CONSOLIDATED BALANCE SHEET OF BANKING SECTOR |
Currency: Thsd TL |
YEAR 2024 |
JANUARY |
FEBRUARY |
MARCH |
APRIL |
MAY |
JUNE |
JULY |
AUGUST |
SEPTEMBER |
OCTOBER |
NOVEMBER |
DECEMBER |
|
ASSETS |
|
|
|
|
|
|
|
|
|
|
|
|
1- |
Cash |
2.304.569 |
2.303.555 |
2.448.971 |
2.553.769 |
2.593.728 |
2.704.805 |
2.738.722 |
2.803.871 |
3.048.169 |
2.958.485 |
2.927.167 |
2.944.359 |
2- |
Receivables from Central Bank |
16.931.478 |
15.553.297 |
16.312.447 |
18.285.591 |
15.978.053 |
15.200.152 |
14.221.972 |
17.226.097 |
17.099.373 |
17.216.970 |
16.200.120 |
25.772.585 |
3- |
Receivables from Interbank Money Market |
34.373.516 |
36.826.828 |
37.301.241 |
37.424.539 |
41.425.062 |
44.597.459 |
47.322.509 |
50.161.704 |
54.347.515 |
55.516.135 |
58.560.815 |
60.667.559 |
4- |
Receivables from Banks |
20.026.099 |
19.650.517 |
21.475.948 |
20.508.726 |
19.115.102 |
19.354.541 |
19.206.459 |
20.141.588 |
20.890.819 |
21.144.572 |
21.230.445 |
25.875.384 |
5- |
Securities Portfolio |
44.103.531 |
46.086.598 |
48.466.935 |
48.952.801 |
50.448.495 |
52.459.044 |
52.877.993 |
54.069.460 |
55.185.272 |
55.166.973 |
55.591.073 |
54.747.247 |
6- |
a) TRNC Development Bank Bonds/Bills |
3.696.116 |
3.782.636 |
3.894.811 |
4.034.219 |
4.340.310 |
4.381.422 |
4.490.526 |
4.677.156 |
4.742.720 |
4.645.964 |
4.621.788 |
4.770.460 |
7- |
b) Other Securities |
40.407.415 |
42.303.962 |
44.572.124 |
44.918.582 |
46.108.185 |
48.077.622 |
48.387.467 |
49.392.304 |
50.442.552 |
50.521.009 |
50.969.285 |
49.976.787 |
8- |
Required Reserves |
15.679.592 |
16.047.351 |
16.481.193 |
16.654.764 |
16.916.681 |
17.346.553 |
18.088.427 |
18.718.027 |
19.329.250 |
19.370.190 |
19.696.620 |
20.293.757 |
9- |
Receivables from Reverse Repo |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
10- |
Loans |
90.759.077 |
94.095.595 |
98.916.362 |
99.854.646 |
102.149.850 |
105.641.190 |
108.186.219 |
112.997.842 |
116.776.360 |
117.206.021 |
118.538.084 |
126.546.435 |
11- |
Non-performing Loans (Net) (12-13) |
2.197.755 |
2.181.942 |
2.141.478 |
2.192.223 |
2.229.341 |
1.893.902 |
2.118.380 |
2.072.579 |
2.049.875 |
1.975.540 |
2.040.207 |
1.793.978 |
12- |
a) Non-performing Loans |
4.158.580 |
4.149.476 |
4.183.680 |
4.240.898 |
4.309.568 |
4.296.895 |
4.590.514 |
4.468.527 |
4.604.563 |
4.581.803 |
4.700.892 |
4.407.884 |
13- |
b) Provision for Non-performing Loans (-) |
1.960.825 |
1.967.534 |
2.042.202 |
2.048.675 |
2.080.227 |
2.402.993 |
2.472.134 |
2.395.948 |
2.554.688 |
2.606.263 |
2.660.685 |
2.613.906 |
14- |
Interest (Profit Share) and Income Accruals and Rediscounts |
2.396.857 |
3.116.839 |
3.436.858 |
3.948.221 |
4.853.702 |
5.371.817 |
5.973.444 |
7.179.789 |
7.114.867 |
7.750.088 |
8.705.511 |
2.686.696 |
15- |
Affiliates, Subsidiaries and Joint Ventures (Net) |
1.034.532 |
1.058.738 |
1.068.887 |
1.178.169 |
1.187.138 |
1.203.123 |
1.234.129 |
1.298.254 |
1.314.644 |
1.348.050 |
1.274.187 |
1.279.994 |
16- |
Payables to Securities Market |
383.969 |
514.264 |
636.815 |
353.550 |
191.761 |
235.417 |
237.484 |
248.251 |
251.055 |
269.339 |
257.803 |
254.487 |
17- |
Assets to be Sold (Net) |
301.815 |
288.872 |
288.872 |
288.919 |
292.771 |
292.771 |
292.771 |
292.771 |
319.210 |
315.693 |
309.939 |
357.214 |
18- |
Premises and Equipment (Net) |
825.128 |
857.557 |
898.337 |
902.329 |
919.762 |
945.309 |
1.011.034 |
1.020.732 |
1.024.833 |
1.042.121 |
1.066.247 |
1.171.191 |
19- |
Other Assets |
2.627.730 |
3.335.620 |
4.231.709 |
3.681.734 |
4.475.834 |
4.380.836 |
3.569.346 |
4.376.893 |
3.443.994 |
3.630.734 |
5.286.903 |
5.116.448 |
20 |
TOTAL ASSETS (1+...+19)-(6+7+12+13) |
233.945.648 |
241.917.573 |
254.106.053 |
256.779.981 |
262.777.280 |
271.626.919 |
