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Print Print 2010-07-13

Weekly statement of position of all scheduled banks

Weekly statement of position of all scheduled banks as at the close of business on July 02, 2010.

Published July 13, 2010

Weekly statement of position of all scheduled banks as at the close of business on July 02, 2010.



======================================================================================
(RUPEES IN MILLION)
======================================================================================
All All
SCHEDULED COMMERCIAL *SPECIALISED
BANKS BANKS BANKS
======================================================================================
ASSETS
--------------------------------------------------------------------------------------
Cash and balances with treasury banks 416,133 412,054 4,079
Balances with other banks 156,363 149,039 7,324
Lending to financial institutions 285,116 285,096 20
Investments 1,822,777 1,809,438 13,339
Gross Advances 3,324,218 3,209,582 114,636
Provisions (315,418) (296,486) (18,932)
Advances- net of provision 3,008,800 2,913,097 95,704
Operating fixed assets 238,597 233,370 5,227
Deferred tax assets 58,453 58,453 -
Other assets 407,883 395,354 12,529
Total Assets 6,394,121 6,255,900 138,221
--------------------------------------------------------------------------------------
LIABILITIES
--------------------------------------------------------------------------------------
Bills payable 74,499 73,804 695
Borrowings 539,887 461,939 77,948
Deposits and other accounts 4,775,118 4,757,935 17,183
Sub-ordinated loans 51,731 48,326 3,405
Liabilities against assets subject to finance lease 98 87 11
Deferred tax liabilities 4,382 4,244 138
Other liabilities 279,332 238,226 41,106
Total Liabilities 5,725,047 5,584,561 140,486
NET ASSETS 669,074 671,339 (2,265)
--------------------------------------------------------------------------------------
REPRESENTED BY
--------------------------------------------------------------------------------------
Paid-up capital/ Head office capital account 357,825 342,318 15,507
Reserves 146,926 143,639 3,287
Unappropriated/ Unremitted profit 104,502 129,448 (24,946)
Total 609,253 615,405 (6,152)
Surplus/ (Deficit) on revaluation of assets 59,822 55,934 3,887
669,074 671,339 (2,265)
======================================================================================

*Specialized Banks include ZTBL, PPCB, IDBP & SME Bank.
Copyright Business Recorder, 2010

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