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Print 2006-05-04
Weekly statement of position of all scheduled banks
Weekly statement of position of all scheduled banks as at the close of business on April 15, 2006.
Weekly statement of position of all scheduled banks as at the close of business on April 15, 2006.
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(RUPEES IN MILLION)
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All All
SCHEDULE COMMERCIAL *SPECIALISED
BANKS BANKS BANKS
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ASSETS
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Cash and balances with treasury banks 245,451 243,753 1,698
Balance with other banks 106,055 93,092 12,963
Lending to financial institutions 165,256 165,256 -
Investments 830,225 811,545 18,680
Gross Advance 2,064,667 1,972,275 92,392
Provisions 120,407 93,762 26,645
Advance-net of provision 1,944,260 1,878,513 65,747
Operating fixed assets 69,875 67,557 2,318
Deferred tax assets 7,104 6,701 403
Other assets 180,881 157,828 23,054
Total Assets 3,549,108 3,424,246 124,862
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LIABILITIES
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Bills payable 50,581 50,252 329
Borrowings 351,684 268,160 83,524
Deposits and other accounts 2,654,416 2,642,772 11,644
Sub-ordinated loans 21,722 18,316 3,405
Liabilities against assets subject to finance 600 580 20
Deferred tax liabilities 7,483 7,483 -
Other Liabilities 134,525 106,895 27,629
Total Liabilities 3,221,010 3,094,459 126,551
NET ASSETS 328,098 329,787 (1,689)
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REPRESENTED BY
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Paid-up capital/Head office capital account 116,056 102,105 13,951
Reserves 89,980 88,534 1,446
Unappropriated/ Unlimited profit 44,007 62,055 (18,048)
Total 250,042 252,693 (2,651)
Surplus/ (Deficit) on revaluation of assets 78,056 77,094 962
328,098 329,787 (1,689)
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* Specialized Banks include ZTBL, PPCB, IDBP & SME Bank.
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