1 - 8 van 8 voor derivative products
03/8139_Jaarverslag binnen 2002
... trade of steel scrap, flat steel products, long steel products, ferro-alloys, non-ferrous metals, grains, fertilizers, petro- chemicals, forestry products,and household electronics. delivering both ... all major emerging markets,developed market equities,securities,metals,currencies,structured and derivative products such as options,in addition to turkish financial instruments.a qualified intermediary ...
garantibank.nl
Gar.Jaarversl.2003
... range to cover all major emerging and developed markets equities, securities and derivative products such as options, in addition to turkish financial instruments.the geographical diversification ... range now covers all major emerging and developed markets equities,securities and derivative products such as options,in addition toturkish financial instruments.geographical diversification of clientele ...
garantibank.nl
20100608114036__risk2009.pdf
... 000) year retail corporates institutions total - - - 341 5.2.6.counterparty credit risk of derivative instruments gbi applies original exposure method for determining the counterparty credit risk exposure. in ... full pricing methodology for the quantification. gbi makes use of behavioral analysis for the products that do not have contractual maturities, i.e. saving deposits. the repricing frequency of ...
garantibank.nl
ar2006.pdf
... , 20 percent,is related to financing semi-finished steel products including semi- finished flat steel products and semi-finished long steel products. after 2004, 2006 was another sterling year for the ... them with treasury services and competitive pricings in all plain vanilla as well as derivative and structured products. 2007 started on a very positive note in financial markets with large inflows ...
garantibank.nl
ar2008.pdf
... monetary policies, low inflation and tight credit spreads generated artificially inflated credit and derivative markets. excessive liquidity caused the largest and broadest asset price bubbles in ... containment policies. volume by products 2008 signified a return to old fashioned trade banking products.while documentary credit and collection products surged,structured products plummeted by more than ...
garantibank.nl
Gar.Jaarversl.2005 OS 01
... , equities, otc and exchange traded derivatives, structured products, commodities, etf's and investment funds. in 2005, the significance of derivatives and structured products became more pronounced both as the share ... and earnings at risk analyses on a weekly basis. gbi enters into interest rate derivative contracts to adjust the interest mismatch inherent in the on-balance financial instruments to ...
garantibank.nl
553001.04 Gar.Jaarversl.2004 BW
... thisvolumearecommodityfinanceloansanddocumentarycredits. private banking comprises the provision of investment banking services and products to high net worth individual and institutional clients.the private ... major emerging and developed markets; equities, securities, foreign exchange,structured and derivative instruments.the geographical diversification by client has accelerated,in parallel to ...
garantibank.nl
20110623132908__risk2010v2.pdf
... - - 341 5.2.6.counterparty credit risk of derivative instruments gbi applies original exposure method for determining the counterparty credit risk exposure of derivative instruments. in this method, the exposure ... ratio, high liquidity buffer, strong retail funding base, limited trading portfolio, no exotic products and strong risk governance structure. the initial analysis has revealed that gbi is ...
garantibank.nl
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