DEPOSIT-ACCORDING TO TYPES (TOTAL) | ||||||||||||
Currency: Thsd TL | ||||||||||||
YEAR 2024 | JANUARY | FEBRUARY | MARCH | APRIL | MAY | JUNE | JULY | AUGUST | SEPTEMBER | OCTOBER | NOVEMBER | DECEMBER |
Official Institutions' Deposit | 6.630.428 | 6.685.188 | 7.207.772 | 7.538.341 | 8.087.901 | 8.085.235 | 8.439.880 | 9.219.562 | 10.021.648 | 10.103.317 | 10.602.573 | 9.942.767 |
Commercial Institutions' Deposit | 47.235.097 | 48.551.373 | 50.576.981 | 50.325.959 | 50.744.147 | 52.166.569 | 53.034.057 | 56.216.119 | 58.421.271 | 59.789.722 | 59.226.246 | 62.258.284 |
Savings Deposit | 132.712.003 | 137.202.194 | 142.845.979 | 144.233.089 | 147.270.368 | 149.757.619 | 154.244.751 | 161.762.295 | 166.171.882 | 164.561.696 | 165.108.808 | 176.154.859 |
Other Institutions' Deposit | 4.213.809 | 4.639.588 | 4.802.243 | 5.129.840 | 5.228.391 | 5.727.925 | 5.771.431 | 6.170.094 | 6.109.190 | 6.202.230 | 6.949.907 | 7.999.138 |
TOTAL | 190.791.337 | 197.078.343 | 205.432.975 | 207.227.229 | 211.330.807 | 215.737.348 | 221.490.119 | 233.368.070 | 240.723.991 | 240.656.965 | 241.887.534 | 256.355.048 |
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 |
GENERAL TOTAL | 204.737.418 | 210.453.863 | 219.759.043 | 221.166.320 | 224.457.782 | 231.196.882 | 235.402.800 | 247.524.486 | 255.491.253 | 255.616.730 | 259.098.344 | 275.976.066 |