Documenti di Didattica
Documenti di Professioni
Documenti di Cultura
(Amount In ` Crore)
1. Cash in
Year Banks hand_x000D_
3676.67 - - - - 190825.93
5404.86 - - - - 215893.45
6917.05 - - - - 208376.87
18950.81 - - - - 197686.00
17455.17 - - - - 196306.45
11886.57 0.05 - - 0.05 180572.30
8179.78 0.05 - - 0.05 157098.07
7005.76 0.05 - - 0.05 138201.85
2927.71 2.05 - - 2.05 103444.48
2887.46 2.05 - - 2.05 82212.69
1759.56 1.05 - - 1.05 62470.82
2013.86 6.65 - - 6.65 52739.07
1830.85 16.84 - - 16.84 45413.57
As on March 31
7A.1. Bills 7A.2. Cash 7A.3. 7B.1. 7B.2. Covered by
purchased and credits, overdrafts & Term Secured by tangible Bank/Govt.
discounted_x000D_ loans_x000D_ loans_x000D_ assets_x000D_ Guarantees_x000D_
(Amount In ` Crore)
Year 2. Reserves
Banks 1. Capital
and Surplus
320284.49
350085.72
361874.47
375389.83
356144.00
328988.36
322768.51
290316.33
253376.79
233572.75
172402.32
130694.39
103839.32
88564.78
81360.25
1. Cash in
Banks hand_x000D_
Banks 1. Capital
Industry
Break up of Contingent Liability
Year Mar 10
Claims not acknowledged as debt 120.68
Bills Discounted 0
Disputed Claims 0
Uncalled liability on investments 33.08
On account of outstanding forward exch.contracts 8,402.89
Guarantees given in India 6,890.08
Guarantees given outside India 43.99
Acceptance, Endorsements & Other Obligations 3,591.59
Others 735.01
Estimated Capital Contracts Remaining 0
2
Illiquid Assets 2019
Semiliquid Assets
3. Balances with banks in
India_x000D_
714.2602
4. Money at call and short
notice_x000D_
2232.1281
5. Balances with banks outside India
5372.1271
(ii) Public sectors_x000D_
21587.2291
(iii) Banks_x000D_
-
Total 29905.7445
Liquid Assets
1. Cash in hand_x000D_
1030.7547
10671.1096
(i) Government
securities
I
51918.6934
Total 76607.0248
Liquid Liabilities
3A.1. Demand deposits_x000D_
13255.725
3A.2. Savings bank
deposits_x000D_
70766.0631
5.1. Bills Payable_x000D_
598.1501
Total 84619.9382
Semiliquid Liabilities
3A.3. Term deposits_x000D_
158054.1587
Illiquid Liailities
1. Capital 480.2917
2. Reserves and Surplus
18908.4
Total 30995.81
Illiquid Activities 11
Claims not acknowledged as debt 0
Bills Discounted 0
Disputed Claims 527.15
Guarantees given in India 8415.29
Guarantees given outside India 371.46
Acceptance, Endorsements & Other Obligations 7249.18
Others 6640.98
Estimated Capital Contracts Remaining 0
Total 23204.06
Liquid Liabilities
Uncalled liability on investments 3.64
Total 3.64
2.4 2.5
2.1 2.2 2.3 2.6
Investments Revenue and
Statutory Capital Share Balance of
2. Reserves Fluctuations other
Reserves_x00 Reserves_x00 Premium_x000 Profit_x000D
and Surplus Reserves_x00 Reserves_x00
0D_ 0D_ D_ _
0D_ 0D_
Indian Bank
Industry : Banks - Public Sector
Mar 11 Mar 12 Mar 13 Mar 14 Mar 15 Mar 16 Mar 17
124.08 126.98 637.51 669.39 0 0 0
0 0 0 0 0 0 0
0 0 0 0 650.89 647.24 486.55
19.4 17.68 31.85 30.03 25.06 8.26 7.37
19,506.31 33,192.47 20,434.51 27,809.39 22,565.65 11,587.06 8,015.32
9,803.05 9,244.93 10,329.11 10,145.30 9,803.33 9,536.82 10,035.45
40.61 132.64 133.78 80.74 60.92 17.91 119.15
3,777.70 4,351.30 3,363.43 3,675.54 2,949.20 5,186.49 7,501.06
626.2 985.33 1,382.87 1,475.02 1,982.62 2,768.75 3,197.40
0 0 0 0 0 0 0
3 4 5 6 7 8 9
2018 2017 2016 2015 2014 2013 2012
- - - - - - -
61996.3803 53765.1808 46490.6401 46106.1948 40826.6834 36103.3228 29789.2231
- - - - - - -
- - - - - - -
- - - - - - -
10 9 8 7 6 5 4
0 0 0 0 669.39 637.51 126.98
0 0 0 0 0 0 0
489.73 486.55 647.24 650.89 0 0 0
11171.06 10035.45 9536.82 9803.33 10145.3 10329.11 9244.93
247.69 119.15 17.91 60.92 80.74 133.78 132.64
8503.06 7501.06 5186.49 2949.2 3675.54 3363.43 4351.3
4827.41 3197.4 2768.75 1982.62 1475.02 1382.87 985.33
0 0 0 0 0 0 0
25238.95 21339.61 18157.21 15446.96 16045.99 15846.7 14841.18
3B.1.
