|
GOVERNMENT OF
UNION GOVERNMENT ACCOUNTS
AT A GLANCE
AS AT THE END OF MAY 2015
(` in Crores) @@
|
|
|
Budget |
Actuals@ |
% of Actuals to Budget Estimates |
|
Rs. |
Rs. |
Current |
COPPY** |
|||
1 |
|
1141575 |
52361 |
4.6% |
( 3.2%) |
|
2 |
919842 |
19889 |
2.2% |
2.9% |
||
3 |
221733 |
32472 |
14.6% |
(4.6%) |
||
4 |
80253 |
1846 |
2.3% |
(1.3.%) |
||
5 |
|
10753 |
238 |
2.2% |
(9.5%) |
|
6 |
|
69500 |
1608 |
2.3% |
(0.0%) |
|
7 |
Total Receipts (1+4) |
|
1221828 |
54207 |
4.4% |
(3.1%) |
8 |
1312200 |
200725 |
15.3% |
(18.1%) |
||
9 |
(i) of which Interest Payments |
|
1206027 456145 |
181357 48447 |
15.0% 10.6% |
(17.7%) (12.8%) |
10 |
(i) of which Loans disbursed |
|
106173 1036 |
19368 9953 |
18.2% 960.7% |
(21.7%) (1460.2%) |
11 |
465277 |
62106 |
13.4% |
(10.4%) |
||
12 |
|
330020 |
43731 |
13.3% |
(10.1%) |
|
13 |
(i) of which Loans disbursed |
|
135257 23076 |
18375 3906 |
13.6% 16.9% |
(11.4%) (17.5%) |
14 |
Total Expenditure (8+11) |
|
1777477 |
262831 |
14.8% |
(15.6%) |
15 |
Fiscal Deficit (14-7) |
|
555649 |
208624 |
37.5% |
(45.3%) |
16 |
Revenue Deficit (9+12-1) |
|
394472 |
172727 |
43.8% |
(54.2%) |
17 |
Primary Deficit {15-9(i)} |
|
99504 |
160177 |
161.0% |
(178.5%) |
*Financial Year runs from "April to March" **COPPY : Corresponding Period of the Previous Year @ Actuals are unaudited provisional figures. @@ 1 Crore = 10 Millions
Details
|
SOURCES OF FINANCING THE DEFICIT
AS AT THE END OF MAY 2015
(Rs. In Crores) @@
|
|
Budget |
Actuals@ |
% of Actuals to Budget Estimates |
|
Rs. |
Rs. |
Current |
COPPY** |
||
1 |
11173.35 |
1016.29 |
9% |
(9%) |
|
2 |
544700.95 |
207607.40 |
38% |
(46%) |
|
. |
486468.01 |
145356.31 |
30% |
(19%) |
|
|
22407.52 |
-192.96 |
-1% |
(-2%) |
|
. |
0.00 |
0 |
0% |
(0%) |
|
. |
10000.00 |
1590.26 |
16% |
(12%) |
|
. |
(e) Special Deposits of Non-Govt. Provident Funds, Insurance Corporation etc. |
0.00 |
208.62 |
|
|
. |
1.09 |
4065.78 |
|||
. |
13025.17 |
773.07 |
6% |
(-6%) |
|
. |
- ii- Public Provident Funds |
39000.01 |
1755.92 |
5% |
(2%) |
. |
-iii- Investment In Securities |
-32744.99 |
3586.06 |
-11% |
(-36%) |
. |
- iv- Income/Expenditure of NSSF |
-19279.10 |
-2049.27 |
11% |
(4%) |
. |
(g) Others |
25824.33 |
--24648.46 |
-95% |
(-107%) |
. |
(h) Cash Balance {Decrease(+)/Increase(-)} |
|
7633.85 |
||
. |
|
73594.00 |
|
|
|
. |
|
|
|
|
|
3 |
TOTAL FINANCING |
555874.30 |
208623.69 |
38% |
(45%) |
*Financial Year runs from "April to March" **COPPY : Corresponding Period of the Previous Year @ Actuals are unaudited provisional figures. @@ 1 Crore = 10 Millions
Details
RESOURCES TRANSFERRED TO AS AT THE END OF MAY 2015
(Rs. In Crores) @@
|