Table 127 : Outstanding liabilities of Central Government
(Rupees crore)
Year (end- March)
Internal debt
of which
Small savings, deposits & provident funds
Other accounts
Reserve fund and deposits
Total internal liabilities (2+6+7+8)
External liabilities*
Total liabilities (9+10)
Market loans
91-day treasury bills
182/364-day treasury bills
1
2
3
4
5
6
7
8
9
10
11
1980-81
30864
15549
12851
0
10621
3332
3634
48451
11298
59749
1981-82
35653
18534
10273
0
12301
4279
3627
55858
12328
68186
1982-83
46939
22232
17431
0
14518
5369
4364
71190
13682
84872
1983-84
50263
26270
15756
0
17253
6621
6004
80141
15120
95261
1984-85
58537
30360
19452
0
21315
8389
8563
96804
16637
113441
1985-86
71039
35241
26014
0
26078
10781
11433
119331
18153
137484
1986-87
86312
40832
19876
0
30230
14698
15006
146247
20299
166546
1987-88
98646
46695
8028
0
35002
19526
19164
172338
23223
195561
1988-89
114498
55115
14273
567
41783
26752
20992
204025
25746
229771
1989-90
133193
62520
25184
774
51467
35597
19592
239849
28343
268192
1990-91
154004
70520
6953
1078
61771
45336
21922
283033
31525
314558
1991-92
172750
78023
8840
3986
69682
51818
23464
317714
36948
354662
1992-93
199100
81693
20614
8777
77005
59797
23753
359655
42269
401924
1993-94
245712
110611
32595
8386
87877
72478
24556
430623
47345
477968
1994-95
266467
130908
32327
8165
106435
85787
28993
487682
50929
538611
1995-96
307869
163986
43790
1875
121425
92010
33680
554983
51249
606232
1996-97
344476
184101
56519
8241
138955
100088
37919
621437
54239
675676
1997-98
388998
216598
1601 #
16243
167780
124087
42097
722962
55332
778294
1998-99
459696
285585
1501
10196
206458
126802
41595
834552
57254
891806
1999-00
714254
355862
1521
14296
66406
134425
47508
962592
58437
1021029
2000-01
803698
428793
1876
16296
96343
144020
58535
1102596
65945
1168541
2001-02
913061
516517
5047
19584
144511
164157
73133
1294862
71546
1366408
2002-03
1020689
619105
9673
26122
226400
172374
80126
1499589
59612
1559201
2003-04
1141706
707965
7184
26132
288378
168094
92376
1690554
46124
1736678
2004-05
1275971 @
758995
8338
26148
390477
174107
92989
1933545
60877
1994422
2005-06 RE
1355943 @
867368
8546
34466
484327
185555
101170
2126995
68392
2195387
2006-07 BE
1522031 @
984645
8546
34356
577717
183193
113907
2396847
76716
2473563
RE : Revised Estimates. BE : Budget Estimates. * At historical exchange rate. # Sharp decline in 91-day treasury bills is on account of conversion of ad hoc treasury bills into special securities. @ Include liabilities on account of Market Stabilisation Scheme (MSS). Also see Notes on Tables. Source : Budget documents of the Government of India.
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