Bank regulatory capital to risk-weighted assets in Türkiye

Türkiye: Bank regulatory capital to risk-weighted assets was 18.7% in 2020. ▼ Falling

Latest (2020)
18.7%
Change on year
up 1.8%
World rank
68th
of 141 countries
All-time high
30.9%
in 2003
All-time low
8.2%
in 1999
Years of data
22
1999–2020

Bank regulatory capital to risk-weighted assets in Türkiye, 1999–2020

10152025301999200920201999: 8.2 %2000: 17.3 %2001: 15.3 %2002: 24.4 %2003: 30.9 %2004: 28.2 %2005: 23.7 %2006: 21.9 %2007: 18.9 %2008: 18 %2009: 20.6 %2010: 19 %2011: 16.6 %2012: 17.9 %2013: 15.3 %2014: 16.3 %2015: 15.6 %2016: 15.6 %2017: 16.8 %2018: 17.3 %2019: 18.4 %2020: 18.7 %

Source: Financial Soundness Indicators Database (fsi.imf.org), International Monetary Fund (IMF). Measured in %.

Analysis

Türkiye recorded 18.7% for bank regulatory capital to risk-weighted assets in 2020.

That represents a change of up 1.8% on the previous year and down 1.2% over ten years.

Over the whole period, bank regulatory capital to risk-weighted assets in Türkiye peaked at 30.9% in 2003 and was at its lowest, 8.2%, in 1999.

That places Türkiye 68th out of 141 countries with data for 2020, putting it in the middle of the range.

The long-run direction has been consistently falling across the 22 years of available data.

Bank regulatory capital to risk-weighted assets in Türkiye, year by year

Annual values for Bank regulatory capital to risk-weighted assets (%) in Türkiye, 1999 to 2020.
Year % Change
1999 8.2%
2000 17.3% +111.0%
2001 15.3% -11.6%
2002 24.4% +59.5%
2003 30.9% +26.6%
2004 28.2% -8.7%
2005 23.7% -16.0%
2006 21.9% -7.6%
2007 18.9% -13.7%
2008 18.0% -4.8%
2009 20.6% +14.4%
2010 19.0% -7.9%
2011 16.6% -12.8%
2012 17.9% +8.1%
2013 15.3% -14.6%
2014 16.3% +6.5%
2015 15.6% -4.4%
2016 15.6% -0.0%
2017 16.8% +8.2%
2018 17.3% +2.7%
2019 18.4% +6.4%
2020 18.7% +1.8%

Averages by decade

DecadeAverage LowestHighest Years
1990s 8.2% 8.2% 8.2% 1
2000s 21.9% 15.3% 30.9% 10
2010s 16.9% 15.3% 19.0% 10
2020s 18.7% 18.7% 18.7% 1

Countries ranked near Türkiye

  1. 65 Paraguay 19.1% compare
  2. 66 Algeria 19.0% compare
  3. 67 Malaysia 18.9% compare
  4. 69 Bahrain 18.7% compare
  5. 70 Vanuatu 18.7% compare
  6. 71 Pakistan 18.6% compare

See the full ranking of 141 places →

More financial sector data for Türkiye

All data for Türkiye →

Frequently asked questions

What is bank regulatory capital to risk-weighted assets in Türkiye?
Bank regulatory capital to risk-weighted assets in Türkiye was 18.7% in 2020, according to Financial Soundness Indicators Database (fsi.imf.org), International Monetary Fund (IMF).
What is the highest bank regulatory capital to risk-weighted assets recorded in Türkiye?
The highest recorded value was 30.9% in 2003.
What is the lowest bank regulatory capital to risk-weighted assets recorded in Türkiye?
The lowest recorded value was 8.2% in 1999.
How does Türkiye rank for bank regulatory capital to risk-weighted assets?
Türkiye ranks 68th out of 141 countries with data for 2020.
Is bank regulatory capital to risk-weighted assets rising or falling in Türkiye?
Over the last ten years it is down 1.2%. The long-run trend across the full record is falling.
Where does this Türkiye data come from?
The figures come from Financial Soundness Indicators Database (fsi.imf.org), International Monetary Fund (IMF), published as part of Bank regulatory capital to risk-weighted assets (%). Statizoid updates them automatically from the source API.

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Bank regulatory capital to risk-weighted assets in Türkiye. Statizoid, drawing on Financial Soundness Indicators Database (fsi.imf.org), International Monetary Fund (IMF). Retrieved 09 September 2026, from https://financial-sector.statizoid.com/stat/bank-regulatory-capital-to-risk-weighted-assets-percent/turkiye/

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About this data

Indicator
Bank regulatory capital to risk-weighted assets (%)
Unit
%
Source
Financial Soundness Indicators Database (fsi.imf.org), International Monetary Fund (IMF)
Licence
CC BY 4.0 (World Bank Open Data)
Coverage
141 places, 2,480 data points, 1998–2020
Last refreshed

Reported by IMF staff. Note that due to differences in national accounting, taxation, and supervisory regimes, these data are not strictly comparable across countries.