(₹ Crore) | Year | GFD receipts | GFD Expenditure | Gross fiscal deficit (3-2) | Financing of GFD | External finance | Internal finance | Market Borrowings | Other Borrowings | Draw down of cash balances | Total (6+7+8) | 1 | 2 | 3 | 4 | 5 | 6 | 7 | 8 | 9 | 1994-95 | 96691 | 154394 | 57703 | 3582 | 20326 | 32834 | 961 | 54121 | 1995-96 | 111527 | 171770 | 60243 | 318 | 34001 | 16117 | 9807 | 59925 | 1996-97 | 126734 | 193468 | 66733 | 2987 | 19093 | 31469 | 13184 | 63746 | 1997-98 | 134798 | 223735 | 88937 | 1091 | 32499 | 56257 | -910 | 87846 | 1998-99 | 155359 | 268707 | 113349 | 1920 | 68988 | 42650 | -209 | 111429 | 1999-00 | 183206 | 287922 | 104716 | 1180 | 62076 | 40597 | 864 | 103537 | 2000-01 | 194730 | 313546 | 118816 | 7505 | 73431 | 39077 | -1197 | 111311 | 2001-02 | 204952 | 345907 | 140955 | 5601 | 90812 | 46038 | -1496 | 135354 | 2002-03 | 233985 | 379057 | 145072 | -11934 | 104126 | 50997 | 1883 | 157006 | 2003-04 | 280765 | 404038 | 123273 | -13488 | 88870 | 51833 | -3942 | 136761 | 2004-05 | 310415 | 436209 | 125794 | 14753 | 50940 | 61562 | -1461 | 111041 | 2005-06 | 348658 | 495093 | 146435 | 7472 | 106241 | 53610 | -20888 | 138963 | 2006-07 | 434921 | 577494 | 142573 | 8472 | 114801 | 14782 | 4517 | 134101 | 2007-08 | 580659 | 707571 | 126912 | 9315 | 130600 | 14168 | -27171 | 117597 | 2008-09 | 540825 | 877817 | 336992 | 11015 | 246975 | 35168 | 43834 | 325977 | 2009-10 | 597392 | 1015874 | 418482 | 11038 | 394371 | 14460 | -1386 | 407444 | 2010-11 | 811317 | 1184908 | 373591 | 23556 | 326399 | 17206 | 6430 | 350035 | 2011-12 | 769525 | 1285515 | 515990 | 12448 | 484111 | 35421 | -15990 | 503542 | 2012-13 | 905122 | 1395312 | 490190 | 7201 | 507445 | 26556 | -51012 | 482989 | 2013-14 | 1044092 | 1546950 | 502858 | 7292 | 475626 | 39111 | -19171 | 495566 | 2014-15 | 1139209 | 1649935 | 510725 | 12933 | 457617 | -37485 | 77752 | 497884 | 2015-16 | 1237157 | 1769948 | 532791 | 12748 | 414931 | 91942 | 13170 | 520043 | 2016-17 | 1421946 | 1957564 | 535618 | 17997 | 338149 | 188368 | -8895 | 517622 | 2017-18 | 1535278 | 2126340 | 591062 | 7931 | 450728 | 128312 | 4091 | 583131 | 2018-19 | 1647642 | 2297060 | 649418 | 5519 | 422735 | 222485 | -1321 | 643899 | 2019-20 | 1734363 | 2668014 | 933651 | 8682 | 473968 | 446030 | 4971 | 924969 | 2020-21 | 1671817 | 3490108 | 1818291 | 70180 | 1032907 | 722392 | -7188 | 1748111 | 2021-22 | 2184544 | 3769064 | 1584521 | 36147 | 704097 | 841734 | 2543 | 1548374 | 2022-23 | 2408413 | 4163732 | 1755319 | 23874 | 1108183 | 626503 | -3241 | 1731445 | 2023-24 | 2693281 | 4480097 | 1786816 | 22118 | 1180911 | 595575 | -11787 | 1764699 | Notes : 1. Data for 2022-23 are Revised Estimates and data for 2023-24 are Budget Estimates. 2. GFD receipts includes revenue receipts and disinvestments proceeds from 1991-92 onwards and only revenue receipts for all other years. 3. GFD expenditure includes revenue expenditure, capital outlay and loans and advances net of recoveries. 4. Drawdown of cash balances represent variation in adhoc treasury bills issued net of changes in cash balances with RBI up to March 31,1997. 5. 2017-18 onwards Market Borrowings include dated securities only. Prior to that market borrowing comprise dated securities, 364-day treasury bills and net impact of switching of securities. 6. Prior to 2017-18 Other borrowings comprise small savings, state provident fund, special deposits, reserve funds, treasury bills excluding 364-day treasury bills, etc. 2017-18 onwards Other borrowings also include 364-day treasury bills and net impact of switching of securities. Also see Notes on Tables. Source : Budget documents of the Government of India. | |