Page 348 - NHB AR 2020-21-3 complete- Print (1)
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325(d) | Annual Report 2020-21 1.3.4 Particulars of Accounts Restructured
S.No Type of Restructuring → Under CDR Mechanism Uner SME Debt Restructuring Mechanism Others (Amount in ` crore)
Asset Classification → Sub Doubt- Loss Total
Stan- Sub Doubt- Loss Total Stan- Sub Doubt- Loss Total Stan- Stan- ful Total Stan- Sub Doubt- Loss Total
dard dard Stan- ful
dard Stan- ful dard Stan- ful dard dard
002
Detalis ↓ dard dard 0 0 1.31 0200202
000 0 1.31 0 0 1.31 0 1.31
1 Restructured Accounts as No. of borrowers 0000000000 000 0000000
0000000000 000 0000000
on date of opening of the Amount Outstanding 0000000000 000 0000000
0000000000 000 0000000
FY (opening figures) Provisions there-on 0000000000 000 0000000
0000000000 000 0000000
2 Fresh restructuring No. of borrowers 0000000000 000 0000000
0000000000 000 0000000
during the year Amount Outstanding 0000000000 000 0000000
0000000000 0000000
Provisions there-on 0000000000 000
0000000000 000
3 Upgradation to No. of borrowers 000
000
restructured standard Amount Outstanding 000
category during the FY Provisions there-on 000
002
4 Restructured standard No. of borrowers 0 0 1.31
000
advances which Amount Outstanding
cease to attract higher Provisions there-on
provisioning and/ or
additional risk weight
at the end of the FY and
hence need not be shown
as restructured standard
standard advances at the
beginning of the next FY 0000000000 0000000
5 Downgradations of No. of borrowers 0000000000
0000000000
restructured accounts Amount Outstanding 0000000000 0000000
0000000000
during the FY Provisions there-on 0000000
6 Write-offs of restructured No. of borrowers 0000000
accounts during the FY Amount Outstanding 0000 0-
Provisions there-on 0000000000 -
0000000000 0000000
7 Restructured Accounts as No. of borrowers 0000000000
on date of closing of the Amount Outstanding 0000000000 0200202
FY (closing figures) Provisions there-on
0 1.31 0 0 1.31 0 1.31
0000000
S.No Type of Restructuring → Under CDR Mechanism Uner SME Debt Restructuring Mechanism Others (Amount in ` crore)
Asset Classification → Sub Doubt- Loss Total
Stan- Sub Doubt- Loss Total Stan- Sub Doubt- Loss Total Stan- Stan- ful Total Stan- Sub Doubt- Loss Total
dard dard Stan- ful
dard Stan- ful dard Stan- ful dard dard
002
Detalis ↓ dard dard 0 0 1.31 0200202
000 0 1.31 0 0 1.31 0 1.31
1 Restructured Accounts as No. of borrowers 0000000000 000 0000000
0000000000 000 0000000
on date of opening of the Amount Outstanding 0000000000 000 0000000
0000000000 000 0000000
FY (opening figures) Provisions there-on 0000000000 000 0000000
0000000000 000 0000000
2 Fresh restructuring No. of borrowers 0000000000 000 0000000
0000000000 000 0000000
during the year Amount Outstanding 0000000000 000 0000000
0000000000 0000000
Provisions there-on 0000000000 000
0000000000 000
3 Upgradation to No. of borrowers 000
000
restructured standard Amount Outstanding 000
category during the FY Provisions there-on 000
002
4 Restructured standard No. of borrowers 0 0 1.31
000
advances which Amount Outstanding
cease to attract higher Provisions there-on
provisioning and/ or
additional risk weight
at the end of the FY and
hence need not be shown
as restructured standard
standard advances at the
beginning of the next FY 0000000000 0000000
5 Downgradations of No. of borrowers 0000000000
0000000000
restructured accounts Amount Outstanding 0000000000 0000000
0000000000
during the FY Provisions there-on 0000000
6 Write-offs of restructured No. of borrowers 0000000
accounts during the FY Amount Outstanding 0000 0-
Provisions there-on 0000000000 -
0000000000 0000000
7 Restructured Accounts as No. of borrowers 0000000000
on date of closing of the Amount Outstanding 0000000000 0200202
FY (closing figures) Provisions there-on
0 1.31 0 0 1.31 0 1.31
0000000

