(₹ Crore) |
Year (end-March) | Internal debt | of which | Small savings, deposits & provident funds | Other accounts | Reserve funds 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 |
1993-94 | 245712 | 110611 | 32595 | 8386 | 87877 | 72478 | 24556 | 430623 | 127798 | 558421 |
1994-95 | 266467 | 130908 | 32327 | 8165 | 106435 | 85787 | 28993 | 487682 | 142514 | 630196 |
1995-96 | 307869 | 163986 | 43790 | 1875 | 121425 | 92010 | 33680 | 554983 | 148398 | 703381 |
1996-97 | 344476 | 184101 | 56519 | 8241 | 138955 | 100088 | 37919 | 621437 | 149564 | 771001 |
1997-98 | 388998 | 216598 | 1601 | 16243 | 167780 | 124087 | 42097 | 722962 | 161418 | 884380 |
1998-99 | 459696 | 285585 | 1501 | 10196 | 206458 | 126802 | 41595 | 834552 | 177934 | 1012486 |
1999-00 | 714254 | 355862 | 1521 | 14296 | 66406 | 134425 | 47508 | 962592 | 186791 | 1149383 |
2000-01 | 803698 | 428793 | 1876 | 16296 | 96343 | 144020 | 58535 | 1102596 | 189990 | 1292586 |
2001-02 | 913061 | 516517 | 5047 | 19584 | 144511 | 164157 | 73133 | 1294862 | 199639 | 1494501 |
2002-03 | 1020689 | 619105 | 9673 | 26122 | 226400 | 172374 | 80126 | 1499589 | 196067 | 1695656 |
2003-04 | 1141706 | 707965 | 7184 | 26132 | 288378 | 168094 | 92376 | 1690554 | 184177 | 1874731 |
2004-05 | 1275971 | 758995 | 8338 | 26148 | 390477 | 174107 | 92989 | 1933544 | 191182 | 2124726 |
2005-06 | 1389758 | 862370 | 16364 | 35785 | 479761 | 186921 | 109462 | 2165902 | 194070 | 2359972 |
2006-07 | 1544975 | 972801 | 30802 | 42625 | 539450 | 220160 | 131295 | 2435880 | 201199 | 2637079 |
2007-08 | 1799651 | 1104564 | 30371 | 41381 | 553620 | 245081 | 127043 | 2725394 | 210086 | 2935480 |
2008-09 | 2019841 | 1338194 | 75595 | 65721 | 553518 | 334091 | 128682 | 3036132 | 263976 | 3300108 |
2009-10 | 2328339 | 1746619 | 71549 | 62993 | 620627 | 327457 | 119453 | 3395877 | 249288 | 3645165 |
2010-11 | 2667115 | 2072033 | 70391 | 64479 | 680561 | 304697 | 128762 | 3781135 | 278455 | 4059590 |
2011-12 | 3230622 | 2516953 | 124656 | 142379 | 704762 | 277904 | 133877 | 4347164 | 322890 | 4670054 |
2012-13 | 3764566 | 2984309 | 105142 | 194663 | 731409 | 257424 | 139904 | 4893303 | 332004 | 5225307 |
2013-14 | 4240767 | 3441641 | 125761 | 213374 | 772609 | 315421 | 156051 | 5484848 | 374483 | 5859331 |
2014-15 | 4738291 | 3891734 | 128961 | 220490 | 802230 | 315630 | 188857 | 6045007 | 366384 | 6411391 |
2015-16 | 5304835 | 4298784 | 132855 | 231840 | 868561 | 319800 | 198512 | 6691709 | 406589 | 7098298 |
2016-17 | 5750876 | 4649487 | 106840 | 227962 | 936137 | 321857 | 208099 | 7216970 | 408108 | 7625078 |
2017-18 | 6425537 | 5068408 | 138726 | 246557 | 1006422 | 324632 | 252758 | 8009349 | 445282 | 8454631 |
2018-19 | 7164805 | 5500141 | 92183 | 328699 | 1109484 | 326619 | 302510 | 8903418 | 474439 | 9377857 |
2019-20 | 8132361 | 5986127 | 82583 | 375827 | 1161394 | 433790 | 304444 | 10031987 | 544394 | 10576381 |
2020-21 | 10046915 | 7135144 | 93297 | 597654 | 1001739 | 446479 | 333948 | 11829081 | 614829 | 12443910 |
2021-22 | 11715701 | 8069916 | 200599 | 590351 | 789430 | 427728 | 365219 | 13298078 | 832409 | 14130487 |
2022-23 | 13310206 | 9197251 | 178580 | 662370 | 770303 | 402882 | 405072 | 14888463 | 851660 | 15740123 |
Notes : 1. Data for 2021-22 are Revised Estimates and data for 2022-23 are Budget Estimates. 2. External Liabilities are calculated at current exchange rate. 3. Sharp decline in 91-day treasury bills is on account of conversion of adhoc treasury bills into special securities in 1997-98. 4. Internal Debt Data from 2004-05 to 2012-13 include liabilities on account of Market Stabilisation Scheme (MSS). 5. From 2016-17 onwards, borrowings through Extra-Budgetary Resources (EBR) are included in Internal Debt. Also see Notes on Tables. Source : Budget documents of the Government of India, Status Paper on Government Debt and Quarterly Report on Public Debt Managment. |