3A.2.
3A.1. (i) (ii) 3A.3. (i) (ii) Deposits of
3. Savings
Demand From From Term From From branches
Deposits_x00 bank
deposits_x00 banks_x000D others_x000D deposits_x banks_x00 others_x00 in
0D_ deposits_
0D_ _ _ 000D_ 0D_ 0D_ India_x000
x000D_
D_
10 11 12 13
2011 2010 2009 2008
- - - -
25804.3468 21649.9726 18253.5107 14995.4641
- - 0.019 0.0855
100 - - -
0.0193 0.0245 - -
73194.0713 59812.5146 49622.4717 41300.3757
- - - -
- - - -
3 2 1 0
124.08 120.68 163.04 170.57
0 0
0 0
9803.05 6890.08 4419.89 2891.74
40.61 43.99 48.6 10.82
3777.7 3591.59 3251.42 2862.69
626.2 735.01 164.92 274.36
0 0
14371.64 11381.35 8047.87 6210.18
19.4 33.08 8 8
19.4 33.08 8 8
181261.91 1659.80 95636.69 83965.43 151802.67 4831.37 24627.88 173819.58 65506.84 21587.23
156568.93 1404.59 83822.47 71341.87 127681.68 3681.10 25206.14 150379.68 61996.38 22055.59
127699.28 1386.95 60610.14 65702.19 99653.47 4193.24 23852.57 122110.38 53765.18 17704.64
129049.08 1473.11 66026.03 61549.93 103255.68 6296.84 19496.55 123879.57 46490.64 21927.01
125863.55 2580.07 55825.81 67457.66 100663.06 7620.28 17580.20 120199.10 46106.19 18681.90
122208.99 2760.66 58203.67 61244.66 92801.55 7423.55 21983.88 114856.57 40826.68 22693.83
105642.55 1985.88 45382.93 58273.74 81489.33 7935.47 16217.74 99705.54 36103.32 18555.99
90323.60 2294.44 36057.58 51971.58 67142.61 5580.20 17600.79 85472.43 29789.22 10248.38
75249.91 2092.93 26948.12 46208.86 58432.05 4801.20 12016.66 72131.71 25804.35 4981.25
62146.13 1407.83 26993.90 33744.40 49256.98 4263.95 8625.21 59480.80 21649.97 5788.19
51396.54 1282.95 18485.25 31628.34 40886.36 4410.56 6099.62 48446.40 18253.51 4933.51
39838.71 1240.09 13860.20 24738.43 31004.89 3007.05 5826.78 37827.05 14995.46 5355.71
29058.11 742.15 10179.68 18136.29 22241.55 2940.30 3876.26 27730.57 13105.63 4280.33
22484.64 632.34 9894.57 11957.73 16389.31 2015.24 4080.09 21344.81 10423.34 1257.54
18380.10 653.65 8474.19 9252.27 13358.49 2742.49 2279.12 17372.48 7891.04 3191.84
6838.97 12137.54 10186.93 6395.32 0.05 3791.56 1950.61 6395.32 6463.09 598.15
6046.64 19760.17 18801.26 15000.00 0.02 3801.24 958.91 16049.46 6213.01 631.26
5.4.
