TABLE 3.1 : BANK GROUP-WISE LIABILITIES AND ASSETS OF SCHEDULED COMMERCIAL BANKS IN INDIA - 2012 AND 2013 AS ON MARCH 31 (Contd.) |
(Amount in ` Billion) |
Items |
New Private Sector
Banks |
Private Sector
Banks |
Foreign
Banks |
All Scheduled
Commercial Banks |
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
2012 |
2013 |
(1) |
(2) |
(3) |
(4) |
(5) |
(6) |
(7) |
(8) |
4. Borrowings |
2386.41 |
2746.17 |
2584.20 |
2999.98 |
1204.22 |
1534.04 |
8437.74 |
10105.32 |
4.1. Borrowings in India |
1131.69 |
1354.08 |
1272.09 |
1533.43 |
625.64 |
868.72 |
4661.65 |
5435.01 |
(i) From Reserve Bank of India |
251.69 |
296.03 |
274.20 |
321.68 |
349.04 |
474.68 |
981.33 |
1308.11 |
(ii) From other banks |
105.75 |
142.29 |
115.50 |
149.95 |
153.42 |
161.93 |
415.68 |
492.77 |
(iii) From other institutions and agencies |
774.24 |
915.76 |
882.39 |
1061.79 |
123.17 |
232.12 |
3264.64 |
3634.13 |
4.2. Borrowings outside India |
1254.72 |
1392.10 |
1312.11 |
1466.55 |
578.59 |
665.32 |
3776.09 |
4670.31 |
Secured borrowings included in 4 |
34.26 |
62.71 |
46.73 |
101.02 |
454.69 |
676.08 |
885.31 |
1130.88 |
5. Other liabilities and provisions |
894.36 |
885.81 |
1007.89 |
1010.24 |
971.66 |
727.77 |
4150.55 |
4243.39 |
5.1. Bills payable |
133.76 |
142.08 |
150.95 |
161.20 |
36.62 |
30.78 |
582.36 |
583.23 |
5.2. Inter-office adjustment |
3.25 |
1.58 |
6.25 |
4.21 |
0.20 |
0.05 |
18.68 |
197.83 |
5.3. Interest accrued |
104.00 |
118.41 |
120.58 |
133.00 |
28.41 |
28.41 |
464.74 |
514.30 |
5.4. Subordinate debt. |
- |
- |
- |
- |
- |
- |
- |
- |
5.5. Deferred tax liabilities |
- |
- |
2.89 |
1.35 |
0.02 |
0.04 |
27.67 |
19.77 |
5.6. Others (including provisions) |
653.34 |
623.74 |
727.21 |
710.48 |
905.93 |
668.49 |
3056.61 |
2928.25 |
Total Liabilities |
13181.71 |
15450.70 |
16930.91 |
19898.04 |
5882.28 |
6215.63 |
83209.39 |
95733.34 |
6. Cash and balances with RBI |
538.15 |
576.47 |
705.56 |
743.50 |
231.69 |
214.52 |
3737.46 |
3751.74 |
6.1. Cash in hand |
134.05 |
147.20 |
157.94 |
176.47 |
6.76 |
6.58 |
442.58 |
489.08 |
6.2. Balances with RBI |
404.11 |
429.27 |
547.62 |
567.02 |
224.92 |
207.94 |
3294.87 |
3262.66 |
(i) In current account |
402.11 |
427.27 |
545.62 |
565.02 |
191.86 |
188.62 |
3256.20 |
3187.75 |
(ii) In other account |
2.00 |
2.00 |
2.00 |
2.00 |
33.07 |
19.31 |
38.67 |
74.91 |
7. Balances with banks in India and money at call and short notice |
295.02 |
469.72 |
365.54 |
577.30 |
311.30 |
344.60 |
2436.76 |
3350.87 |
7.1. In India |
119.76 |
214.04 |
181.00 |
309.86 |
156.91 |
163.06 |
935.05 |
1309.78 |
7.1.1. Balances with banks |
82.16 |
126.76 |
118.22 |
194.16 |
116.18 |
142.92 |
530.25 |
667.11 |
(i) In current account |
12.18 |
15.66 |
19.93 |
27.02 |
15.01 |
12.46 |
102.29 |
113.13 |
(ii) In other deposit accounts |
69.97 |
111.10 |
98.29 |
167.13 |
101.16 |
130.45 |
427.96 |
553.99 |
7.1.2. Money at call and short notice |
37.60 |
87.28 |
62.78 |
115.70 |
40.73 |
20.14 |
404.80 |
642.66 |
(i) with banks |
7.79 |
76.26 |
13.24 |
97.01 |
16.72 |
16.37 |
260.72 |
464.24 |
(ii) with other institutions |
29.81 |
11.02 |
49.54 |
18.69 |
24.01 |
3.76 |
144.08 |
178.42 |
7.2. Outside India |
175.26 |
255.68 |
184.54 |
267.44 |
154.39 |
181.55 |
1501.71 |
2041.10 |
7.2.1. Balances with banks |
82.94 |
159.04 |
88.03 |
167.43 |
123.19 |
160.09 |
1057.54 |
1570.99 |
(i) In current account |
35.38 |
43.69 |
38.69 |
48.27 |
58.27 |
49.79 |
514.82 |
602.10 |
(ii) In other deposit accounts |
47.56 |
115.35 |
49.34 |
119.15 |
64.92 |
110.30 |
542.72 |
968.89 |
7.2.2. Money at call and short notice |
92.32 |
96.64 |
96.51 |
100.02 |
31.20 |
21.46 |
444.17 |
470.11 |
Source : Annual accounts of banks. |