1 - 10 van 17 voor capital market
03/8139_Jaarverslag binnen 2002
... in the capital and in foreign exchange markets, transaction volumes reached twice the volumes recorded last year.the annual foreign exchange market volume ... market equities,securities,metals,currencies,structured and derivative products such as options,in addition to turkish financial instruments.a qualified intermediary status to intermediate in us capital markets was also obtained.broad market ...
garantibank.nl
ar1999.pdf
... target areas in the netherlands, focussed on the german retail market. in the beginning of 2000, the german savings market will be entered and also a consumer loan portfolio ... banks funds entrusted accruals and deferred income subordinated liabilities paid-in and called-up capital share premium account other reserves shareholders' equity total liabilities and shareholders' equity contingent ...
garantibank.nl
ar2008.pdf
... substantial volumes in all product categories.foreign exchange volumes reached to usd 49.1 billion. capital market volumes were usd 31.6 billion. strong volumes and wider spreads helped the treasury division ... positions. rmd monitors market risk through regulatory and economic capital models and reports to alco. gbi is using value-at-risk (var) methodology as a risk measure for the market risk on the ...
garantibank.nl
ar2007.pdf
... that can be absorbed compared with the earnings power and the capital base.integrated risk management combining credit,market,liquidity,operational,legal and integrity risk into one common view has ... rmd is responsible for the quantification and monitoring of the market,credit and operational risks in terms of economic capital and regulatory capital in order to limit the impact of potential events ...
garantibank.nl
00/1549_UGBI Semi Annual 2000 (Page 1)
... the dutch and german market. the competitive conditions of these saving products sell themselves virtually without advertising cost. in 2000 ugbi bank entered the capital market for the first ... debt securities accruals and deferred income subordinated liabilities paid-in and called-up capital share premium account other reserves net profit shareholders' equity total liabilities and shareholders' ...
garantibank.nl
ar2001.pdf
... market confidence.importantly,the elimination ofturkish banks' net open foreign currency positions provides a level of comfort. furthermore, movement of most private banks towards maintenance of capital ... capital and tier 1 capital with the total of risk-weighted assets and off-balance sheet items and the market risk associated with the trading portfolios.the minimum requirement for the total capital ...
garantibank.nl
20100608114036__risk2009.pdf
... market risk through regulatory and economic capital models and reports to alco and supervisory board audit and risk management committee. 16 below table gives the breakdown of the capital requirement for market risk market risk amount (eur 1,000) foreign exchange risk 3,179 equity 810 trading book risk 281 total capital requirement 4,270 ...
garantibank.nl
20100609140407 GBI AnnualReport2009 pdf
... to the changing market conditions by maintaining a strong liquidity buffer and solvency level. in addition, increasing emphasis has been put on the risk control, efficient use of capital through risk- ... up all trading transactions and positions on an ongoing basis. rmd monitors market risk through regulatory and economic capital models and reports to alco and audit and risk management committee of ...
garantibank.nl
UGBI jaarversl. 2000 binnenw.
... monitor the sensitivity of net interest revenue to interest rate movements in the markets. market risk management market risk is the risk that fluctuations in foreign exchange rates, security prices or interest ... interests 28 investment portfolio net cash flow out of financing activities issue of new capital shares 28,150 capital tax (165) subordinated loan 18,151 debt securities 47,750 93,886 net ...
garantibank.nl
ar2006.pdf
... compared to the earnings power and the capital base. integrated risk management - combining credit, market, liquidity, operational, legal and integrity risk into one ... the quantification and monitoring of the market,credit and operational risk in terms of economic capital in order to limit the ... and industry 44 35.1.d derivatives and capital adequacy requirement 44 35.2 market risk 45 35.2.a currency ...
garantibank.nl
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