1 - 5 van 5 voor key uncertainties
Teb Nv 2001 3435
... and provisions total assets share capital own funds interest bearing assets interest bearing liabilities key ratios solvency ratio total assets own funds (times) return on average own funds ... of the september 11 attack, prospects for the global economy remain subject to significant uncertainties. however, positive expectations are gradually gaining strength following signs of a modest economic ...
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untitled
... interest rates at high levels. in other words, market concern about election-related uncertainties has probably 19 resulted in a higher risk premium on turkish fixed income assets ... bank management, comprehensive management information reporting tools and well-designed monitoring cycles are key elements in assessing acceptable levels of market risk exposure. compliance operational risk operational ...
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Tebnv Orj
... and provisions total assets share capital own funds interest bearing assets interest bearing liabilities key ratios solvency ratio return on average own funds total assets own funds (times) ... maintained strong capital adequacy and liquidity ratios and is well positioned to withstand these uncertainties. the main objective still remains to become the most effective and sought after financial ...
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Tebnv2003
... interest bearing liabilities funds entrusted trade finance volume loans and advances to private sector key ratios solvency ratio return on average funds total assets own funds (times) operational ... maintained its cautious stance regarding position, liquidity and interest rate risks, in view of uncertainties and resultant volatility in the market. report of the management board 17 risk management ...
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Microsoft Word - MBreport2010-08-04Final _final_.doc
... scenario, customer flows will gain more importance. hedging requirements of customers to avoid uncertainties will dominate business needs. financial institutions the economy bank n.v. has ... bank management, comprehensive management information reporting tools and well-designed monitoring cycles are key elements in assessing acceptable levels of market risk exposure. treasury is responsible ...
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