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Date : Sep 15, 2014
Table 121 : Outstanding Liabilities of the State Governments

(` Billion)

Year
(End- March)

Market Loans

Compen-sation and Other Bonds

WMA from RBI

Loans From Banks and Other institu-tions

Special Securities issued to NSSF

Total Internal Debt

Loans and Adv-ances from Central Govern - ment

State Provident Funds

Insurance and Pension Fund Trust and Endow-ments, etc.

Total Provi-dent Funds, etc. (9+10)

Reserve Funds

Deposits & Advances

Contin-gency Funds

Total liabilities (7+8 +11 +12 +13 +14)

1

2

3

4

5

6

7

8

9

10

11

12

13

14

15

1984-85

51.01

0.43

16.40

15.39

-

83.23

305.55

48.46

6.71

55.17

15.34

45.43

2.63

507.35

1985-86

61.04

0.41

2.86

16.18

-

80.49

387.86

57.43

10.82

68.25

20.36

52.44

4.15

613.55

1986-87

72.71

0.36

2.14

15.44

-

90.65

437.02

66.99

12.56

79.55

24.57

62.48

4.48

698.75

1987-88

87.93

0.10

1.29

19.22

-

108.54

495.34

79.94

15.89

95.83

30.00

76.88

5.21

811.80

1988-89

107.65

0.02

3.25

21.21

-

132.13

562.22

96.25

19.60

115.85

36.54

87.05

3.93

937.72

1989-90

130.63

-0.02

5.89

25.44

-

161.94

641.39

115.14

23.77

138.91

47.29

99.40

9.56

1098.49

1990-91

156.52

0.60

10.50

25.13

-

192.74

735.21

140.02

28.59

168.61

47.34

127.69

9.95

1281.55

1991-92

190.08

0.64

12.88

29.10

-

232.70

829.79

163.57

34.33

197.90

55.19

145.02

9.69

1470.30

1992-93

224.80

0.72

10.73

32.28

-

268.53

916.26

193.47

41.68

235.15

66.98

189.11

7.62

1683.65

1993-94

261.19

0.79

13.06

34.29

-

309.33

1011.22

229.96

49.76

279.72

81.80

190.09

6.58

1878.75

1994-95

312.00

0.77

6.08

39.89

-

358.75

1152.38

267.83

61.11

328.94

90.13

229.63

4.89

2164.73

1995-96

370.88

0.76

18.94

48.38

-

438.95

1292.64

309.84

72.32

382.16

105.77

266.54

9.29

2495.35

1996-97

436.02

0.74

25.57

51.06

-

513.38

1461.68

355.56

85.39

440.95

123.50

314.36

5.11

2858.98

1997-98

508.47

0.77

6.30

77.34

-

592.89

1686.56

408.23

100.20

508.43

144.98

366.09

9.21

3308.16

1998-99

614.77

0.66

48.58

107.89

-

771.90

1990.07

508.27

124.29

632.56

173.20

423.57

4.45

3995.76

1999-00

754.27

0.65

73.28

171.10

252.51

1251.81

2303.31

656.00

149.23

805.23

197.69

521.93

15.33

5095.29

2000-01

867.67

0.62

65.59

292.13

563.52

1789.53

2386.55

764.46

171.83

936.29

228.68

593.28

7.14

5941.47

2001-02

1040.27

0.59

94.19

408.94

902.26

2446.25

2495.51

844.23

193.92

1038.15

273.89

643.25

10.42

6907.47

2002-03

1330.66

0.63

25.12

511.98

1391.93

3260.32

2491.79

916.18

220.60

1136.78

321.88

650.36

3.14

7864.30

2003-04

2089.01

0.82

33.75

659.60

1984.54

4767.72

1929.81

985.50

232.91

1218.41

422.17

691.16

2.46

9031.74

2004-05

2433.62

0.83

14.98

679.21

2822.00

5950.64

1600.45

1065.84

242.44

1308.28

523.11

752.90

5.27

10140.67

2005-06

2605.06

0.82

4.07

718.45

3659.33

6987.73

1570.04

1162.01

246.05

1408.06

631.20

866.91

13.22

11477.17

2006-07

2688.28

0.82

2.99

693.38

4253.09

7638.55

1466.53

1262.11

237.09

1499.20

787.61

1010.68

13.19

12415.76

2007-08

3216.51

0.80

2.55

714.38

4308.79

8243.04

1450.98

1370.77

248.95

1619.72

782.65

1165.91

20.73

13283.02

2008-09

4236.15

0.80

3.72

777.80

4319.15

9337.62

1438.70

1498.87

275.47

1774.34

839.27

1283.50

28.53

14701.95

2009-10

5345.69

0.79

4.81

834.82

4550.15

10736.26

1431.52

1693.66

311.94

2005.61

943.50

1345.27

24.33

16486.50

2010-11

6185.18

0.78

14.10

817.18

4946.44

11963.69

1441.70

1930.88

351.48

2282.35

1031.72

1536.56

33.74

18289.76

2011-12

7526.83

0.75

6.10

830.83

4864.18

13228.68

1435.48

2157.16

377.30

2534.46

919.36

1789.77

31.42

19939.16

2012-13

8832.68

0.75

6.54

849.00

4867.54

14556.51

1504.11

2367.55

394.81

2762.36

940.84

1952.78

35.93

21752.53

2013-14

10965.76

0.80

6.79

894.09

4801.54

16668.99

1603.44

2590.49

412.32

3002.81

996.53

2020.12

40.93

24332.82

Notes : 1. Data for 2012-13 relate to Revised Estimates while 2013-14 are Budget Estimates.
2. Total liabilites have been revised to include reserve funds, deposits and advances and contingency funds.
3. Market Loans include Power Bonds.
Also see Notes on Tables.
Source : Data are derived from Combined Finance and Revenue Accounts of the Union and the State Governments in India and Budget documents of the State Governments.


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