1 - 5 van 5 voor economic mechanisms
20100608114036__risk2009.pdf
... for a number of warning signals. the second step has three layers of override mechanisms. these mechanisms include risk factors related with country of the obligor and parental support. ... quantitative methodology for the assessment of concentration risk. concentration risk model is another economic capital methodology which takes into account the main concentration elements in the portfolio, ...
garantibank.nl
Gar.Jaarversl.2003
... its product array and broaden its geographical coverage while continuing to deploy conservative risk mechanisms and rational expense management principles. 8 9 report ofthe executive board figures are in ... reduced the uncertainty. increasing confidence in strong akp government and its imf backed macro economic policies and broad based reforms targeting eu accession created a virtuous circle in ...
garantibank.nl
risk2008.pdf
... for a number of warning signals. the second step has three layers of override mechanisms. these mechanisms include risk factors related with country of the obligor and parental support. ... quantitative methodology for the assessment of concentration risk. concentration risk model is another economic capital methodology which takes into account the main concentration elements in the portfolio, ...
garantibank.nl
20110623132908__risk2010v2.pdf
... for a number of warning signals. the second step has three layers of override mechanisms. these mechanisms include risk factors related with country of the obligor and parental support. ... quantitative methodology for the assessment of concentration risk. concentration risk model is another economic capital methodology which takes into account the main concentration elements in the portfolio, ...
garantibank.nl
20110527161500__GBI Annual Report 2010.pdf
... countries and structures of emu. resolving short term liquidity and solvency issues and establishing the mechanisms for sound governance will be the focus of the region. in 2011, the main ... analyses for the quantification of interest rate risk. sensitivity analyses are based on both economic value and earnings perspectives. interest sensitivity is measured by applying standard parallel yield curve ...
garantibank.nl
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