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Date : Jul 06, 2010
Tripura
APPENDIX III : DETAILS OF CAPITAL RECEIPTS
Tripura

(Rs. lakh)

Item

1990-91

1991-92

1992-93

1993-94

1994-95

1995-96

1996-97

1997-98

1998-99

1999-00

1

2

3

4

5

6

7

8

9

10

11

TOTAL CAPITAL RECEIPTS (I to XIII)

12,829

7,045

11,790

13,193

14,766

10,376

12,626

18,331

29,232

46,139

TOTAL CAPITAL RECEIPTS (Includes Public Accounts on a net basis)*

I.External Debt #

II.Internal Debt (1 to 8)

2,150

2,713

2,679

2,797

2,824

3,411

3,473

4,132

9,709

20,982

1.Market Loans

1,284

1,657

1,912

1,966

1,792

1,806

1,971

2,637

6,741

8,305

2.Loans from LIC

60

880

484

114

555

740

990

1,000

2,120

4,544

3.Loans from SBI and other Banks

4.Loans from National Bank for Agriculture and Rural Development

42

52

5.Loans from National Co-operative Development Corporation

18

59

25

17

122

10

16

13

6.WMA from RBI

7.Special Securities issued to NSSF

6,452

8.Others@

806

158

224

692

460

743

502

453

780

1,668

of which:

 

 

 

 

 

 

 

 

 

 

Land Compensation and other Bonds

III.Loans and Advances from the Centre (1 to 6)

6,847

3,520

4,374

3,380

3,773

3,298

6,008

8,982

12,095

9,423

1. State Plan Schemes

1,535

1,845

2,063

1,444

1,836

2,565

3,343

3,856

4,984

9,069

of which:

 

 

 

 

 

 

 

 

 

 

Advance release of Plan Assistance for Natural Calamities

2.Central Plan Schemes

31

2

7

3

14

2

4

3.Centrally Sponsored Schemes

47

35

46

78

32

51

474

122

128

165

4.Non-Plan (i to iii)

5,265

1,515

1,492

1,621

1,670

261

2,039

4,765

6,897

94

(i) Share of Small Savings

2,795

1,494

1,377

1,510

1,611

228

1,732

4,330

6,501

(ii)Relief for Natural Calamities

(iii)Others

2,470

21

115

111

59

33

307

435

396

94

5.Ways and Means Advances from Centre

94

700

6.Loans for Special Schemes

71

237

228

421

149

225

84

91

IV.Recovery of Loans and Advances (1 to 12)

666

58

74

61

73

87

447

106

120

237

1.Housing

19

22

14

11

14

2.Urban Development

3.Crop Husbandry

4.Food Storage and Warehousing

5.Co-operation

1

355

1

82

6.Minor Irrigation

7.Power Projects

8.Village and Small Industries

1

3

4

3

2

9.Industries and Minerals

10.Road Transport

11.Government Servants, etc.+

53

67

88

105

139

12.Others**

666

58

61

73

87

V.Inter-State Settlement

VI.Contingency Fund

950

VII.Small Savings, Provident Funds etc. (1+2)

2,492

2,264

2,605

3,360

4,029

4,145

5,453

5,586

8,024

12,922

1. State Provident Funds

2,387

2,076

2,456

3,207

3,893

4,003

5,339

5,510

7,936

12,856

2.Others

105

188

149

153

136

142

114

76

88

66

VIII.Reserve Funds (1 to 4)

5

-2

50

-3

-1

-8

-7

1.Depreciation/Renewal Reserve Funds

-2

2.Sinking Funds

3.Famine Relief Fund

4.Others

5

50

-3

-1

-8

-7

IX.Deposits and Advances (1 to 4)

-287

-735

1,550

696

1,449

-662

-3,264

127

-502

395

1.Civil Deposits

-277

-726

1,558

700

1,449

-637

-3,261

129

-501

383

2.Deposits of Local Funds

-10

3.Civil Advances

-9

-8

-4

-25

-3

-2

-1

12

4.Others

X.Suspense and Miscellaneous (1 to 4)

834

-710

-1,974

3,246

1,272

690

-372

-765

-403

831

1.Suspense

1,595

-896

-1,723

2,983

1,542

487

-326

-743

-316

1,017

2.Cash Balance Investment Accounts

3.Deposits with RBI

4.Others

-761

186

-251

263

-270

203

-46

-22

-87

-186

XI.Appropriation to Contingency Fund

-950

XII.Miscellaneous Capital Receipts

of which:

 

 

 

 

 

 

 

 

 

 

Disinvestment

XIII.Remittances

127

-65

2,482

-352

1,348

-643

884

164

197

1,356

See Notes to Appendix III'.