5.2. 5.5. 5.6.
5.3.
Inter- Deferred Others
Interest Subordina
office Tax (including Total
accrued_ te
adjustmen Liabilities provisions Liabilities
x000D_ debt_x000
ts_x000D_ _x000D_ )_x000D_
D_
Banks 1. Capital
Industry
Break up of Contingent Liability
Year Mar 10
Claims not acknowledged as debt 78.22
Bills Discounted 0
Disputed Claims 0
Uncalled liability on investments 0.12
On account of outstanding forward exch.contracts 15,631.42
Guarantees given in India 8,445.30
Guarantees given outside India 247.03
Acceptance, Endorsements & Other Obligations 8,047.65
Others 6,890.78
Estimated Capital Contracts Remaining 0
2
Illiquid Assets 2019
Semiliquid Assets
3. Balances with banks in
India_x000D_
214.248
4. Money at call and short
notice_x000D_
18758.468
5. Balances with banks outside India
1626.2496
(ii) Public sectors_x000D_
8030.5571
(iii) Banks_x000D_
-
Total 28629.5227
Liquid Assets
1. Cash in hand_x000D_
1028.5328
9263.9994
(i) Government
securities
I 57625.0249
(ii) Other approved
securities I
1.3395
(iii) Shares I
896.9505
(iv) Debentures and
Bonds I
1902.8361
(vi) Others I
2686.1533
(iii) Others_x000D_
275.4067
(i) Government
securities_x000D_
3351.1205
Total 77031.3637
Liquid Liabilities
3A.1. Demand deposits_x000D_
14575.1237
3A.2. Savings bank
deposits_x000D_
70652.2211
5.1. Bills Payable_x000D_
547.9392
Total 85775.284
Semiliquid Liabilities
3A.3. Term deposits_x000D_
137306.7324
(i) From Reserve Bank of
India_x000D_
-
(ii) From other banks_x000D_
-
Total 137306.7324
Illiquid Liailities
1. Capital 9141.6482
2. Reserves and Surplus 7218.2299
(iii) From other institutions and
agencies_x000D_
6145.5293
4.2. Borrowings outside
India_x000D_
0.5086
5.2. Inter-office
adjustments_x000D_
-
5.3. Interest accrued_x000D_
73.1495
5.4. Subordinate debt_x000D_
-
5.5. Deferred Tax
Liabilities_x000D_
-
5.6. Others (including
provisions)_x000D_
4347.2758
Total 26926.3413
Illiquid Activities 11
Claims not acknowledged as debt 45.01
Bills Discounted 0
Disputed Claims 0
Guarantees given in India 11957.59
Guarantees given outside India 219.55
Acceptance, Endorsements & Other Obligations 5810.53
Others 7089.15
Estimated Capital Contracts Remaining 51.95
Total 25173.78
Liquid Liabilities
Uncalled liability on investments 0.12
Total 0.12
2.4 2.5
2.1 2.2 2.3 2.6
Investments Revenue and
Statutory Capital Share Balance of
2. Reserves Fluctuations other
Reserves_x00 Reserves_x00 Premium_x000 Profit_x000D
and Surplus Reserves_x00 Reserves_x00
0D_ 0D_ D_ _
0D_ 0D_
Indian Bank
Industry : Banks - Public Sector
Mar 11 Mar 12 Mar 13 Mar 14 Mar 15 Mar 16 Mar 17
39.67 43.1 41.96 40.61 43.61 0 47.67
0 0 0 0 0 0 0
0 0 0 0 0 44.03 0
0.12 0.12 0.12 0.12 0.12 0.12 0.12
15,865.92 21,116.74 24,178.58 21,248.68 34,709.30 30,206.83 35,650.00
10,210.38 14,048.11 17,423.51 18,432.60 20,379.63 19,291.41 15,722.88
217 746.43 967.6 971.18 1,217.32 1,048.07 551.21
11,585.25 16,590.60 18,255.47 20,564.31 17,299.22 15,858.89 9,966.72
7,157.55 6,647.44 10,133.98 9,005.28 9,882.30 9,409.39 6,199.17
0 0 0 0 0 0 189.22
3 4 5 6 7 8 9
2018 2017 2016 2015 2014 2013 2012
- - - - - - -
- - - - - - -
137153.9616 135074.072 160028.8171 184307.2304 174384.6285 149948.85 137784.8881
- - - - - - -
- - - - - - -
10 9 8 7 6 5 4
47.07 47.67 0 43.61 40.61 41.96 43.1
0 0 0 0 0 0 0
0 0 44.03 0 0 0 0
14151.64 15722.88 19291.41 20379.63 18432.6 17423.51 14048.11
284.32 551.21 1048.07 1217.32 971.18 967.6 746.43
8933.13 9966.72 15858.89 17299.22 20564.31 18255.47 16590.6
6384.49 6199.17 9409.39 9882.3 9005.28 10133.98 6647.44
22.52 189.22 0 0 0 0 0
29823.17 32676.87 45651.79 48822.08 49013.98 46822.52 38075.68
3B.1.
