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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
1228
1777
1384
1459
1484
1418
1344
1511
1 Year Moving Average
1016
1089
1141.42
1181.83
1228
1272.42
1297.08
1346.33
Y/Y % Change
60.73
97.23
83.31
49.79
59.57
60.23
28.24
64.24
M/M % Change
-9.31
44.71
-22.12
5.42
1.71
-4.45
-5.22
12.43
2003
2004
2005
2006
2007
2008
2009
2010
Annual *
331
458
421
542
640
676
901
1777
Annual % Change *
7.82
38.37
-8.08
28.74
18.08
5.63
33.28
97.23
Check to include series descriptions.
Related Series
2.FOREIGN BANKNOTES
3.CASH IN TRANSIT
4.CHECKS RECEIVED
5.SECURITIES DUE
6.PRECIOUS STONES (FX)
7.CLAIMS ON CENTRAL BANK
7.1.Sight Free Account
7.2.Time Free and Restricted Account
8.CLAIMS ON BANKS
8.1.Domestic
8.2.Abroad
9.CLAIMS ON MONEY MARKET TRANSACTIONS
10.PARTICIPATION BANKS
11.SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS AND SECURITIES AVAILABLE FOR SALE
Of Which : Securities under Repuchase Agreement (11.)
12.CLAIMS ON REVERS REPO TRANSACTIONS
13.CREDITS
14.PAST-DUE LOANS (NET)
14.1.Past-Due Loans
14.2.(-)Special Reserve For Loans
15.RECEIVABLE FROM LEASING TRANSACTIONS (NET)
16.REQUIRED RESERVES
17.INTEREST AND INCOME ACCRUALS AND REDISCOUNT
18.BONDS HELD AGAINST LEGAL RESERVE
19.SUBSIDIARIES AND ASSOCIATED COMPANIES
20.SECURITIES TO BE HELD TILL MATURITY
Of Which : Securities under Repuchase Agreement (20.)
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 ASSETS
34.TOTAL DEPOSIT
34.1.Demand
34.2.Time
35.FUNDS RECEIVED FROM REPO TRANSACTION
36.DUE TO MONEY MARKET
37.DUE TO SECURITIES LENDING MARKET
38.LOANS USED
38.1.Central Bank
38.2.Domestic Banks
38.3.Other Domestic Institutions
38.4.Banks Abroad
38.5.Other Institutions and Funds Abroad
39.PROVISIONS
40.DUE TO LEASING TRANSACTIONS (NET)
41.DUE TO FACTORING TRANSACTIONS
42.INTEREST AND EXPENSE REDISCOUNTS
43.CREDITS AND OTHER RECEIVABLES REVALUATION FUND
44.IMPORT DEPOSIT AND TRANSFER ORDER
45.TAXES, DUTIES, CHARGES AND PREMIUM PAYABLE
46.SECURITIES ISSUED
47.FUNDS ALLOCATED
48.DEFERRED TAXES
49.MISCELLANEOUS PAYABLES
50.TRANSITORY LIABILITY ACCOUNTS
51.PAYMENT ORDERS
52.PAYABLES TO PUBLIC SECTOR
53.OTHER LIABILITIES
54.OWNERS' EQUITY (CAPITAL ACCOUNTS)
54.1.Paid-up Capital
54.1.1.Capital
54.1.2.(-)Unpaid Capital
54.2.Enflation Adjustment for Paid-up Capital
54.3.Capital Reserves
54.31.Premium Issues of Shares
54.32.Cancellation Profits of Shares
54.33.Securities Revaluation Fund
54.34.Revaluation Account of Tangible and Intangible Fixed Assets
54.35.Bonus Shares of Participations and Subsidiaries
54.36.Other Capital Reserves
54.4.Profit Reserves
54.5.Profit (Loss)
54.6.Profit (Loss) for the Previous Year
55.TOTAL LIABILITIES