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Information about the series being displayed:
Start Date:
01/1986
| Latest Date:
06/2011
| Frequency:
Monthly
| Unit:
1000 New TL
Series Type
11/2010
12/2010
01/2011
02/2011
03/2011
04/2011
05/2011
06/2011
* Calculations based on end of year values
Source:
Central Bank of the Republic of Turkey
Index
621215
639461
667959
665683
644045
637396
665679
187196
1 Year Moving Average
619341.75
620865.33
625868.17
628935.17
630639.83
633489.08
635471.67
597008.83
Y/Y % Change
2.31
2.94
9.88
5.85
3.28
5.67
3.71
-71.15
M/M % Change
4.85
2.94
4.46
-0.34
-3.25
-1.03
4.44
-71.88
2003
2004
2005
2006
2007
2008
2009
2010
Annual *
452115
406199
472954
474242
421703
590461
621178
639461
Annual % Change *
-6
-10.16
16.43
0.27
-11.08
40.02
5.2
2.94
Check to include series descriptions.
Related Series
1.VAULT CASH
2.FOREIGN BANKNOTES
3.CASH IN TRANSIT
4.CHECKS PURCHASED
5.SECURITIES DUE
6.PRECIOUS STONES (FX) (1)
7.CLAIMS ON CENTRAL BANK
7.1 Sight Free Account
7.2 Time Free and Restricted Accounts (2)
8.CLAIMS ON BANKS
8.1 Domestic
8.2 Abroad
9.CLAIMS ON MONEY MARKET TRANSACTIONS
10.PARTICIPATION BANKS
11. SEC. AT FAIR VALUE THR. PROF. OR LOSS & SEC. AV. FOR SALE (1) (3)
11.1 Of Which : Securities under Repurchase Agreement
12.CLAIMS ON REVERSE REPO TRANSACTIONS
13.CREDITS
14.PAST-DUE LOANS (NET)
14.1 Past - Due Loans
14.2 (-) Special Reserves For Loans
15.RECEIVABLES FROM LEASING TRANSACTIONS (NET)
16.REQUIRED RESERVES
17.CREDIT & OTHER INT. INCOME ACCRUALS & REDISCOUNT
18.BONDS HELD AGAINST LEGAL RESERVE
19.PARTICIPATIONS AND SUBSIDIARIES
20.SECURITIES TO BE HELD TILL MATURITY
20.1 Of Which : Securities under Repurchase Agreement
21.FIXED ASSETS (NET)
22.SPECIAL COSTS (NET)
23.PREPAID TAXES
24.ASSET ACCOUNT OF DEFERRED TAXES
25.OFFICE SUPPLY INVENTORY
26.DOUBTFUL FEES, COMMISSION AND OTHER RECEIVABLES
27.RECEIVABLES FROM FUTURE SALE OF ASSETS
28.MISCELLANEOUS RECEIVABLES
29.TRANSITORY ASSET ACCOUNTS
30.RECEIVABLES FROM PUBLIC SECTOR
31.ASSETS TO BE SOLD
32.OTHER ASSETS
33.TOTAL
1.DEPOSIT
1.1 Demand
1.2 Time
2.FUNDS RECEIVED FROM REPO TRANSACTIONS
3.DUE TO MONEY MARKETS
4.DUE TO SECURITIES LENDING MARKETS
5.LOANS RECEIVED
5.1 Central Bank
5.2 Domestic Banks
5.3 Other Domestic Institutions
5.4 Banks Abroad
5.5 Other Institutions and Funds Abroad
6.PROVISIONS
7.DUE TO LEASING TRANSACTIONS (NET)
8.DUE TO FACTORING TRANSACTIONS
9.INTEREST, DIVIDEND AND EXPENSE REDISCOUNTS
10.CREDITS AND OTHER RECEIVABLES REVALUATION FUND
11.IMPORT TRANSFER ORDERS
12.TAX, DUTIES, CHARGES AND PREMIUM PAYABLE
13.SECURITIES ISSUED (NET)
14.FUNDS ALLOCATED
15.DEFERRED TAXES
16.MISCELLANEOUS PAYABLES
17.TRANSITORY LIABILITY ACCOUNTS
18.PAYMENT ORDERS
20.OTHER LIABILITIES
21.SHAREHOLDERS' EQUITY
21.1 Paid-up Capital
21.11 Capital
21.12 (-)Unpaid Capital
21.2 Inflation Adjustment for Paid-up Capital
21.3 Capital Reserves
21.31 Premium Issues of Shares
21.32 Cancellation Profits of Shares
21.33 Securities Revaluation Fund
21.34 Revaluation Account for Tangible and Intangible Fixed Assets (1)
21.35 Bonus Shares of Participations and Subsidiaries (2)
21.36 Other Capital Reserves
21.4 Profit Reserves
21.5 Profit (Loss)
21.6 Profit (Loss) for the Previous Year
22.TOTAL