3A.2.
3A.1. (i) (ii) 3A.3. (i) (ii) Deposits of
3. Savings
Demand From From Term From From branches
Deposits_x00 bank
deposits_x00 banks_x000D others_x000D deposits_x banks_x00 others_x00 in
0D_ deposits_
0D_ _ _ 000D_ 0D_ 0D_ India_x000
x000D_
D_
10 11 12 13
2011 2010 2009 2008
- - 28.5 28.5
0.212 - - -
3750 - - -
- - - -
- - - -
- - - -
3 2 1 0
39.67 78.22
0 0
0 0
10210.38 8445.3
217 247.03
11585.25 8047.65
7157.55 6890.78
0 0
29209.85 23708.98 0 0
0.12 0.12 8 8
0.12 0.12 8 8
132597.63 1990.84 91852.46 38754.34 104745.67 1329.10 26522.86 127293.50 61236.56 8030.56
132488.81 2697.83 54801.73 74989.25 107009.57 2598.25 22881.00 121022.29 59885.05 7879.90
140458.62 4255.05 81028.33 55175.25 113964.64 3681.90 22812.09 128005.92 57437.49 7450.57
160860.67 3914.36 72065.25 84881.06 129252.03 10240.87 21367.77 145426.32 59622.77 12106.32
171756.02 3755.94 80034.42 87965.66 148806.53 3116.21 19833.28 156651.54 59997.18 20868.08
175881.59 5308.92 79456.64 91116.03 149913.83 3291.59 22676.18 157431.67 56359.33 20424.30
160364.12 6075.05 74593.97 79695.10 136832.28 6700.16 16831.68 141302.05 49817.42 17086.15
140724.44 5251.40 62522.06 72950.99 116201.23 4550.01 19973.21 125064.27 42265.31 19086.51
111832.98 6682.52 49033.53 56116.92 84344.80 4966.12 22522.06 101269.95 32648.15 12894.52
78999.16 4792.87 34290.21 39916.08 63258.47 4210.37 11530.32 71322.46 27237.22 5778.46
74885.27 4490.95 30862.67 39531.66 63200.23 3889.69 7795.35 67615.50 24294.08 5905.79
60401.82 3634.51 24821.95 31945.36 51959.72 1798.04 6644.06 56661.43 20303.16 4504.37
47060.29 2940.82 18809.10 25310.36 41745.71 2090.19 3224.39 44279.21 17985.93 2502.95
34756.20 2142.11 15889.28 16724.81 29693.75 1906.92 3155.54 32734.13 13717.70 3923.90
25205.19 1525.13 12088.30 11591.76 22092.14 1695.69 1417.37 23485.03 9870.35 2110.20
5.4.
5.2. 5.5. 5.6.
5.3.
