1 - 10 van 15 voor excess volatility
Microsoft Word - Holland 110111
... output decline, cf. figure 4. there has thus been some excess volatility figure 4 actual and predicted employment, 1991.4 2010. ... figure 16 labour market volatility and persistence note persistence is the autocorrelation for unemployment over the period 19702007. volatility is the ... nzl nor por spa swe ch tur uk usa persistence volatility unemployment volatility and persistence aut bel can che ger spa ...
cpb.nl
Microsoft Word - voorblad.docx
... volatility'). bubbles are costly because they lead to a misallocation of capital and increase the probability of a financial crisis as they collapse at some point in time. excess volatility is costly to society, because it raises firms' cost of investment and increases the probability of a financial crisis. a financial transaction tax has been claimed to reduce excess volatility ...
cpb.nl
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AEGON Annual Report 2007.pdf
... 2007 13 chapter one local knowledge. global power. designed effectively to exclude the impact of excess volatility on earnings from certain of the group's fair-value financial investments. in addition to ... there are no other parties holding a capital voting interest in aegon n.v. in excess of the thresholds established under dutch securities law. a strong capital base aegon's common ...
aegon.nl
Microsoft Word - Final Terms v2 Clean NL0006205312.doc
... the netherlands calculation agent n.v., 250 bishopsgate, london index notes series rici enhanced agriculture excess return indexsm capital protected quanto notes safe 100 agri nominal amount eur 1,000 ... page where information about the past and future performance of the underlying and its volatility can be obtained bloomberg code riehaer index index disclaimer jim rogers , james beeland rogers, ...
abnamro.nl
Microsoft Word - Russia - 270907- binnenwerk - final.doc
... as oil, gas, gold, nickel and many others that russia has in abundance, have created excess cash in both the public and private sectors and a positive current account balance. ... with pitfalls. the most common problems concern the complexity of the tax system, corruption, regulatory volatility, the lack of regulatory transparency, government bureaucracy, weak contract legislation, the absence of a ...
abnamro.nl
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PP FAF 2007 v10 definitief.PDF
... emerging markets fund (aandeel f) vermeer multi strategy fund o vermeer low volatility fund o vermeer mid volatility fund raad van commissarissen de leden van de raad van commissarissen zijn ... beleggingsinstelling markt in het algemeen, de zogenaamde excess return' (of ook wel out - of underperformance genoemd). de variabiliteit van deze excess return' wordt ook wel aangeduid als selectierisico'. ...
frieslandbank.nl
PP FEF 2007 v10 definitief.PDF
... emerging markets fund (aandeel f) vermeer multi strategy fund o vermeer low volatility fund o vermeer mid volatility fund raad van commissarissen de leden van de raad van commissarissen zijn ... de beleggingsinstelling markt in het algemeen, de zogenaamde excess return' (of ook wel out- of underperformance genoemd). de variabiliteit van deze excess return' wordt ook wel aangeduid als selectierisico'. ...
frieslandbank.nl
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Teb Nv
... derivatives prices, as well as related factors such as interest rates, credit spreads, implied volatility or implied correlation. non-tradable market parameters are derived from assumptions based on models ... trading and marketable securities portfolio set by the supervisory board is controlled and any excess is reported by the risk management department. compliance with tenor and amount limitations ...
tebnv.nl
20100609140407 GBI AnnualReport2009 pdf
... ; relying on government spending and stock rebuilding. real consumer demand remained weak and excess capacity burdened the corporate sector. unemployment rates continued to edge higher as companies ... as markets grew more confident with the help of unpreceden- ted government support. while volatility remained high throughout the year, market normalization led to significant spread tightening in ...
garantibank.nl
ar2006.pdf
... attract more investments and maintained their appeal in spite of high volatility and sharp corrections experienced during the year.during the second ... deficit is estimated to be at usd 32 billion,in excess of 8.7 percent of gdp. despite slower growth,following ... was characterized by low volatility in the financial markets for most of the year with the exception of extreme volatility in may and ...
garantibank.nl
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