Table 106 : Outstanding Liabilities of Central Government
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(Rupees crore) |
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Year |
Internal |
of which |
Small |
Other |
Reserve |
Total |
External |
Total |
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(End March) |
Debt |
Savings, |
Accounts |
Fund and |
Internal |
Liabi- |
Liabilities |
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Market |
91 day |
182/364 day |
Deposits & |
Deposits |
Liabilities |
lities * |
(9+10) |
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Loans |
Treasury |
Treasury |
Provident |
(2+6+7+8) |
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Bills |
Bills |
Funds |
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|
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 |
11 |
1980-81 |
30,864 |
15,549 |
12,851 |
- |
10,621 |
3,332 |
3,634 |
48,451 |
11,298 |
59,749 |
1981-82 |
35,653 |
18,534 |
10,273 |
- |
12,301 |
4,279 |
3,627 |
55,858 |
12,328 |
68,186 |
1982-83 |
46,939 |
22,232 |
17,431 |
- |
14,518 |
5,369 |
4,364 |
71,190 |
13,682 |
84,872 |
1983-84 |
50,263 |
26,270 |
15,756 |
- |
17,253 |
6,621 |
6,004 |
80,141 |
15,120 |
95,261 |
1984-85 |
58,537 |
30,360 |
19,452 |
- |
21,315 |
8,389 |
8,563 |
96,804 |
16,637 |
1,13,441 |
1985-86 |
71,039 |
35,241 |
26,014 |
- |
26,078 |
10,781 |
11,433 |
1,19,331 |
18,153 |
1,37,484 |
1986-87 |
86,312 |
40,832 |
19,876 |
- |
30,230 |
14,698 |
15,006 |
1,46,247 |
20,299 |
1,66,546 |
1987-88 |
98,646 |
46,695 |
8,028 |
- |
35,002 |
19,526 |
19,164 |
1,72,338 |
23,223 |
1,95,561 |
1988-89 |
1,14,498 |
55,115 |
14,273 |
567 |
41,783 |
26,752 |
20,992 |
2,04,025 |
25,746 |
2,29,771 |
1989-90 |
1,33,193 |
62,520 |
25,184 |
774 |
51,467 |
35,597 |
19,592 |
2,39,849 |
28,343 |
2,68,192 |
1990-91 |
1,54,004 |
70,520 |
6,953 |
1,078 |
61,771 |
45,336 |
21,922 |
2,83,033 |
31,525 |
3,14,558 |
1991-92 |
1,72,750 |
78,023 |
8,840 |
3,986 |
69,682 |
51,818 |
23,464 |
3,17,714 |
36,948 |
3,54,662 |
1992-93 |
1,99,100 |
81,693 |
20,614 |
8,777 |
77,005 |
59,797 |
23,753 |
3,59,655 |
42,269 |
4,01,924 |
1993-94 |
2,45,712 |
1,10,611 |
32,595 |
8,386 |
87,877 |
72,477 |
24,556 |
4,30,623 |
47,345 |
4,77,968 |
1994-95 |
2,66,467 |
1,30,908 |
32,327 |
8,165 |
1,06,435 |
85,787 |
28,993 |
4,87,682 |
50,929 |
5,38,611 |
1995-96 |
3,07,869 |
1,63,986 |
43,790 |
1,875 |
1,21,425 |
92,010 |
33,680 |
5,54,983 |
51,249 |
6,06,232 |
1996-97 |
3,44,476 |
1,83,976 |
56,519 |
8,241 |
1,38,955 |
1,00,088 |
37,919 |
6,21,437 |
54,239 |
6,75,676 |
1997-98 |
3,88,998 |
2,16,463 |
1,601# |
16,243 |
1,67,780 |
1,24,087 |
42,097 |
7,22,962 |
55,332 |
7,78,294 |
1998-99 |
4,59,696 |
2,85,413 |
1,501 |
10,196 |
2,06,458 |
1,26,802 |
41,595 |
8,34,552 |
57,254 |
8,91,806 |
1999-00(RE) |
7,28,627 $ |
3,62,478 |
1,501 |
14,586 |
63,922 |
1,34,689 |
45,902 |
9,73,141 |
57,603 |
10,30,744 |
2000-2001(BE) |
8,21,250 |
4,43,746 |
1,501 |
14,586 |
1,03,422 |
1,44,115 |
54,108 |
11,22,895 |
56,898 |
11,79,793 |
RE |
Revised Estimates BE Budget Estimates |
* |
At historical rate of exchange. |
# |
Sharp decline in outstanding 91 day Treasury Bills is on account of conversion of ad hoc Treasury Bills into special securities. |
Note : The sharp increase in internal debt and corresponding decline in small savings and provident funds in 1999-2000 is due to conversion of other liabilities(small savings, deposits and public provident funds) amounting to Rs. 1,80,273 crore into Central government securities under the new accounting system of the national small savings fund (NSSF) with effect from the fiscal year 1999-2000. |
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Source: Budget Documents of the Government of India. |
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