1 - 7 van 7 voor market discipline
20100608114036__risk2009.pdf
... requirements are part of the so-called pillar 3 of the crd, or disclosures and market discipline and have been included in the financial supervision act (wet op het financieel toezicht wft ... . 2. scope of application the scope of application of the requirement of the disclosures and market discipline directive requirement is confined to gbi including its branches. 3. overview on the risk governance ...
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risk2008.pdf
... requirements are part of the so-called pillar 3 of the crd, or disclosures and market discipline and have been included in the financial supervision act (wet op het financieel toezicht wft ... 31 december 2008. 2. scope of application the scope of application of the disclosures and market discipline directive requirement is confined to gbi including its branches. 3. overview on the risk governance ...
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20110623132908__risk2010v2.pdf
... requirements are part of the so-called pillar 3 of the crd, or disclosures and market discipline and have been included in the financial supervision act (wet op het financieel toezicht wft ... . 2. scope of application the scope of application of the requirement of the disclosures and market discipline directive requirement is confined to gbi including its branches. 4 3. overview on the risk ...
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ar2001.pdf
... german budget deficit was 2.5 percent. however, european governments are likely to maintain fiscal discipline and keep budget deficits and new government debt issuance under check. 15 in december 2001 ... bearing securities included in the trading portfolio are stated at market value.transfers of investments between portfolios are made at market value.profits or losses on transfers are taken to the ...
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20100609140407 GBI AnnualReport2009 pdf
... financing. hopes of global recovery are getting firmer whereas regional and market risks require continuing caution and discipline. with our crises-tested, resilient and rewarding global boutique approach, ... risks. it further prepares hedging and funding strategies based on the prevailing market conditions, forecasted market outlook, balance sheet dynamics and risk parameters. in 2009, asset and ...
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UGBI jaarversl. 2000 binnenw.
... turkish financial system. the policy makers will have to act decisively to retain fiscal discipline, institutionalize monetary credibility and clean up the financial system. following the november and february ... the sensitivity of net interest revenue to interest rate movements in the markets. market risk management market risk is the risk that fluctuations in foreign exchange rates, security prices ...
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20110527161500__GBI Annual Report 2010.pdf
... strength c- subordinate - domestic currency baa2 13 - annual report 2010 customer focus and process discipline produced a set of strong financial and operational results in 2010. capital adequacy ratio (%) ... a comprehensive manner. 32 - annual report 2010 report of the managing board market risk gbi assumes market risk in trading activities by taking positions in debt, foreign exchange, other ...
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