1 - 10 van 11 voor dynamic effects
ar2001.pdf
... v.managed its well-selectedturkish bank exposure professionally in 2001 and proved the importance of dynamic analyses and close client contacts. additionally, the department upgraded its risk management methods to ... are converted at the rate applicable on trans- action date.the resulting exchange rate effects are accounted for as result on financial transactions'in the profit and loss account ...
garantibank.nl
03/8139_Jaarverslag binnen 2002
... resource is the key to the bank's success. the bank has a group of dynamic,qualified,loyal and experienced personnel. the executive board sincerely thanks all staff for their valuable ... foreign currencies are converted at the rate applicable on transaction date.the resulting exchange rate effects are accounted for as result on financial transactions'in the profit and loss account except ...
garantibank.nl
ar1999.pdf
... real interest rates and significant dependence on short-term foreign and domestic financing. but a dynamic private sector, a cautious exchange rate policy, and the increasing openness of the economy ... foreign currencies are converted at the rate applicable on transaction date. the resulting exchange rate effects are accounted for as result on financial transactions' in the profit and loss account ...
garantibank.nl
20100608114036__risk2009.pdf
... documentation (credit facility) is related to operational risk. the credit facility follow-up is a dynamic process and distinguished in performing, watch list, default, provision and write-off stages. all shifts ... a confidence level of 99.9%. var is supplemented by stress tests to determine the effects of potentially extreme market developments on the value of market risk sensitive exposures. 8.4 ...
garantibank.nl
UGBI jaarversl. 2000 binnenw.
... . the european central bank will continue to pursue a stability- oriented monetary policy. turkey the effects of the three-year disinflation and stabilization program backed by imf, which turkey started to ... to classify the banks. the internal rating system and tiering tables are updated on a dynamic basis to reflect the changes in the financial markets and clients' organizations. the monitoring is ...
garantibank.nl
ar2006.pdf
... adjustment of eur 2.6 million due to the increased dynamic provision resulting from thegrowthinrisk-weightedassets.in2005valueadjustments toreceivablesstillshowedapositiveadjustment ofeur168 thousand. thebalancesheetgrew15percentoreur344million, ... the rate applicable on transaction date.the resulting exchange rate effects are accounted for as result on financial transactions'in the ...
garantibank.nl
ar2007.pdf
... 2.6 million negative) can be explained by a change in the dynamic provisioning policy. thebalancesheetgrew19percentoreur539million,whichontheassetsideismainlyreflectedinanincreaseincash(eur305million), loans and advances (eur 93 million) ... converted at the rate applicable on transaction date.the resulting exchange rate effects are accounted for as result on financial transactions'in the profit and ...
garantibank.nl
risk2008.pdf
... documentation (credit facility) is related to operational risk. the credit facility follow-up is a dynamic process and distinguished in performing, watch list, default, provision and write-off stages. all shifts ... a confidence level of 99.9%. var is supplemented by stress tests to determine the effects of potentially extreme market developments on the value of market risk sensitive exposures. 8.4 ...
garantibank.nl
20110623132908__risk2010v2.pdf
... documentation (credit facility) is related to operational risk. the credit facility follow-up is a dynamic process and distinguished in performing, watch list, default, provision and write-off stages. all shifts ... a confidence level of 99.9%. var is supplemented by stress tests to determine the effects of potential extreme market developments on the value of market risk sensitive exposures. 8.4 ...
garantibank.nl
20110527161500__GBI Annual Report 2010.pdf
... at the heart of value creation. value 23 - annual report 2010 product innovation and a dynamic product focus played a key role in the performance. gbi's product range included a ... confidence level of 99.9 percent. var is supplemented by stress tests to determine the effects of potentially extreme market developments on the value of market risk sensitive exposures. interest rate ...
garantibank.nl
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