277.078.889 |
292.607.858 |
302.195.236 |
304.910.911 |
311.685.121 |
329.507.334 |
|
LIABILITIES |
|
|
|
|
|
|
|
|
|
|
|
|
21 |
Deposit |
190.791.333 |
197.078.351 |
205.432.984 |
207.227.225 |
211.330.797 |
215.737.358 |
221.490.130 |
233.368.068 |
240.724.009 |
240.656.970 |
241.887.533 |
256.355.044 |
22 |
Funds from Repo Transactions |
177.526 |
232.844 |
340.105 |
139.653 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
23 |
Payables to the Central Bank |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
24 |
Payables to Interbank Money Market |
43.100 |
50.600 |
97.600 |
60.000 |
12.854 |
42.584 |
35.819 |
20.787 |
0 |
0 |
40.000 |
109.616 |
25 |
Subordinated Debt (Loans) |
268.814 |
275.724 |
284.685 |
282.768 |
288.381 |
291.985 |
298.050 |
313.896 |
317.701 |
310.828 |
307.055 |
309.548 |
26 |
Payables to Banks |
13.946.081 |
13.375.520 |
14.326.068 |
13.939.091 |
13.126.975 |
15.459.534 |
13.912.681 |
14.156.416 |
14.767.262 |
14.959.765 |
17.210.810 |
19.621.018 |
27 |
Funds |
89.157 |
91.542 |
94.795 |
94.643 |
94.186 |
95.961 |
96.506 |
99.052 |
99.620 |
99.848 |
100.880 |
102.869 |
28 |
Issued Securities (Net) |
0 |
0 |
18.646 |
19.271 |
19.917 |
36.829 |
66.423 |
69.000 |
46.194 |
85.535 |
88.504 |
94.610 |
29 |
Taxes, Duties, Charges and Premiums Payable |
302.983 |
300.699 |
364.009 |
502.868 |
521.781 |
453.141 |
463.354 |
461.953 |
538.800 |
509.289 |
484.586 |
947.312 |
30 |
Interest and Expense Accruals and Rediscounts |
680.201 |
739.240 |
840.490 |
857.226 |
1.094.789 |
1.195.621 |
1.368.030 |
1.672.644 |
1.360.377 |
1.554.466 |
1.713.084 |
1.290.858 |
31 |
Provisions |
3.381.288 |
3.643.059 |
3.988.176 |
4.012.920 |
3.823.067 |
3.343.650 |
3.726.946 |
4.243.517 |
4.777.938 |
5.311.675 |
5.790.325 |
6.177.100 |
32 |
Other Liabilities |
6.364.731 |
7.115.738 |
8.134.723 |
7.871.730 |
9.431.567 |
10.669.746 |
9.702.760 |
10.453.547 |
10.336.438 |
10.289.548 |
11.079.600 |
10.498.869 |
33 |
TOTAL (21+...+32) |
216.045.214 |
222.903.317 |
233.922.281 |
235.007.395 |
239.744.314 |
247.326.409 |
251.160.699 |
264.858.880 |
272.968.339 |
273.777.924 |
278.702.377 |
295.506.844 |
|
SHAREHOLDERS' EQUITY |
|
|
|
|
|
|
|
|
|
|
|
|
34 |
Paid - in Capital |
3.115.766 |
3.115.839 |
3.115.878 |
3.116.246 |
3.629.087 |
3.629.262 |
3.708.363 |
3.801.356 |
3.835.684 |
3.835.767 |
3.835.933 |
3.836.002 |
35 |
Legal Reserves |
6.387.218 |
6.246.847 |
8.386.636 |
9.479.852 |
9.934.191 |
12.116.155 |
12.037.156 |
12.024.303 |
11.990.193 |
11.990.193 |
11.990.193 |
10.932.835 |
36 |
Fixed Asset Revaluation Fund |
16.316 |
16.316 |
16.316 |
16.316 |
22.616 |
22.616 |
31.832 |
31.832 |
31.832 |
31.832 |
31.832 |
31.832 |
37 |
Securities Increment Value Fund |
1.004.490 |
1.037.124 |
1.068.949 |
1.189.784 |
1.191.019 |
1.198.631 |
1.230.884 |
1.316.278 |
1.273.419 |
1.315.063 |
1.249.810 |
1.265.016 |
38 |
Profit (Loss) of the Period |
1.050.443 |
2.131.748 |
3.282.378 |
4.748.591 |
6.074.090 |
7.333.846 |
8.909.955 |
10.575.209 |
12.095.769 |
13.960.132 |
15.874.976 |
17.934.805 |
39 |
Accumulated Profit (Loss) |
6.326.201 |
6.466.382 |
4.313.615 |
3.221.797 |
2.181.963 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
40 |
TOTAL SHAREHOLDERS' EQUITY (34+...+39) |
17.900.434 |
19.014.256 |
20.183.772 |
21.772.586 |
23.032.966 |
24.300.510 |
25.918.190 |
27.748.978 |
29.226.897 |
31.132.987 |
32.982.744 |
34.000.490 |
41 |
TOTAL LIABILITIES (33+40) |
233.945.648 |
241.917.573 |
254.106.053 |
256.779.981 |
262.777.280 |
271.626.919 |
277.078.889 |
292.607.858 |
302.195.236 |
304.910.911 |
311.685.121 |
329.507.334 |
|
Percentage of non-performing Loans (Gross) |
4,38 |
4,22 |
4,06 |
4,07 |
4,05 |
3,91 |
4,07 |
3,80 |
3,79 |
3,76 |
3,81 |
3,37 |