Inter- Deferred Others
Interest Subordina
office Tax (including Total
accrued_ te
adjustmen Liabilities provisions Liabilities
x000D_ debt_x000
ts_x000D_ _x000D_ )_x000D_
D_
Banks 1. Capital
Industry
Break up of Contingent Liability
Year Mar 10
Claims not acknowledged as debt 5.22
Bills Discounted 0
Disputed Claims 0
Uncalled liability on investments 0
On account of outstanding forward exch.contracts 3,384.66
Guarantees given in India 1,299.31
Guarantees given outside India 0
Acceptance, Endorsements & Other Obligations 973.06
Others 200
Estimated Capital Contracts Remaining 0
2
Illiquid Assets 2019
(v) Subsidiaries and/or
joint ventures I
-
(ii) Subsidiaries and/or
joint ventures_x000D_
-
(i) Priority sectors _x000D_
19192.2245
(iv) others A
28815.0777
7C.2. Advances outside India -
9. Other Assets 1597.6837
8. Fixed Assets 582.9858
Total 50187.9717
Semiliquid Assets
3. Balances with banks in
India_x000D_
22.584
4. Money at call and short
notice_x000D_
580
5. Balances with banks outside India
159.7796
(ii) Public sectors_x000D_
573.5118
(iii) Banks_x000D_
-
Total 1335.8754
Liquid Assets
1. Cash in hand_x000D_
541.4615
2. Balances with RBI
2393.2204
(i) Government
securities
I 12670.9866
(ii) Other approved
securities I
-
(iii) Shares I
53.7752
(iv) Debentures and
Bonds I
1398.0544
(vi) Others I
758.3539
(iii) Others_x000D_
0.4153
(i) Government
securities_x000D_
-
Total 17816.2673
Liquid Liabilities
3A.1. Demand deposits_x000D_
5813.5928
3A.2. Savings bank
deposits_x000D_
12101.3938
5.1. Bills Payable_x000D_
275.7462
Total 18190.7328
Semiliquid Liabilities
3A.3. Term deposits_x000D_
41952.9653
(i) From Reserve Bank of
India_x000D_
75
(ii) From other banks_x000D_
-
Total 42027.9653
Illiquid Liailities
1. Capital 159.8622
2. Reserves and Surplus 6262.9426
(iii) From other institutions and
agencies_x000D_
1452.2251
4.2. Borrowings outside
India_x000D_
38.1145
5.2. Inter-office
adjustments_x000D_
-
5.3. Interest accrued_x000D_
186.0044
5.4. Subordinate debt_x000D_
-
5.5. Deferred Tax
Liabilities_x000D_
42.4924
5.6. Others (including
provisions)_x000D_
979.7751
Total 9121.4163
Illiquid Activities 11
Claims not acknowledged as debt 12.48
Bills Discounted 0
Disputed Claims 0
Guarantees given in India 3425.37
Guarantees given outside India 0
Acceptance, Endorsements & Other Obligations 1526.76
Others 2242.54
Estimated Capital Contracts Remaining 0
Total 7207.15
Liquid Liabilities
Uncalled liability on investments 0
Total 0
2.4 2.5
2.1 2.2 2.3 2.6
Investments Revenue and
Statutory Capital Share Balance of
2. Reserves Fluctuations other
Reserves_x00 Reserves_x00 Premium_x000 Profit_x000D
and Surplus Reserves_x00 Reserves_x00
0D_ 0D_ D_ _
0D_ 0D_
Indian Bank
Industry : Banks - Public Sector
Mar 11 Mar 12 Mar 13 Mar 14 Mar 15 Mar 16 Mar 17
6.65 6.36 0 0 5.12 0 1.56
0 0 0 0 0 0 0
0 0 6.61 4.77 0 3.97 0
0 0 0 0 0 0 0
3,170.38 4,617.90 6,311.88 7,287.78 7,967.44 4,861.50 5,788.64
1,745.96 1,863.20 2,002.91 2,359.21 2,772.20 3,081.62 3,309.69
0 0 0 0 0 0 0
1,236.65 1,463.08 1,463.31 1,654.66 1,837.24 2,346.50 2,797.45
0 0 0 0 0 64.74 739.21
0 0 0 0 0 0 0
3 4 5 6 7 8 9
2018 2017 2016 2015 2014 2013 2012
- - - - - - -
- - - - - - -
- - - - - - -
- - - - - - -
- - - - - - -
- - - - - - -
- - - - - - -
10 9 8 7 6 5 4
2.3 1.56 0 5.12 0 0 6.36
0 0 0 0 0 0 0
0 0 3.97 0 4.77 6.61 0
3765.21 3309.69 3081.62 2772.2 2359.21 2002.91 1863.2
0 0 0 0 0 0 0
2742.02 2797.45 2346.5 1837.24 1654.66 1463.31 1463.08
2401.59 739.21 64.74 0 0 0 0
0 0 0 0 0 0 0
8911.12 6847.91 5496.83 4614.56 4018.64 3472.83 3332.64
0 0 0 0 0 0 0
0 0 0 0 0 0 0
3B.1.
