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Print Print 2010-08-31

Weekly statement of position of all scheduled banks

Weekly statement of position of all scheduled banks as at the close of business on August 20, 2010.

Published August 31, 2010

Weekly statement of position of all scheduled banks as at the close of business on August 20, 2010.



=================================================================================
(RUPEES IN MILLION)
=================================================================================
All All
SCHEDULED COMMERCIAL *SPECIALISED
BANKS BANKS BANKS
=================================================================================
ASSETS
---------------------------------------------------------------------------------
Cash and balances with treasury banks 395,517 391,715 3,801
Balances with other banks 135,399 127,848 7,550
Lending to financial institutions 222,300 222,300 -
Investments 1,788,671 1,775,569 13,102
Gross Advances 3,304,533 3,189,304 115,229
Provisions (313,076) (294,214) (18,861)
Advances- net of provision 2,991,457 2,895,090 96,367
Operating fixed assets 240,724 235,513 5,211
Deferred tax assets 59,627 59,627 -
Other assets 360,934 350,039 10,895
Total Assets 6,194,628 6,057,702 136,926
---------------------------------------------------------------------------------
LIABILITIES
---------------------------------------------------------------------------------
Bills payable 75,013 74,531 482
Borrowings 520,410 442,925 77,485
Deposits and other accounts 4,595,176 4,580,974 14,202
Sub-ordinated loans 51,504 48,098 3,405
Liabilities against assets
subject to finance lease 97 86 11
Deferred tax liabilities 4,652 4,514 138
Other liabilities 266,937 226,625 40,311
Total Liabilities 5,513,787 5,377,754 136,033
NET ASSETS 680,841 679,948 893
---------------------------------------------------------------------------------
REPRESENTED BY
---------------------------------------------------------------------------------
Paid-up capital/ Head
office capital account 357,579 342,072 15,507
Reserves 151,268 145,491 5,777
Unappropriated/ Unremitted profit 114,405 138,729 (24,325)
Total 623,252 626,293 (3,041)
Surplus/ (Deficit) on revaluation of assets 57,589 53,655 3,934
680,841 679,948 893
=================================================================================

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

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