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Print Print 2011-04-20

Weekly statement of position of all scheduled banks

Weekly statement of position of all scheduled banks as at the close of business on April 08, 2011.

Published April 20, 2011

Weekly statement of position of all scheduled banks as at the close of business on April 08, 2011.



================================================================================
(RUPEES IN MILLION)
================================================================================
All All
SCHEDULED COMMERCIAL *SPECIALISED
BANKS BANKS BANKS
================================================================================
ASSETS
--------------------------------------------------------------------------------
Cash and balances with treasury banks 422,574 419,887 2,687
Balances with other banks 128,690 119,947 8,744
Lending to financial institutions 129,552 129,352 200
Investments 2,158,695 2,142,595 16,100
Gross Advances 3,461,293 3,347,447 113,846
Provisions (357,452) (336,282) (21,170)
Advances- net of provision 3,103,840 3,011,164 92,676
Operating fixed assets 222,650 217,590 5,059
Deferred tax assets 68,154 67,864 291
Other assets 401,081 387,465 13,617
Total Assets 6,635,236 6,495,863 139,373
--------------------------------------------------------------------------------
LIABILITIES
--------------------------------------------------------------------------------
Bills payable 72,100 71,875 225
Borrowings 477,320 401,746 75,574
Deposits and other accounts 5,038,760 5,024,630 14,130
Sub-ordinated loans 46,445 43,040 3,405
Liabilities against assets
subject to finance lease 159 141 19
Deferred tax liabilities 5,870 5,870 -
Other liabilities 291,186 251,794 39,392
Total Liabilities 5,931,840 5,799,094 132,745
NET ASSETS 703,397 696,769 6,628
--------------------------------------------------------------------------------
REPRESENTED BY
--------------------------------------------------------------------------------
Paid-up capital/ Head office capital account 356,860 341,352 15,507
Reserves 179,847 172,301 7,546
Unappropriated/ Unremitted profit 102,463 123,403 (20,940)
Total 639,170 637,057 2,113
Surplus/ (Deficit) on revaluation of assets 64,227 59,712 4,515
703,397 696,769 6,628
================================================================================

*Specialized Banks include ZTBL, PPCB, IDBP & SME Bank.
Copyright Business Recorder, 2011

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