1 - 10 van 26 voor country risk
blob.aspx?id 10039
... from the face value if there is debtor or country risk. interest rate risk in principle, the asn-novib fonds bears an interest rate risk, but interim changes in market interest rates do ... as debtor risk. this risk is limited by investing only in financial intermediaries who bear the credit risk on their clients and form their own provisions for this. the greatest risk is country risk. economic ...
asnbank.nl
asn-jvs-NOVIB-eng.indd
... risk. this risk is limited by investing only in financial intermediaries who bear the credit risk on their clients and form their own provisions for this. the greatest risk is country risk. economic difficulties and extensive currency depreciation can lead to intermediaries being unable to meet their own obligations. the manager tries to limit this risk through ...
asnbank.nl
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Teb Nv 2001 3435
... adjustment to receivables'. there is no country risk provision in the income statement for 2001, and the new regulation from dnb to include the country risk exposure in the solvency ratio, has ... country risk policy of dnb, the country risk provision, which was presented as value adjustment to receivables at the annual accounts of 1999, is reversed as of december 31, 2000. there is no country risk ...
tebnv.nl
Teb N.V. Kapak 2000
... effect of country risk provision on the retained earnings is neutralized and the retained earnings as of december 31, 2000 is calculated such that the directive of dnb on country risk provision ... equipment. value adjustment to receivables country risk provision was presented as value adjustment to receivables at the annual accounts of 1999. due to the change in the country risk policy of dnb, the ...
tebnv.nl
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binnenwerk ATbank.indd
... , mainly credit risk country risk liquidity risk market risk operational risk reputation and compliance risk for further information relating to policies, risk and risk management we refer ... country risk geographic concentration is covered under the bank's country risk framework. country risk is defined as exposure to cross-border risk, specifically convertibility and transfer risk, i.e. the risk ...
atbank.nl
untitled
... country risk geographic concentration is covered under the bank's country risk framework. country risk is defined as exposure to cross-border risk, specifically convertibility and transfer risk, i.e. the risk ...
atbank.nl
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ar2001.pdf
... dutch central bank replaced its provisioning requirements for country risk by additional capital.the capital of was from the implementation of these new country risk policies sufficient enough to meet the ... of strict credit procedures in line with the prudent risk management policy of the bank, contribute to the country risk diversification strategy of the bank, shorten the turnaround time ...
garantibank.nl
03/8139_Jaarverslag binnen 2002
... relatedturkish risk and has been increasing its activity in the black sea region. such activity is also supported by the origination capacity of trade commodity finance. as well as conti- nuing country risk ... v.with an edge in coming up with country-specific solutions. in structured trade finance the focus is on syndicated deals where the risk party is an internationally recognized corporation with ...
garantibank.nl
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analysis individual accounts unemployment risk netherlands pdf
... first period all individuals are working. in the second period individuals run the risk of becoming unemployed. the risk of unemployment consists of an exogenous shock and a job search decision by ... austria. the positive relation between benefit duration and unemployment duration is also supported by cross-country studies, see e.g. nickell and layard (1999). lalive et al. (2004) show that the ...
cpb.nl
dp175 systemic risk across sectors pdf
... a more regional scope such that the sensitivity to the country-wide market index is smaller. the largest twenty banks ... is restricted to a cross-sectional average of bivariate risk measures, whereas our risk measure directly considers twenty firms for each period. ... the banking sector imply that tail risk of common risk factors, such as market risk or interest rate risk, plays a relatively large role ...
cpb.nl
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