3A.2.
3A.1. (i) (ii) 3A.3. (i) (ii) Deposits of
3. Savings
Demand From From Term From From branches
Deposits_x00 bank
deposits_x00 banks_x000D others_x000D deposits_x banks_x00 others_x00 in
0D_ deposits_
0D_ _ _ 000D_ 0D_ 0D_ India_x000
x000D_
D_
10 11 12 13
2011 2010 2009 2008
- - - -
- - - -
- - - -
- - - 0.2508
- - - -
- - - -
- - - 75
- - - -
3 2 1 0
6.65 5.22
0 0
0 0
1745.96 1299.31
0 0
1236.65 973.06
0 200
0 0
2989.26 2477.59 0 0
0 0 8 8
0 0 8 8
48580.81 1339.73 35043.16 12197.93 47890.18 536.55 154.08 48580.81 19192.22 573.51
44800.15 1316.89 34662.91 8820.34 44343.14 387.77 69.24 44800.15 18276.75 609.76
40907.72 1589.37 30799.78 8518.58 39941.25 643.89 322.59 40907.72 18362.58 1156.92
39084.38 1349.36 29447.39 8287.64 37338.59 1273.81 471.99 39084.38 16988.73 1938.16
36108.94 1980.81 28150.33 5977.80 34400.77 1123.91 584.26 36108.94 14269.56 2103.56
33992.13 2111.45 27653.44 4227.24 32141.42 972.53 878.18 33992.13 12584.98 175.99
29480.13 1557.66 22989.76 4932.71 27747.24 615.50 1117.38 29480.13 10149.91 699.51
23949.19 1291.01 17260.57 5397.60 22081.26 537.67 1330.26 23949.19 7489.47 355.23
17814.46 949.55 11593.13 5271.79 16483.33 379.73 951.41 17814.46 5625.59 2173.36
13447.00 951.25 8184.49 4311.26 12159.35 283.59 1004.05 13447.00 4450.87 2297.48
10409.88 808.51 6060.41 3540.95 9303.27 362.30 744.31 10409.88 3781.09 1207.74
9421.53 708.20 4849.23 3864.10 7845.42 290.58 1285.52 9421.53 3176.13 1725.58
7040.48 332.83 3820.19 2887.46 6085.23 318.53 636.71 7040.48 2671.49 503.38
5555.44 322.55 2819.02 2413.87 4519.34 356.89 679.22 5555.44 2377.12 321.39
4619.80 269.44 1755.57 2594.80 3505.68 350.09 764.04 4619.80 1803.17 531.90
5.4.
5.2. 5.5. 5.6.
5.3.
Inter- Deferred Others
Interest Subordina
office Tax (including Total
accrued_ te
adjustmen Liabilities provisions Liabilities
x000D_ debt_x000
ts_x000D_ _x000D_ )_x000D_
D_
Banks 1. Capital
Industry
Break up of Contingent Liability
Year Mar 10
Claims not acknowledged as debt 5.22
Bills Discounted 0
Disputed Claims 0
Uncalled liability on investments 0
On account of outstanding forward exch.contracts 3,384.66
Guarantees given in India 1,299.31
Guarantees given outside India 0
Acceptance, Endorsements & Other Obligations 973.06
Others 200
Estimated Capital Contracts Remaining 0
2
Illiquid Assets 2019
(v) Subsidiaries and/or
joint ventures I
688.4782
(ii) Subsidiaries and/or
joint ventures_x000D_
-
(i) Priority sectors _x000D_
66877.918
(iv) others A
71707.1184
7C.2. Advances outside India 6804.1214
9. Other Assets 50956.7401
8. Fixed Assets 8230.9861
Total 205265.3622
Semiliquid Assets
3. Balances with banks in
India_x000D_
696.2207
4. Money at call and short
notice_x000D_
