amount Outstanding (At end-March) Percentage Variation
2024 (PR) 2025 (PR) 2023-24 2024-25
1 2 3 4 5
1. Loans and Deposits 15,69,186 17,88,853 21.1 14.0
  (63.8) (63.9)    
a) Foreign Currency Non-resident (Bank) [FCNR (B)] Scheme 1,98,611 2,84,402 46.3 43.2
  (8.1) (10.2)    
b) Foreign Currency Borrowings* 1,59,151 1,82,247 64.8 14.5
  (6.5) (6.5)    
c) Non-resident External Rupee (NRE) Accounts 8,12,252 8,69,802 6.2 7.1
  (33.0) (31.1)    
d) Non-resident Ordinary (NRO) Rupee Accounts 2,28,483 2,69,624 38.7 18.0
  (9.3) (9.6)    
2. Own Issues of Securities/ Bonds 3,044 740 0.2 -75.7
  (0.1) (0.0)    
3. Other liabilities 8,24,875 9,51,289 20.0 15.3
  (33.6) (34.0)    
Of which:        
a) ADRs/GDRs 1,50,363 1,78,991 26.7 19.0
  (6.1) (6.4)    
b) Equities of Banks 4,72,007 5,28,832 22.0 12.0
Held by Non-residents (19.2) (18.9)    
c) Capital / Remittable Profits of Foreign Banks in India and Other Unclassified International Liabilities 2,02,504 2,43,467 11.4 20.2
  (8.2) (8.7)    
4. Negative MTM Derivatives 60,718 58,306 -13.1 -4.0
  (2.5) (2.1)    
Total International Liabilities 24,57,823 27,99,188 19.5 13.9
  (100.0) (100.0)    
PR : Partially Revised.
* : Inter-bank borrowings in India and from abroad and external commercial borrowings of banks.
Notes: 1. Percentage variation could be slightly different as absolute numbers have been rounded off to ₹ crore.
2. Based on the latest BIS guidelines, MTM derivatives have been introduced in this statement from September 2022 quarter.
3. Figures in parentheses are percentages to total.
Source: International Banking Statistics, RBI.