GOVERNMENT OF INDIA UNION GOVERNMENT ACCOUNTS AT A GLANCE PROVISIONAL ACCOUNTS FOR 2022- 2023
(Rs. in Crore) @@
Revised Estimates 2022-2023*
Provisional@ 2022-2023
% of Actuals to Revised Estimates
Rs.
Current
COPPY**
1
Revenue Receipts
2348413
2383519
101.5%
(104.4%)
2
Tax Revenue (Net)
(Details)
2086662
2097368
100.5%
(102.2%)
3
Non-Tax Revenue
261751
286151
109.3%
(116.4%)
4
Non-Debt Capital Receipts
83500
72187
86.5%
(39.4%)
5
Recovery of Loans
23500
26152
111.3%
(112.6%)
6
Other Receipts
60000
46035
76.7%
(18.8%)
7
Total Receipts (1+4)
2431913
2455706
101.0%
(101.4%)
8
Revenue Expenditure
3459464
3452518
99.8%
(101.1%)
9
of which
Interest Payments
940651
928424
98.7%
(99.0%)
10
Capital Expenditure
727768
736319
101.2%
(98.4%)
11
Loans disbursed
108070
115268
106.7%
(105.4%)
12
Total Expenditure (8+10)
4187232
4188837
100.0%
(100.6%)
13
Fiscal Deficit (12-7)
1755319
1733131
(99.6%)
14
Revenue Deficit (8-1)
1111051
1068999
96.2%
(94.7%)
15
Primary Deficit (13-9)
814668
804707
98.8%
(100.2%)
*Financial Year runs from "April to March"
**COPPY : Corresponding Period of the Previous Year
@ Actuals are unaudited provisional figures.
@@ 1 Crore = 10 Millions
Fiscal Deficit is 6.4 % of GDP. Revenue Deficit is 3.9 % of GDP. Effective Revenue Deficit is 2.8 % of GDP.
Details PROVISIONAL ACCOUNTS FOR 2022- 2023
SOURCES OF FINANCING THE DEFICIT PROVISIONAL ACCOUNTS FOR 2022- 2023
Revised Estimates 2022-2023
External Financing
23874.31
36971.11
155%
(183%)
Domestic Financing
1731445.27
1696159.88
98%
(99%)
.
(a) Market Borrowings
1195865.75
1161839.92
97%
(92%)
(b) Securities against Small Savings
438919.00
395859.73
90%
(93%)
(c) State Provident Funds
20000.00
5019.87
25%
(52%)
(d) Special Deposits
0.00
-28867.48
(e) National Small Saving Fund
-19079.02
-26690.73
140%
86%
- i- Savings Deposit and Certificates
238963.94
201080.54
84%
- ii- Public Provident Funds
109537.33
105667.01
96%
(95%)
-iii- Investment In Securities
-404187.99
-358543.74
89%
- iv- Income/Expenditure of NSSF
36607.70
25105.46
69%
(122%)
(f) Others
98980.87
115169.68
116%
(225%)
(g) Cash Balance {Decrease(+)/Increase(-)}
-3241.33
-10200.11
315%
(1%)
(h) Investment (-) / Redemption (+) of Surplus Cash
35352.00
(i) Ways & Means Advances
48677.00
TOTAL FINANCING
1755319.58
1733130.99
99%
(100%)
MAJOR SUBSIDIES
PROVISIONAL ACCOUNTS FOR 2022- 2023
(Rs in Crore) @@
COPPY
Food Subsidy
287194.05
272802.38
288968.54
95%
(101%)
Nutrient Based Fertilizers Subsidy
71122.23
86122.23
52769.97
121%
(82%)
Urea Subsidy
154097.93
165217.12
100988.14
107%
(133%)
Petroleum
9170.50
6817.38
3420.63
74%
Total Major Subsidies
521584.71
530959.11
446147.28
102%
(103%)
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