7693.8593
5. Balances with banks outside India
113.1511
(ii) Public sectors_x000D_
925.9432
(iii) Banks_x000D_
475.3369
Total 9904.5112
Liquid Assets
1. Cash in hand_x000D_
2057.3818
2. Balances with RBI
10673.0866
(i) Government
securities
I 82554.9994
(ii) Other approved
securities I
-
(iii) Shares I
1402.1861
(iv) Debentures and
Bonds I
2954.4467
(vi) Others I
5146.0825
(iii) Others_x000D_
-
(i) Government
securities_x000D_
326.4375
Total 105114.6206
Liquid Liabilities
3A.1. Demand deposits_x000D_
35316.9078
3A.2. Savings bank
deposits_x000D_
61413.5061
5.1. Bills Payable_x000D_
1676.5265
Total 98406.9404
Semiliquid Liabilities
3A.3. Term deposits_x000D_
130641.3108
(i) From Reserve Bank of
India_x000D_
8996
(ii) From other banks_x000D_
4771.4472
Total 144408.758
Illiquid Liailities
1. Capital 7736.2949
2. Reserves and Surplus 29875.4029
(iii) From other institutions and
agencies_x000D_
19880.0281
4.2. Borrowings outside
India_x000D_
11640.2486
5.2. Inter-office
adjustments_x000D_
0.7711
5.3. Interest accrued_x000D_
947.9678
5.4. Subordinate debt_x000D_
-
5.5. Deferred Tax
Liabilities_x000D_
-
5.6. Others (including
provisions)_x000D_
7388.0822
Total 77468.7956
Illiquid Activities 11
Claims not acknowledged as debt 169
Bills Discounted 0
Disputed Claims 0
Guarantees given in India 41744
Guarantees given outside India 728
Acceptance, Endorsements & Other Obligations 13324
Others 156
Estimated Capital Contracts Remaining 0
Total 56121
Liquid Liabilities
Uncalled liability on investments 0
Total 0
2.4 2.5
2.1 2.2 2.3 2.6
Investments Revenue and
Statutory Capital Share Balance of
2. Reserves Fluctuations other
Reserves_x00 Reserves_x00 Premium_x000 Profit_x000D
and Surplus Reserves_x00 Reserves_x00
0D_ 0D_ D_ _
0D_ 0D_
Indian Bank
Industry : Banks - Public Sector
Mar 11 Mar 12 Mar 13 Mar 14 Mar 15 Mar 16 Mar 17
6.65 6.36 0 0 5.12 0 1.56
0 0 0 0 0 0 0
0 0 6.61 4.77 0 3.97 0
0 0 0 0 0 0 0
3,170.38 4,617.90 6,311.88 7,287.78 7,967.44 4,861.50 5,788.64
1,745.96 1,863.20 2,002.91 2,359.21 2,772.20 3,081.62 3,309.69
0 0 0 0 0 0 0
1,236.65 1,463.08 1,463.31 1,654.66 1,837.24 2,346.50 2,797.45
0 0 0 0 0 64.74 739.21
0 0 0 0 0 0 0
3 4 5 6 7 8 9
2018 2017 2016 2015 2014 2013 2012
- - - - - - -
- - - - - - -
- - - - - - 0.0453
776.7713 - - - - - -
11561 - 1017.7028 - - - -
- - - - - - -
- - - - - - -
10 9 8 7 6 5 4
156 131 143 127 114 103.13 107.41
0 0 0 0 0 0 0
0 0 0 0 0 0 0
50384 59827 52628 52772 51270 58917 53836
899 2603 5593 4941 5132 4746 3845
18551 22875 26458 28818 27313 26027 25954
115 47.53 27 16.69 5.22 4.69 0.31
0 0 0 0 0 0 0
70105 85483.53 84849 86674.69 83834.22 89797.82 83742.72
0 0 0 0 0 0 0
0 0 0 0 0 0 0
3B.1.
3A.2.
