|
DEPOSIT-ACCORDING TO TYPES (TOTAL) |
||||||||||||
| Currency: Thsd TL | ||||||||||||
| YEAR 2025 |
JANUARY |
FEBRUARY |
MARCH |
APRIL |
MAY |
JUNE |
JULY |
AUGUST |
SEPTEMBER |
OCTOBER |
NOVEMBER |
DECEMBER |
| Official Institutions' Deposit |
11,093,045 |
11,843,682 |
16,891,367 |
17,083,694 |
19,189,712 |
21,042,889 |
20,521,163 |
22,267,369 |
22,232,546 |
23,313,306 |
24,464,747 |
24,079,371 |
| Commercial Institutions' Deposit |
59,210,742 |
61,264,485 |
61,991,734 |
66,069,865 |
68,978,661 |
70,410,679 |
70,990,019 |
76,059,475 |
79,879,808 |
80,537,921 |
81,343,544 |
85,460,648 |
| Savings Deposit |
174,742,412 |
181,741,040 |
195,672,191 |
205,788,970 |
211,495,898 |
219,012,174 |
220,984,896 |
228,060,180 |
231,988,072 |
232,161,432 |
238,125,825 |
254,330,409 |
| Other Institutions' Deposit |
8,079,069 |
8,383,398 |
7,817,952 |
8,458,811 |
8,946,946 |
9,623,070 |
10,914,478 |
11,607,468 |
12,882,207 |
14,082,241 |
17,078,448 |
17,351,621 |
| TOTAL |
253,125,268 |
263,232,605 |
282,373,244 |
297,401,340 |
308,611,217 |
320,088,812 |
323,410,556 |
337,994,492 |
346,982,633 |
350,094,900 |
361,012,564 |
381,222,049 |
| Payables to Banks |
20,785,619 |
15,748,748 |
18,057,108 |
19,138,108 |
18,666,684 |
20,198,170 |
23,077,309 |
22,305,456 |
22,702,066 |
23,785,916 |
24,252,970 |
29,653,818 |
| GENERAL TOTAL |
273,910,887 |
278,981,353 |
300,430,352 |
316,539,448 |
327,277,901 |
340,286,982 |
346,487,865 |
360,299,948 |
369,684,699 |
373,880,816 |
385,265,534 |
410,875,867 |
