Institutional Investors' Indicators — Financial liabilities of in Türkiye
Türkiye: Institutional Investors' Indicators — Financial liabilities of was 2.13 Percentage of GDP in 2025. ▼ Falling
Institutional Investors' Indicators — Financial liabilities of in Türkiye, 2020–2025
Source: Organisation for Economic Co-operation and Development. Measured in Percentage of GDP.
Analysis
In 2025, institutional investors' indicators — financial liabilities of in Türkiye stood at 2.13 Percentage of GDP.
The figure is up 7.4% on the previous year and down 17.5% over ten years.
Institutional Investors' Indicators — Financial liabilities of in Türkiye, year by year
| Year | Percentage of GDP | Change |
|---|---|---|
| 2020 | 2.58 Percentage of GDP | — |
| 2021 | 2.4 Percentage of GDP | -7.0% |
| 2022 | 2.17 Percentage of GDP | -9.7% |
| 2023 | 2.53 Percentage of GDP | +16.5% |
| 2024 | 1.98 Percentage of GDP | -21.6% |
| 2025 | 2.13 Percentage of GDP | +7.4% |
Countries ranked near Türkiye
- 3 France 105.11 Percentage of GDP compare
- 3 Poland 9.93 Percentage of GDP
- 4 Estonia 4.61 Percentage of GDP compare
- 4 Ireland 81.61 Percentage of GDP compare
- 5 Lithuania 3.38 Percentage of GDP compare
- 5 Japan 79.51 Percentage of GDP compare
- 6 Belgium 58.34 Percentage of GDP compare
- 7 Germany 56.8 Percentage of GDP compare
- 8 Norway 54.03 Percentage of GDP compare
- 9 United States of America 50.31 Percentage of GDP compare
More reference data data for Türkiye
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- Exposure to extreme precipitation — Annual precipitation change 86.44 Millimetres per year (2023)
- IPAC Dashboard indicators — Geothermal 12,506 Index (2024)
- Africa's Development Dynamics (AfDD) Table 08 - Sectoral breakdown of 25.31 Percentage of GDP (2022)
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- Africa's Development Dynamics (AfDD) Table 08 - Sectoral breakdown of 13.74 Percentage of GDP (2022)
- Africa's Development Dynamics (AfDD) Table 08 - Sectoral breakdown of 24.7 Percentage of GDP (2022)
- Africa's Development Dynamics (AfDD) Table 20 - External financial 0.0883 Percentage of GDP (2022)
- Africa's Development Dynamics (AfDD) Table 08 - Sectoral breakdown of 0.6342 Percentage of GDP (2021)
Frequently asked questions
- What is institutional investors' indicators — financial liabilities of in Türkiye?
- Institutional investors' indicators — financial liabilities of in Türkiye was 2.13 Percentage of GDP in 2025, according to Organisation for Economic Co-operation and Development.
- What is the highest institutional investors' indicators — financial liabilities of recorded in Türkiye?
- The highest recorded value was 2.58 Percentage of GDP in 2020.
- What is the lowest institutional investors' indicators — financial liabilities of recorded in Türkiye?
- The lowest recorded value was 1.98 Percentage of GDP in 2024.
- How does Türkiye rank for institutional investors' indicators — financial liabilities of?
- Türkiye ranks 6th out of 6 countries with data for 2025.
- Is institutional investors' indicators — financial liabilities of rising or falling in Türkiye?
- Over the last ten years it is down 17.5%. The long-run trend across the full record is falling.
- Where does this Türkiye data come from?
- The figures come from Organisation for Economic Co-operation and Development, published as part of Institutional Investors' Indicators — Financial liabilities of insurance corporations. Statizoid updates them automatically from the source API.
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About this data
The Institutional Investors’ Indicators table shows total financial assets and liabilities of the three types of institutional investor - investment funds, insurance corporations and pension funds - as a percentage of GDP. It also provides a breakdown of the total assets (liabilities) of each type of institutional investor by main financial instrument category: currency and deposits; debt securities; loans; equity and investment fund shares; insurance, pensions and standardised guarantees; financial derivatives and employee stock options; and other accounts receivable/payable. The financial instrument categories are shown as a share (percentage) of the total assets (liabilities) of each type of institutional investor. For investment funds, there is also a breakdown of total assets by type of investment fund: real estate, equity, bond, mixed, hedge and other funds; and a breakdown of total assets and liabilities by whether they belong to money market funds (MMFs) or non-MMFs and to open-ended or closed-ended funds. All the indicators in this dataset are derived from the Institutional Investors' Assets and Liabilities dataset.