CONSOLIDATED BALANCE SHEET OF BANKING SECTOR |
Currency: Thsd TL |
YEAR 2020 |
JANUARY |
FEBRUARY |
MARCH |
APRIL |
MAY |
JUNE |
JULY |
AUGUST |
SEPTEMBER |
OCTOBER |
NOVEMBER |
DECEMBER |
|
ASSETS |
|
|
|
|
|
|
|
|
|
|
|
|
1- |
Cash |
324.606 |
343.895 |
468.450 |
522.230 |
438.188 |
441.353 |
447.539 |
504.143 |
503.229 |
489.923 |
513.045 |
478.523 |
2- |
Receivables from Central Bank |
4.133.131 |
4.260.886 |
4.275.931 |
4.083.339 |
4.318.148 |
4.011.178 |
4.219.202 |
4.608.759 |
4.655.163 |
4.689.371 |
4.808.863 |
5.206.676 |
3- |
Receivables from Interbank Money Market |
2.677.819 |
2.566.887 |
2.306.856 |
2.134.704 |
1.835.485 |
2.161.379 |
2.266.840 |
2.657.205 |
3.079.992 |
3.803.302 |
3.389.482 |
3.916.734 |
4- |
Receivables from Banks |
5.886.927 |
5.643.586 |
5.404.460 |
5.508.476 |
5.265.333 |
5.186.677 |
5.503.494 |
5.472.743 |
5.318.169 |
5.253.720 |
5.172.195 |
5.159.719 |
5- |
Securities Portfolio |
2.270.546 |
2.503.358 |
2.503.765 |
2.771.036 |
3.036.228 |
3.078.515 |
3.179.706 |
3.346.004 |
3.498.025 |
3.911.311 |
3.786.795 |
3.546.384 |
6- |
a) TRNC Development Bank Bonds/Bills |
642.713 |
653.001 |
663.514 |
724.826 |
741.186 |
744.091 |
779.889 |
819.945 |
835.653 |
895.946 |
866.606 |
852.711 |
7- |
b) Other Securities |
1.627.833 |
1.850.357 |
1.840.251 |
2.046.210 |
2.295.042 |
2.334.424 |
2.399.817 |
2.526.059 |
2.662.372 |
3.015.365 |
2.920.189 |
2.693.673 |
8- |
Required Reserves |
2.451.761 |
2.599.868 |
2.755.856 |
2.937.260 |
2.836.828 |
2.871.924 |
3.020.869 |
3.184.873 |
3.215.053 |
3.394.716 |
3.087.136 |
2.952.950 |
9- |
Receivables from Reverse Repo |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
10- |
Loans |
21.210.928 |
21.593.699 |
21.984.599 |
22.512.164 |
22.315.877 |
23.006.673 |
24.049.029 |
24.997.495 |
25.810.159 |
27.236.351 |
26.929.884 |
27.202.371 |
11- |
Non-performing Loans (Net) (12-13) |
649.244 |
658.597 |
661.565 |
662.008 |
661.557 |
658.950 |
653.302 |
650.191 |
659.647 |
663.169 |
657.095 |
676.923 |
12- |
a) Non-performing Loans |
1.444.825 |
1.480.586 |
1.491.019 |
1.498.194 |
1.501.796 |
1.480.511 |
1.472.647 |
1.466.343 |
1.495.054 |
1.504.566 |
1.497.312 |
1.555.899 |
13- |
b) Provision for Non-performing Loans (-) |
795.581 |
821.989 |
829.454 |
836.186 |
840.239 |
821.561 |
819.345 |
816.152 |
835.407 |
841.397 |
840.217 |
878.976 |
14- |
Interest (Profit Share) and Income Accruals and Rediscounts |
372.483 |
468.665 |
584.424 |
736.584 |
868.220 |
646.554 |
687.533 |
787.562 |
721.453 |
857.819 |
964.799 |
308.575 |
15- |
Affiliates, Subsidiaries and Joint Ventures (Net) |
243.277 |
246.276 |
248.854 |
262.412 |
255.257 |
256.323 |
267.290 |
288.349 |
293.487 |
315.577 |
310.862 |
295.768 |
16- |
Payables to Securities Market |
36.740 |
88.150 |
92.771 |
98.437 |
96.206 |
101.988 |
109.505 |
121.859 |
125.995 |
131.184 |
124.737 |
113.667 |
17- |
Assets to be Sold (Net) |
82.473 |
82.798 |
83.159 |
83.165 |
83.057 |
83.057 |
83.059 |
82.627 |
79.549 |
78.980 |
74.048 |
72.567 |
18- |
Premises and Equipment (Net) |
229.724 |
231.688 |
232.640 |
231.389 |
236.270 |
235.447 |
246.018 |
247.402 |
245.883 |
250.285 |
253.718 |
308.428 |
19- |
Other Assets |
313.393 |
353.027 |
397.835 |
333.787 |
342.156 |
350.788 |
353.693 |
396.420 |
350.884 |
407.306 |
402.381 |
361.978 |
20 |
TOTAL ASSETS (1+...+19)-(6+7+12+13) |
40.883.052 |
41.641.380 |
42.001.165 |
42.876.991 |
42.588.810 |
43.090.806 |
45.087.079 |
47.345.632 |
48.556.688 |
