1 - 9 van 9 voor emerging conservative
ar2001.pdf
... institutions department's detailed country analyses and strengthening business ties in the targeted emerging countries created opportunities for all the commercial departments. the financial institutions department ... finance.the repercussions of the global recession on emerging markets prompted the management to take a more prudent and conservative business strategy in romania. despite the decrease ...
garantibank.nl
03/8139_Jaarverslag binnen 2002
... have been maintained at a stable level of eur 1,520 million due to the conservative growth policy of garantibank international n.v.the bis ratio of the bank is 24 ... been broadened in line with the diversification strategy.the product range now covers all major emerging markets,developed market equities,securities,metals,currencies,structured and derivative products such as options,in ...
garantibank.nl
ar1999.pdf
... in many respects, 1999 has been a very significant year for turkey. repercussions of global emerging markets crises have gradually faded while commodity prices have moved upwards. a devastating earthquake ... focussed on the turkish community. there is a high potential in penetrating the somewhat conservative german consumer market. in our branches in romania and italy deposit taking efforts will ...
garantibank.nl
20100609140407 GBI AnnualReport2009 pdf
... tailor- made and country specific financing solutions with a holistic view. other banks in emerging and developed markets, physical commodity traders, importers, exporters and other service providers engaged ... increasing activity level as our clients will pursue new opportunities that meet our conservative finance criteria. the project finance department energized its resources on short to medium ...
garantibank.nl
ar2008.pdf
... -made and country-specific financing solutions with a holistic view.other banks in emerging and developed markets,physical commodity traders,manufacturers and producers engaged in international ... the beginning of the year. our internationally experienced staff, sophisticated risk management tools, conservative credit policies and credit management procedures were the major critical success factors. ...
garantibank.nl
Gar.Jaarversl.2003
... diversify 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 ... continued and product diversification was increased.the product range now covers all major emerging and developed markets equities,securities and derivative products such as options,in addition ...
garantibank.nl
20110623132908__risk2010v2.pdf
... the portfolio, namely single name concentration, country concentration and sector concentration, in a more conservative manner. the outcomes of the concentration risk model are supplemented by various stress tests. ... with the requirements of the policy rule on the treatment of concentration risk in emerging countries , which is a specific regulation on concentration risk entered that into force in ...
garantibank.nl
20110527161500__GBI Annual Report 2010.pdf
... returning to a healthy growth path is resting on emerging markets' keeping up their strong economic performances. the biggest challenge facing the emerging markets is the influx of abundant liquidity and ... other securities and commodities as well as in equivalent derivatives. the bank has historically been conservative while running the trading book. hence the main strategy is to keep the end of ...
garantibank.nl
20120427164248__GBI Annual Report 2011.pdf
... made and country specific. other banks in developed and emerging markets, physical commodity traders, importers, exporters, ... emerging markets' exports in world trade is reaching to the half of the volume while intra emerging market trade is about to take 15 percent share. clearly, the weight of emerging ... 77 percent owing to the gbi's conservative lending policy and improving credit quality in the ...
garantibank.nl
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