1 - 10 van 122 voor financial services group
Microsoft Word - discussion135.doc
... joined contracts was fairly constant, this means that the average number of municipalities per municipality group has increased in 2008. when considering the budgeting of municipalities, we see that the ... tends to be too extensive, we may expect the effectiveness of wtw services to be lower too. as to the financial and budgeting information on municipalities, two variables may be of particular ...
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Microsoft Word - discussion164.doc
... ratio be- tween charge offs and total earnings as proxy for profitability. the fifth group of variables consists of indicators of liquidity and leverage. as the case of northern ... a., 2001. capital, portfolio, and growth bank behavior under risk- based capital guidelines. journal of financial services research berle, a., means, c., 1933. the modern corporation and private property (macmillian, new ...
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Microsoft Word - discussion36.doc
... group of producer services. if reciprocity forms the basis for gats results, we may expect positive liberalisation results for business services, communication and postal services, financial services, transport and environmental services. environmental services ...
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doc211.pdf
... -free demand deposits. 6 diamond (1997) argues that if a sufficiently large group of consumers has no access to financial markets, banks are still able to improve the allocation of risk by ... of making loans, banks acquire information about clients that may allow them to provide other financial services to these clients more efficiently (rajan, 1992). for example, contact between a loan officer and ...
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Microsoft Word - cpbdoc96
... of peter andrews from the uk financial services authority, johannes hers of the ministry of financial affairs and wijnand van de beek of the dutch financial market authority (afm) were most helpful. ... sum unit linked total mln euro total periodic payment of premium individual group total single premium individual group total direct business source cbs. 6 this periodical payment usually ends at ...
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dp175 systemic risk across sectors pdf
... financial markets diagnostics, models, and financial implications, review of financial studies, vol. 17, no. 2, pp. 581 610. segoviano, m. and c. goodhart, 2009, banking stability measures, fmg discussion papers dp627, financial markets group ... 32.2 wellpoint health netwrks 19.6 20 p n c financial services grp inc 28.1 principal financial group inc 18.5 construction sector max size food sector max ...
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Microsoft Word - discussion154.doc
... from the comments made by seminar audiences at the netherlands authority for the financial markets (afm) and the financial services authority (fsa) in britain; and from very useful suggestions by two referees, ... therefore, volume indices have to be constructed. since the analysis uses cap size as a group-defining characteristic, three volume indices are created large cap volume, mid cap volume, and ...
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Microsoft Word - doc69.doc
... is characterised by the existence of two groups of member states a group of countries that shares a more stern regulation regime (member states 3 and ... 9 services sectors covered by the proposed eu directive are distribution, business services, hotel and restaurant servicesconstruction, and courier services. commercial services sectors not covered by the directive are financial services, transport, ...
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Microsoft Word - discussion49.doc
... . the same holds for quantity restrictions or price-based policies. the third group (regulatory requirements) is, however, different. the simple fact that service providers have ... commercial services', i.e. for business services, financial services, and distribution services. 28 the reason could be that transport services are more standardised than transactions in most other commercial services, so ...
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Microsoft Word - cpbdoc210.doc
... externality on 10 statement for the committee on financial services of the us house of representatives, march 24, 2009. aig-fp refers to aig financial products. 26 other banks. liquidating long-term assets ... correlated portfolios. wealth effects coupled with risk aversion may also lead to contagion if a group of investors lends to the same set of borrowers. suppose investors lend to the same ...
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