APPENDIX III : DETAILS OF CAPITAL RECEIPTS

Tripura

(Rs. lakh)

Item

2000-01

2001-02

2002-03

2003-04

2004-05

2005-06

2006-07

2007-08

2008-09(RE)

2009-10(BE)

1

12

13

14

15

16

17

18

19

20

21

TOTAL CAPITAL RECEIPTS (I to XIII)

44,735

43,707

61,834

4,71,548

4,59,713

9,91,262

16,29,885

16,14,741

16,51,090

15,67,984

TOTAL CAPITAL RECEIPTS (Includes Public Accounts on a net basis)*

49,880

74,981

43,473

35,361

-14,492

19,531

69,701

I.External Debt #

II.Internal Debt (1 to 8)

8,381

13,939

20,293

53,247

55,812

33,641

21,913

5,009

22,100

45,000

1.Market Loans

7,995

5,700

12,145

29,251

25,089

13,720

3,483

15,600

35,000

2.Loans from LIC

6,016

7,467

5,991

7,977

2,183

3.Loans from SBI and other Banks

4.Loans from National Bank for Agriculture and Rural Development

986

173

2,172

3,099

6,000

8,000

5.Loans from National Co-operative Development Corporation

50

64

1

6.WMA from RBI

6,280

8,613

7.Special Securities issued to NSSF

-6,452

15,660

19,927

20,025

15,343

1,581

500

2,000

8.Others@

772

772

1,171

-5,985

-277

914

329

of which:

 

 

 

 

 

 

 

 

 

 

Land Compensation and other Bonds

III.Loans and Advances from the Centre (1 to 6)

8,167

9,625

8,484

9,225

9,516

369

583

329

225

800

1.State Plan Schemes

7,467

8,732

7,872

8,798

9,024

157

163

40

225

800

of which:

 

 

 

 

 

 

 

 

 

 

Advance release of Plan Assistance for Natural Calamities

2.Central Plan Schemes

80

3.Centrally Sponsored Schemes

96

194

160

159

157

372

400

289

4.Non-Plan (i to iii)

345

304

294

9

11

20

(i) Share of Small Savings

(ii)Relief for Natural Calamities

(iii)Others

345

304

294

9

11

20

5.Ways and Means Advances from Centre

6.Loans for Special Schemes

179

395

158

259

335

-171

IV.Recovery of Loans and Advances (1 to 12)

187

232

306

369

397

386

351

327

300

300

1.Housing

19

18

16

23

21

20

13

10

2.Urban Development

3.Crop Husbandry

4.Food Storage and Warehousing

1

5.Co-operation

8

2

5

10

3

3

2

5

6.Minor Irrigation

7.Power Projects

8.Village and Small Industries

2

6

5

2

2

2

9.Industries and Minerals

10.Road Transport

11.Government Servants, etc.+

158

206

280

334

371

360

336

312

300

300

12.Others**

V.Inter-State Settlement

VI.Contingency Fund

VII.Small Savings, Provident Funds etc. (1+2)

31,409

16,801

34,225

36,986

44,411

37,529

37,974

39,954

34,361

36,034

1.State Provident Funds

15,119

11,726

12,561

36,648

44,065

37,194

37,639

39,619

33,985

35,684

2.Others

16,290

5,075

21,664

338

346

335

335

335

376

350

VIII.Reserve Funds (1 to 4)

-3,008

356

119

2,074

1,301

764

1,854

1,854

3

5

1.Depreciation/Renewal Reserve Funds

2.Sinking Funds

-3,000

3.Famine Relief Fund

4.Others

-8

356

119

2,074

1,301

764

1,854

1,854

3

5

IX.Deposits and Advances (1 to 4)

-829

646

2,137

22,507

24,746

21,079

19,945

19,945

29,320

26,810

1.Civil Deposits

-820

652

2,138

20,528

23,496

20,243

6,180

6,180

14,180

13,000

2.Deposits of Local Funds

12,124

12,124

10

5

3.Civil Advances

-9

-6

-1

1,979

1,250

836

1,641

1,641

15,129

13,805

4.Others

X.Suspense and Miscellaneous (1 to 4)

-347

1,032

-2,030

2,65,725

2,63,256

8,26,471

14,66,593

14,66,593

14,92,430

14,07,025

1.Suspense

-592

754

-1,726

11,163

-2,406

8,765

7,228

7,228

10,594

7,000

2.Cash Balance Investment Accounts

2,54,467

2,65,663

8,17,613

14,59,266

14,59,266

14,81,814

14,00,000

3.Deposits with RBI

4.Others

245

278

-304

95

-1

93

99

99

22

25

XI.Appropriation to Contingency Fund

XII.Miscellaneous Capital Receipts

of which:

 

 

 

 

 

 

 

 

 

 

Disinvestment

XIII.Remittances

775

1,076

-1,700

81,415

60,273

71,022

80,670

80,728

72,350

52,010

See Notes to Appendix III'.


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