Türk Lirası Zorunlu Karşılıklara Uygulanan Faiz Oranları / Interest Rates Applied to Required Reserves in Turkish Liras
Yürürlük Tarihi / Effective Date Faiz Oranı / Interest Rate (%)
17.09.2010-14.10.2010 (*)                                      5,00   
20.11.2009-16.09.2010                                      5,20   
16.10.2009-19.11.2009                                      5,40   
18.09.2009- 15.10.2009                                      5,80   
19.08.2009-17.09.2009                                      6,20   
17.07.2009-18.08.2009                                      6,60   
17.06.2009- 16.07.2009                                      7,00   
15.05.2009- 16.06.2009                                      7,40   
17.04.2009-14.05.2009                                      7,80   
20.03.2009-16.04.2009                                      8,40   
20.02.2009-19.03.2009                                      9,20   
16.01.2009-19.02.2009                                     10,40   
19.12.2008-15.01.2009                                     12,00   
12.12.2008-18.12.2008                                     13,00   
20.11.2008-11.12.2008                                     12,18   
18.07.2008-19.11.2008                                     12,56   
17.06.2008-17.7.2008                                     12,18   
16.05.2008-16.06.2008                                     11,81   
15.02.2008-15.05.2008                                     11,43   
18.01.2008-14.02.2008                                     11,62   
14.12.2007-17.01.2008                                     11,81   
15.11.2007-13.12.2007                                     12,18   
17.10.2007-14.11.2007                                     12,56   
14.09.2007-16.10.2007                                     12,93   
21.07.2006-13.09.2007                                     13,12   
26.06.2006-20.07.2006                                     12,93   
08.06.2006-25.06.2006                                     11,25   
28.04.2006-07.06.2006                                      9,93   
04.01.2006-27.04.2006                                     10,12   
24.05.2005-03.01.2006                                     10,25   
11.04.2005-23.05.2005                                     11,00   
07.02.2005-10.04.2005                                     11,75   
25.08.2004-06.02.2005                                     12,50   
22.03.2004-24.08.2004                                     14,00   
26.12.2003-21.03.2004                                     16,00   
15.10.2003-25.12.2003                                     19,00   
19.09.2003-14.10.2003                                     21,00   
19.08.2003-18.09.2003                                     23,00   
09.07.2002 - 18.08.2003                                     25,00   
24.05.2002 - 08.07.2002                                     22,00   
08.08.2001 - 23.05.2002                                      40,00   
Bankacılık ve Finansal Kuruluşlar Genel Müdürlüğü
Banking and Financial Institutions Department
(*) 2010/9 sayılı Zorunlu Karşılıklar Hakkında Tebliğde Değişiklik Yapılmasına Dair Tebliğ ile Türk lirası zorunlu karşılıklara faiz ödenmesi uygulamasına son verilmiştir. 
(*) The remuneration of Turkish liras required reserves has been ended based on the Communiqué No 2010/9 on the Amendment to the Communiqué on Reserve Requirements