DEPOSIT-ACCORDING TO TYPES (TOTAL) | ||||||||||||
Currency: Thsd TL | ||||||||||||
YEAR 2023 | JANUARY | FEBRUARY | MARCH | APRIL | MAY | JUNE | JULY | AUGUST | SEPTEMBER | OCTOBER | NOVEMBER | DECEMBER |
Official Institutions' Deposit | 4.360.649 | 4.426.964 | 4.644.738 | 4.617.361 | 4.534.031 | 5.626.104 | 6.017.538 | 5.788.341 | 5.807.983 | 5.543.735 | 54.631.977 | 6.304.302 |
Commercial Institutions' Deposit | 26.613.520 | 26.084.183 | 27.170.973 | 29.660.147 | 31.123.360 | 37.574.596 | 40.311.464 | 40.893.939 | 42.722.535 | 44.455.988 | 75.878.819 | 46.881.885 |
Savings Deposit | 74.441.681 | 74.823.495 | 78.635.212 | 81.808.645 | 85.222.085 | 106.573.188 | 111.925.281 | 111.115.312 | 113.374.332 | 117.930.190 | 30.683.417 | 129.916.290 |
Other Institutions' Deposit | 1.886.855 | 1.933.567 | 2.074.346 | 2.066.069 | 2.433.032 | 2.710.340 | 2.917.866 | 3.007.185 | 2.787.974 | 3.130.699 | 4.433.300 | 3.615.366 |
TOTAL | 107.302.705 | 107.268.209 | 112.525.269 | 118.152.222 | 123.312.508 | 152.484.228 | 161.172.149 | 160.804.777 | 164.692.824 | 171.060.612 | 165.627.513 | 186.717.843 |
Payables to Banks | 5.967.036 | 6.794.546 | 7.198.063 | 8.100.981 | 9.860.295 | 10.970.243 | 12.134.752 | 11.957.195 | 11.393.990 | 11.531.375 | 11.638.351 | 13.689.591 |
GENERAL TOTAL | 113.269.741 | 114.062.755 | 119.723.332 | 126.253.203 | 133.172.803 | 163.454.471 | 173.306.901 | 172.761.972 | 176.086.814 | 182.591.987 | 177.265.864 | 200.407.434 |