Weekly statement of position of all scheduled banks

30 Oct, 2018

Weekly statement of position of all scheduled banks as at the close of business on October 19, 2018.



==============================================================================================
DOMESTIC OPERATIONS ONLY (Rs in million)
==============================================================================================
All Scheduled All Commercial *Specialized
Banks Banks Banks
==============================================================================================
ASSETS
----------------------------------------------------------------------------------------------
Cash and balances with treasury banks 1,138,751 1,135,190 3,561
Balances with other banks 121,866 114,693 7,173
Lending to financial institutions 1,102,157 1,096,071 6,087
Investments 5,960,647 5,919,416 41,231
Gross Advances 7,508,842 7,336,479 172,363
Provisions (462,534) (440,100) (22,433)
Advances-net of provision 7,046,308 6,896,379 149,930
Operating fixed assets 421,246 411,605 9,641
Deferred tax assets 53,230 51,823 1,406
Other assets 759,011 740,336 18,675
Total Assets 16,603,217 16,365,514 237,704
----------------------------------------------------------------------------------------------
LIABILITIES
----------------------------------------------------------------------------------------------
Bills payable 192,102 191,735 367
Borrowings 1,672,267 1,579,927 92,340
Deposits and other accounts 12,612,464 12,550,761 61,703
Sub-ordinated loans 93,823 93,622 201
Liabilities against assets subject to finance lease 12 12 -
Deferred tax liabilities 30,117 30,117 -
Other liabilities 563,138 536,824 26,314
Total Liabilities 15,163,924 14,982,998 180,925
NET ASSETS 1,439,294 1,382,515 56,778
----------------------------------------------------------------------------------------------
REPRESENTED BY
----------------------------------------------------------------------------------------------
Paid-up capital/Head office capital account 530,658 467,701 62,958
Reserves 293,332 286,114 7,218
Unappropriated/Unremitted profit 484,778 507,038 (22,260)
Total 1,308,769 1,260,853 47,916
Surplus/(Deficit) on revaluation of assets 130,525 121,663 8,862
1,439,294 1,382,515 56,778
==============================================================================================

*Specialized Banks include ZTBL, PPCB, IDBP & SME Bank.

Read Comments