International Liabilities of Banks in India (As on 31st March, 2018 to 2023) | ||||||||||||
(Amount : Rs. in Crore) | ||||||||||||
Liability Type | As on 31st March | |||||||||||
Amount Outstanding | Percentage Variation | |||||||||||
2018 (Partially Revised) | 2019 (Partially Revised) | 2020 (Partially Revised) | 2021 (Partially Revised) | 2022 (Partially Revised) | 2023 (Provisional) | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | |
1. Loans and Deposits | ||||||||||||
a. Foreign Currency Non-resident (Bank) [Foreign Currency Non-Resident (FCNR) (Bank)] Scheme | ||||||||||||
b. Foreign Currency Borrowings1 | ||||||||||||
c. Non-resident External Rupee (NRE) Accounts | ||||||||||||
d. Non-resident Ordinary (NRO) Rupee Accounts | ||||||||||||
2. Own Issues of Securities/Bonds | ||||||||||||
3. Other Liabilities | ||||||||||||
Of which: | ||||||||||||
a. American Depositary Receipts (ADRs)/ Global Depositary Receipts (GDRs) | ||||||||||||
b. Equities of Banks held by Non-residents | ||||||||||||
c. Capital/Remittable Profits of Foreign Banks in India and Other Unclassified International Liabilities | ||||||||||||
4. Negative Mark-to-Market (MTM) Derivatives | ||||||||||||
Total International Liabilities | ||||||||||||