Budget Allocations, Net of Recoveries and Plan Outlay for Ministry of Finance (Appropriation of Interest Payments) in India (2021-2022 to 2023-2024) | ||||||||||||
(Rs. in Crore) | ||||||||||||
Particulars | 2021-2022 (Actual) | 2022-2023 (Budget) | 2022-2023 (Revised) | 2023-2024 (Budget) | ||||||||
Revenue | Capital | Total | Revenue | Capital | Total | Revenue | Capital | Total | Revenue | Capital | Total | |
Gross | ||||||||||||
Recoveries | ||||||||||||
Receipts | ||||||||||||
Net | ||||||||||||
A. The Budget Allocations, Net of Recoveries and Receipts, are Given Below: | ||||||||||||
Centre's Expenditure | ||||||||||||
Other Central Sector Expenditure | ||||||||||||
Others | ||||||||||||
1. Prepayment Premium for Reduction of Debt | ||||||||||||
2. Interest on Internal Debt | ||||||||||||
2.01 Market Loans | ||||||||||||
2.02 Less Amount met from GST Compensation Fund on Back to Back Loans to States and UTs | ||||||||||||
2.03 Less accrued interest | ||||||||||||
2.04 Discount on Cash Management Bills | ||||||||||||
2.05 Compensation and Other Bonds | ||||||||||||
2.06 14 days Treasury Bills | ||||||||||||
2.07 91 days Treasury Bills | ||||||||||||
2.08 182 days Treasury Bills | ||||||||||||
2.09 Discount on 364 days Treasury Bills | ||||||||||||
2.10 Management of Debt | ||||||||||||
2.11 Ways and Means Advance | ||||||||||||
2.12 Marketable Securities issued in Conversion of Special Securities | ||||||||||||
2.13 Market Stabilisation Scheme | ||||||||||||
2.14 Interest on Recapitalization Bonds | ||||||||||||
2.15 Interest on Recapitalisation Bonds to Other Government Controlled Banking Entities | ||||||||||||
2.16 Interest on Sovereign Gold Bond Scheme 2015 | ||||||||||||
2.17 Interest on Gold Monetization Scheme 2015 | ||||||||||||
Total- Interest on Internal Debt | ||||||||||||
3. Interest on External Debt | ||||||||||||
4. Interest on Small Savings, Provident Funds etc. | ||||||||||||
4.01 Interest on Small Savings Deposits, Certificates and Operational Expenses | ||||||||||||
4.02 State Provident Funds | ||||||||||||
4.03 Insurance and Pension Funds | ||||||||||||
4.04 Special Deposits of Non Government Provident Funds | ||||||||||||
4.05 Other Special Deposits | ||||||||||||
Total- Interest on Small Savings, Provident Funds etc. | ||||||||||||
5. Interest on Reserve Funds | ||||||||||||
6. Interest on Other Obligations | ||||||||||||
6.01 Special Bonds to Oil Companies | ||||||||||||
6.02 Special Bonds Issued to Food Corporation of India | ||||||||||||
6.03 Special Bonds Issued to Fertilizer Companies | ||||||||||||
6.04 Bonds for SBI Rights | ||||||||||||
6.05 Special Bonds to PLI | ||||||||||||
6.06 Interest on others | ||||||||||||
Total- Interest on Other Obligations | ||||||||||||
7. Actual Recoveries | ||||||||||||
Total-Others | ||||||||||||
Total-Other Central Sector Expenditure | ||||||||||||
Grand Total | ||||||||||||
B. Developmental Heads | ||||||||||||
General Services | ||||||||||||
1. Appropriation for Reduction Or Avoidance of Debt | ||||||||||||
2. Interest Payments | ||||||||||||
Total-General Services | ||||||||||||
Grand Total |