3A.1. (i) (ii) 3A.3. (i) (ii) Deposits of
3. Savings
Demand From From Term From From branches
Deposits_x00 bank
deposits_x00 banks_x000D others_x000D deposits_x banks_x00 others_x00 in
0D_ deposits_
0D_ _ _ 000D_ 0D_ 0D_ India_x000
x000D_
D_
10 11 12 13
2011 2010 2009 2008
- - - -
- - - -
- - - -
- - - -
- - - -
3 2 1 0
375.62 688.26 648.07 657.47
0 0
0 0
46120.76 35940.64 26459.31 11594.34
2535.89 2001.48 35.85 203.74
25963.12 2001.48 17289.85 11394.97
37.83 36.4 11.4 11.4
0 0
75033.22 40668.26 44444.48 23861.92
146790.44 1510.98 40344.30 104935.16 140017.73 186.45 6586.26 139986.32 66877.92 925.94
171739.95 3617.36 49450.36 118672.23 162201.09 2544.28 6994.57 158789.08 62995.61 12907.66
190825.93 5617.69 53223.92 131984.31 177115.61 7056.59 6653.73 168315.47 60560.30 8572.20
215893.45 5425.57 59886.59 150581.29 202531.62 4696.07 8665.77 192064.47 55174.52 13823.42
208376.87 6701.33 54303.77 147371.77 198719.16 4046.36 5611.35 185532.53 51060.00 9665.01
197686.00 4883.78 52098.53 140703.69 186371.98 2023.25 9290.77 179881.87 41191.45 5507.56
196306.45 4618.85 50884.65 140802.95 181535.66 524.49 14246.30 184619.98 34412.52 10473.47
180572.30 3222.41 45979.32 131370.57 166150.19 1032.76 13389.34 175169.35 48425.88 20424.01
157098.07 2659.16 33098.50 121340.40 145612.29 369.13 11116.64 155257.65 42205.71 15949.42
138201.85 3074.45 20267.60 114859.81 118730.59 917.27 18553.99 137918.08 31004.94 7315.47
103444.48 2453.12 12809.33 88182.03 88494.96 856.43 14093.09 103444.48 22738.26 2247.55
82212.69 2643.05 8232.09 71337.55 71485.29 1016.65 9710.75 82212.69 15233.00 7802.45
62470.82 2294.18 5477.64 54699.00 54338.09 1025.98 7106.76 62470.82 9290.41 6682.81
52739.07 2203.20 2556.28 47979.58 43031.52 1506.20 8201.35 52739.07 6872.28 4640.83
45413.57 2356.28 1283.69 41773.60 40282.32 1421.25 3710.00 45413.57 4319.22 3496.04
54.83 45287.72 33647.48 8996.00 4771.45 19880.03 11640.25 13989.35 10013.35 1676.53
893.99 63185.53 44936.06 11561.00 - 33375.06 18249.47 21107.83 17758.85 1557.79
1168.90 56363.98 34107.62 - 3673.45 30434.17 22256.35 1052.60 14408.75 1429.95
1864.47 70591.64 46605.84 1017.70 230.30 45357.84 23985.80 17527.46 11356.57 989.62
1936.59 61832.46 38625.25 - 1222.70 37402.55 23207.21 7293.19 10158.46 1445.68
786.22 60146.29 36418.61 - 976.70 35441.91 23727.68 10475.32 9429.13 1627.53
1309.67 65808.87 43391.37 - 814.10 42577.27 22417.50 14210.82 8607.14 910.51
1077.57 53477.64 43113.55 - 69.55 43044.00 10364.09 13662.00 6918.22 949.85
403.05 51569.65 42936.28 - 671.30 42264.98 8633.37 9998.59 6753.77 1002.07
18.95 47709.48 43951.14 - 2860.50 41090.64 3758.34 7693.33 8031.35 1901.28
- 44417.04 40239.89 - 447.00 39792.89 4177.15 5958.53 6160.40 781.44
- 43822.96 38681.70 - 975.46 37706.24 5141.27 3189.44 5051.48 713.59
- 42404.38 36620.75 - 711.32 35909.43 5783.63 2022.82 9781.04 498.96
- 47530.21 41519.79 - 1630.02 39889.76 6010.42 1434.21 8661.60 659.27
- 50005.54 44117.81 - 2357.48 41760.33 5887.73 1275.98 10323.67 450.29
9.1.
8.2. 8.3. Inter-
(iii) 7C.2. 9.2.
Fixed Other office
(iv) Interest
8. Fixed 8.1. assets Fixed 9. Other adjustmen
Banks_x0 others A Advances accrued
Assets Premises under assets_x0 Assets ts
00D_ outside _x000D_
constructio 00D_ (net)_x000
India
n D_
5.4.
5.2. 5.5. 5.6.
5.3.
Inter- Deferred Others
Interest Subordina
office Tax (including Total
accrued_ te
adjustmen Liabilities provisions Liabilities
x000D_ debt_x000
ts_x000D_ _x000D_ )_x000D_
D_