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Information about the series being displayed:
Start Date:
31/01/1986
| Latest Date:
29/07/2011
| Frequency:
Weekly
| Unit:
1000 New TL
Series Type
10/06/2011
17/06/2011
24/06/2011
01/07/2011
08/07/2011
15/07/2011
22/07/2011
29/07/2011
* Calculations based on end of year values
Source:
Central Bank of the Republic of Turkey
Index
65880776
61880751
60880752
66924709
67924687
66906962
65906987
66943261
Y/Y % Change
138.25
148.47
117.03
136.55
138.52
172.79
157.67
211.98
W/W % Change
-2.95
-6.07
-1.62
9.93
1.49
-1.5
-1.49
1.57
2003
2004
2005
2006
2007
2008
2009
2010
Annual *
27103092
23164478
20495030
22309872
16789066
25799469
30424785
20022980
Annual % Change *
-3.44
-14.53
-11.52
8.86
-24.75
53.67
17.93
-34.19
Check to include series descriptions.
Related Series
A18.TOTAL ASSETS
A1A.International Standard (FX)
A1B.Non-International Standard (TL)
A2.FOREIGN EXCHANGE
A2A.Convertible (FX)
A2A1.Foreign Banknotes
A2A2.Correspondent Accounts
A2A3.Reserve Tranche Position
A2B.Non-Convertible (FX)
A2B1.Foreign Banknotes
A2B2.Correspondent Accounts
A3.COINS
A4.DOMESTIC CORRESPONDENTS
A4A.TL
A4B.FX
A5.SECURITIES PORTFOLIO
A5A1a.Bonds (TL)
A5A1b.Bonds (FX)
A5A2.Treasury Bills
A5B.Other
A6.DOMESTIC CREDITS
A6A.Public Sector
A6A1.Treasury
A6A1a.Short-Term Advances to the Treasury
A6A1b.Other(net)
A6A2.Public Economic Institutions
A6A2a.Commercial
A6A3.State Economic Enterprises
A6A3a.Treasury Guaranteed Bills
A6A3b.Commercial Bills
A6A3c.Other
A6B.Banking Sector
A6B1a.Rediscount
A6B1b.As per Art 40/c of Law No:1211
A6B1c.Other
A6B2.Commercial
A6B2a.Export
A6B2b.Other
A6B3.Agriculture
A6B3a.Agricultural Credit Cooperatives
A6B3b.Unions of Agricultural Sales Cooperatives
A6B3c.Others
A6B4.Industrial
A6B5.Advances Against Bond Collateral
A6B6.Other
A6C.Credits to SDIF
A7.OPEN MARKET OPERATIONS
A7A.Repurchase Agreements
A7A1.Cash
A7A1a.Foreign Exchange(TL)
A7A1b.Foreign Exchange
A7A1c.Securities
A7A2.Securities
A7B.Other
A8.FOREIGN CREDITS
A9.SHARE PARTICIPATIONS
A10.FIXED ASSETS
A11.CLAIMS UNDER LEGAL PROCEEDINGS (Net)
A11A1.Claims under Legal Proceedings (TL)
A11A2.Claims under Legal Proceedings (FX)
A11B.Provisions For Claims Under Legal Proceedings (-)(TL)
A12.TREASURY LIABILIATIES DUE TO SDR ALLOCATION
A13.REVALUATION ACCOUNT
A13A.Claims Under Conso.Law No.3836
A13B.Revaluation Differences as per Artical 61 of Central Bank Law
A12B1.In Liquidation
A12B2.To be Liquidated
A14.INTEREST AND INCOME ACCRUALS
A15.MISCELLANEOUS RECEIVABLES
A15A.TL
A15B.FX
A16.OTHER ASSETS
A16A.TL
A16B.FX
A17.PREVIOUS YEARS' LOSSES
A1.GOLD
P1.CURRENCY ISSUED
P2.LIABILITIES TO TREASURY
P2A.Gold (TL)
P2B.Reserve Tranche Facility
P2C.Other (Net)
P3.FOREIGN CORRESPONDENTS
P3A.Convertible
P3B.Non-Convertible
P4.TOTAL DEPOSITS
P4A.Deposits (TL)
P4A1.Public Sector(TL)
P4A1a.Treasury, General and Special Budget Administrations
P4A1b.Public Economic Institutions
P4A1c.State Economic Enterprises
P4A1d.Other
P4A2.Banking Sector(TL)
P4A2a.Free Deposit of Domestic Banks
P4A2b.Foreign Banks
P4A2c.Required Reserved
P4A2c1.Cash TL
P4A2d.Others (Transactions with Value Dates)
P4A3.Miscellaneous (TL)
P4A3a.Other
P4A4.International Institutions
P4A5.Extrabudgetary Funds(TL)
P4A5a.Savings Deposits Insurance Fund
P4A5b.Other
P4B.Deposits (FX)
P4B1.Public Sector(FX)
P4B1a.Treasury, General and Special Budget Administrations
P4B1b.Public Economic Institutions
P4B1c.State Economic Enterprises
P4B1d.Other
P4B2.Banking Sector(FX)
P4B2a.Free Deposit of Domestic Banks
P4B2b.Foreign Banks
P4B2c.Required Reserved
P4B2c1.Cash(Foreign Exchange)
P4B2c2.Gold
P4B2d.Other(Transactions with value dates)
P4B3.Miscellaneous (FX)
P4B3a.Foreign Exchange Deposits by Citizens Abroad
P4B3b.Other
P4B4.Extrabudgetary Funds (FX)
P4B4a.Savings Deposits Insurance Fund
P4B4b.Other
P5.Liquidity Bills
P5A.TL
P5B.FX
P6.OPEN MARKET OPERATIONS
P6A.Repurchase Agreements
P6A1.Cash
P6A1a.Foreign Exchange (TL)
P6A1b.Foreign Exchange
P6A1c.Securities
P6A2.Securities
P6B.Other(TL)
P7.FOREIGN CREDITS
P7A.Short-Term
P7B.Medium and Long-Term
P8.ADVANCES, COLLATERALS AND DEPOSITS COLLECTED AGAINST L/C AND IMPORTS
P8A.For Letters of Credit
P8B.For Imports
P9.NOTES AND REMITTANCES PAYABLE
P9A.TL
P9B.FX
P10.SDR ALLOCATION
P11.CAPITAL
P11A.Paid-in Capital
P11B.Inflation Adjustment for Capital
P12.RESERVES
P12A.Ordinary and Extra Ordinary Reserves
P12B.Special Reserves (C.B.'s Law, Art.59)
P12C.Reserve For Future Losses(Art.No.32 of Banking Law)
P12D.Valuation Adjustment Fund (Law No.2791 and 3094)
P12E.Cost Adjustment Fund
P12F.Inflation Adjustment for Reserves
P13.PROVISIONS
P13A.Provisions for Pension Commitments
P13B.Provision for Tax
P13C.Other Provisions
P14.REVALUATION ACCOUNT
P14A.Revaluation Differences as per Article 61 of Central Bank Law
P14A1.In Liquidation
P14A2.To be Liquidated
P15.INTEREST AND EXPENSE ACCRUALS
P16.MISCELLANEOUS PAYABLES
P16A.TL
P16B.FX
P17.OTHER LIABILITIES
P17A.TL
P17B.FX
P18.TOTAL LIABILITIES