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Information about the series being displayed:
Start Date:
03/01/2003
| Latest Date:
20/05/2005
| Frequency:
Weekly
| Unit:
1000 New TL
Series Type
01/04/2005
08/04/2005
15/04/2005
22/04/2005
29/04/2005
06/05/2005
13/05/2005
20/05/2005
* Calculations based on end of year values
Source:
Central Bank of the Republic of Turkey
Index
21480968
22060112
23816342
23477478
23000768
23097044
24021144
23970424
Y/Y % Change
26.08
26.39
29.05
24.89
29.41
23.71
23.54
25.32
W/W % Change
-2.7
2.7
7.96
-1.42
-2.03
0.42
4
-0.21
1997
1998
1999
2000
2001
2002
2003
2004
Annual *
-
-
-
-
-
-
15329858
20188504
Annual % Change *
-
-
-
-
-
-
-
31.69
Check to include series descriptions.
Related Series
1A-Currency Issued
1B-Required Reserves of Banking Sector (YTL)
1C-Free Deposits
2-NET FOREIGN ASSETS (A+B+C)
2A-Net International Reserves (a+b+c)
2Aa-Gross Foreign Assets
2Ab-Gross International Reserve Liabilities
2Aba-FX Deposits of Banking Sector
2Abb-IMF
2Abb1-Use of Credit
2Abb2-SDR Allocation
2Abc-Other Liabilities
2Ac-Net Forward Position
2B-Medium Term FX Credits (net)
2C-Other (FX Lending Excl.)
3-NET DOMESTIC ASSETS
3A-Treasury Debt (a+b)
3Aa-CBRT's Portfolio
3Aaa-DIBS prior to Nov.5, 2001
3Aab-DIBS Purchased from Secondary Market
3Ab-Other
3B-Public Sector Deposits (YTL)
3C-FX Deposits of Non-bank Sector
3D-Deposits of Public Funds
3E-Deposits of Non-bank Sector
3F-Cash Credits to the Banking Sector
3G-Open Market Operations
3H-Other
3I-Revaluation Account
3J-IMF Emergency Treasury
3K-FX Lending
NDA(1)
Treasury Liabilities to the IMF(2)
Treasury FX denominated borrow.with an or.mat.of less than 1 year(3)
NDA (program Definition)(1+2+3)