51.483.014 |
50.475.040 |
50.601.263 |
|
LIABILITIES |
|
|
|
|
|
|
|
|
|
|
|
|
21 |
Deposit |
33.084.257 |
33.951.510 |
34.244.826 |
35.219.568 |
34.872.387 |
35.247.069 |
37.247.525 |
39.211.338 |
40.116.965 |
42.705.383 |
41.632.213 |
41.787.634 |
22 |
Funds from Repo Transactions |
0 |
0 |
0 |
0 |
0 |
4.644 |
9.929 |
14.517 |
13.502 |
10.650 |
9.267 |
8.966 |
23 |
Payables to the Central Bank |
1.311 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
5.348 |
5.563 |
5.341 |
5.028 |
24 |
Payables to Interbank Money Market |
23.860 |
27.319 |
40.271 |
79.821 |
70.892 |
75.875 |
121.299 |
129.122 |
115.562 |
124.325 |
126.072 |
184.439 |
25 |
Subordinated Debt (Loans) |
65.900 |
37.142 |
38.199 |
40.591 |
39.805 |
39.993 |
41.941 |
44.456 |
46.164 |
49.254 |
47.181 |
33.039 |
26 |
Payables to Banks |
2.345.132 |
2.271.960 |
2.218.670 |
2.220.206 |
2.166.369 |
2.209.876 |
2.211.861 |
2.268.996 |
2.517.495 |
2.541.751 |
2.568.524 |
2.530.960 |
27 |
Funds |
22.273 |
23.012 |
24.100 |
25.144 |
24.647 |
24.908 |
25.150 |
26.126 |
27.389 |
28.748 |
27.200 |
25.636 |
28 |
Issued Securities (Net) |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
9.894 |
29 |
Taxes, Duties, Charges and Premiums Payable |
194.206 |
95.868 |
104.159 |
111.527 |
77.468 |
55.591 |
46.316 |
48.051 |
50.501 |
45.488 |
45.902 |
83.629 |
30 |
Interest and Expense Accruals and Rediscounts |
200.495 |
212.425 |
206.231 |
199.675 |
189.869 |
171.785 |
174.500 |
187.516 |
190.486 |
198.212 |
194.985 |
169.320 |
31 |
Provisions |
463.364 |
482.018 |
501.665 |
521.356 |
467.992 |
368.417 |
395.588 |
426.794 |
450.523 |
468.663 |
476.705 |
470.596 |
32 |
Other Liabilities |
642.471 |
664.857 |
675.188 |
508.348 |
675.245 |
874.200 |
764.306 |
862.172 |
785.655 |
917.869 |
891.167 |
824.686 |
33 |
TOTAL (21+...+32) |
37.043.269 |
37.766.111 |
38.053.309 |
38.926.236 |
38.584.674 |
39.072.358 |
41.038.415 |
43.219.088 |
44.319.590 |
47.095.906 |
46.024.557 |
46.133.827 |
|
SHAREHOLDERS' EQUITY |
|
|
|
|
|
|
|
|
|
|
|
|
34 |
Paid - in Capital |
1.332.570 |
1.332.679 |
1.332.731 |
1.378.757 |
1.398.850 |
1.398.945 |
1.398.994 |
1.401.291 |
1.401.355 |
1.461.417 |
1.461.491 |
1.470.663 |
35 |
Legal Reserves |
892.816 |
892.816 |
1.088.399 |
1.124.034 |
1.199.025 |
1.207.309 |
1.366.629 |
1.366.629 |
1.366.629 |
1.366.779 |
1.366.779 |
1.369.072 |
36 |
Fixed Asset Revaluation Fund |
2.996 |
2.996 |
2.996 |
2.996 |
2.996 |
2.996 |
2.996 |
3.596 |
3.596 |
7.766 |
10.436 |
10.436 |
37 |
Securities Increment Value Fund |
168.994 |
171.663 |
173.824 |
186.882 |
179.924 |
180.958 |
190.400 |
210.400 |
215.016 |
230.869 |
225.489 |
220.166 |
38 |
Profit (Loss) of the Period |
80.343 |
113.051 |
183.425 |
223.264 |
267.338 |
329.156 |
349.879 |
407.112 |
512.986 |
582.912 |
648.923 |
671.178 |
39 |
Accumulated Profit (Loss) |
1.362.064 |
1.362.064 |
1.166.481 |
1.034.822 |
956.003 |
899.084 |
739.766 |
737.516 |
737.516 |
737.365 |
737.365 |
725.921 |
40 |
TOTAL SHAREHOLDERS' EQUITY (34+...+39) |
3.839.783 |
3.875.269 |
3.947.856 |
3.950.755 |
4.004.136 |
4.018.448 |
4.048.664 |
4.126.544 |
4.237.098 |
4.387.108 |
4.450.483 |
4.467.436 |
41 |
TOTAL LIABILITIES (33+40) |
40.883.052 |
41.641.380 |
42.001.165 |
42.876.991 |
42.588.810 |
43.090.806 |
45.087.079 |
47.345.632 |
48.556.688 |
51.483.014 |
50.475.040 |
50.601.263 |
|
Percentage of non-performing Loans (Gross) |
6,38 |
6,42 |
6,35 |
6,24 |
6,31 |
6,05 |
5,77 |
5,54 |
5,48 |
5,23 |
5,27 |
5,41 |