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6.1 SCHEDULED BANKS'
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End June |
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ITEM |
1993 |
1994 |
1995 |
1996 |
1997 |
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LIABILITIES |
|
|
|
|
|
|
Capital |
20,601.4 |
23,170.7 |
29,115.5 |
32,131.0 |
35,741.7 |
|
Reserves |
15,724.7 |
18,965.3 |
21,509.1 |
24,312.5 |
28,047.0 |
|
Demand Deposits: |
233,809.4 |
272,512.3 |
321,172.3 |
363,301.7 |
373,820.3 |
|
(a) Scheduled Banks |
9,664.6 |
10,032.9 |
6,677.2 |
5,676.8 |
4,915.7 |
|
(b) Others |
224,144.8 |
262,479.4 |
314,495.1 |
357,624.9 |
368,904.6 |
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Time Deposits: |
267,842.9 |
336,260.8 |
401,210.8 |
471,527.3 |
573,397.4 |
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(a) Scheduled Banks |
1,189.8 |
5,618.3 |
3,052.0 |
2,299.0 |
2,793.5 |
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(b) Others |
266,653.1 |
330,642.5 |
398,158.9 |
469,228.3 |
570,603.9 |
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Borrowings from: |
77,705.6 |
101,415.7 |
109,492.7 |
93,267.6 |
96,242.8 |
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(a) State Bank of Pakistan |
65,200.6 |
70,544.5 |
82,697.6 |
70,354.7 |
80,956.9 |
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(b) Banks Abroad |
3,274.1 |
14,217.3 |
3,502.4 |
2,300.8 |
3,711.6 |
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(c) Other Scheduled Banks |
9,230.9 |
16,653.9 |
23 292 7 |
20,612.1 |
11,574.3 |
|
Head Office and Inter- Bank Adjustment |
35,020.3 |
43,263.4 |
38,498.8 |
47,772.8 |
14,326.0 |
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Contingent Liabilities as per contra |
426,888.2 |
526,192.6 |
586,676.0 |
725,212.1 |
774,080.8 |
|
Other Liabilities |
235,580.2 |
282,661.7 |
342,897.0 |
344,837.8 |
407,193.0 |
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TOTAL LIABILITIES / ASSETS |
1,313,172.7 |
1,604,442.5 |
1,850,572.4 |
2,102,362.8 |
2,302,848.9 |
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ASSETS |
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Cash: |
80,599.6 |
95,699.7 |
103,270.9 |
111,722.9 |
134,462.9 |
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(a) Notes, Coins and Silver |
14,621.7 |
15,014.0 |
25,936.2 |
22,850.2 |
21,404.1 |
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(b) Balances with State Bank of Pakistan |
50,654.6 |
63,766.1 |
61,861.5 |
67,578.5 |
94,947.6 |
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(c) Balances with Other Scheduled Banks |
15,323.2 |
16,919.6 |
15,473.2 |
21 294 2 |
18,111.2 |
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Balances held Abroad |
7,701.8 |
7,900.4 |
8,785.4 |
19,233.7 |
11,196.9 |
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Bills Purchased and Discounted |
36,336.7 |
41,622.5 |
46,067.3 |
47,154.2 |
55,950.9 |
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Advances to: |
348,566.4 |
399,433.0 |
462,970.8 |
508,097.8 |
581,926.5 |
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(a) Scheduled Banks |
4,524.7 |
3,874.9 |
9,057.8 |
5,452.7 |
4,008.9 |
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(b) Others |
344,041.6 |
395,558.1 |
453,913.0 |
502,645.1 |
577,917.6 |
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Investment in Securities and Shares: |
184,641.1 |
231,087.2 |
246,122.5 |
297,936.1 |
331,222.1 |
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(a) Federal Government Securities |
119,565.6 |
117,628.3 |
122,376.0 |
126,625.2 |
118,777.0 |
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(b) Treasury Bills |
36,145.1 |
83,028.2 |
86,729.8 |
126,177.1 |
167,087.7 |
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(c) Provincial Governments Securities |
3,678.9 |
3,233.7 |
3,257.2 |
3,420.7 |
2,506.2 |
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(d) Foreign Securities |
2.6 |
2.6 |
2.6 |
2.6 |
2.6 |
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(e) Others |
25,248.9 |
27,194.4 |
33,756.9 |
41,710.5 |
42,848.6 |
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Bank Premises |
3,908.2 |
2,633.8 |
4,661.7 |
5,224.6 |
5,919.2 |
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Head Office and Inter-Bank Adjustment |
54,659.5 |
75,104.7 |
83,686.2 |
104,030.9 |
56,856.0 |
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Contingent Assets as per contra |
426,888.2 |
526,192.6 |
586,676.0 |
725,212.1 |
774,080.8 |
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Other Assets |
169,871.4 |
224,768.7 |
308,331.6 |
283,750.5 |
351,233.6 |
LIABILITIES AND ASSETS
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End June |
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1998 |
1999 |
2000 |
2001 |
2002 |
ITEM |
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LIABILITIES |
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68,115.8 |
72,118.3 |
81,909.5 |
83,949.5 |
97,644.4 |
Capital |
|
31,152.7 |
32,949.1 |
42,494.1 |
45,281.8 |
43,584.1 |
Reserves |
|
399,980.1 |
439,530.1 |
436,591.7 |
501,378.2 |
583,390.8 |
Demand Deposits: |
|
9,143.4 |
6,255.4 |
8,590.5 |
6,260.2 |
4,210.4 |
(a) Scheduled Banks |
|
390,836.7 |
433,274.7 |
428,001.2 |
495,118.0 |
579,180.4 |
(b) Others |
|
665,990.1 |
682,191.6 |
715,416.6 |
781,649.7 |
842,094.7 |
Time Deposits: |
|
5,907.0 |
2,336.9 |
3,113.6 |
671.3 |
54.8 |
(a) Scheduled Banks |
|
660,083.1 |
679,854.8 |
712,303.0 |
780,978.4 |
842,039.9 |
(b) Others |
|
111,526.3 |
140,666.2 |
160,586.1 |
193,870.7 |
190,343.5 |
Borrowings from: |
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93,344.5 |
120,790.7 |
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