1 - 7 van 7 voor measure competition
03/8139_Jaarverslag binnen 2002
... growing international interest for structured trade finance deals. 2002 was also characterised by increased competition in turkish risk related trade finance markets in combination with challenges related to ... and holistic view. additionally, a non-commercial coordination desk has been created to measure and report developments related to trade finance activity,while also leading and supporting ...
garantibank.nl
20100609140407 GBI AnnualReport2009 pdf
... revenues grew and client loyalty remained high in spite of turbulent markets and increased competition. treasury increased its commercial transaction volumes and broadened its core product range. structured finance ... monitored and lies considerably below the regulatory threshold of 20 percent. this standard sensitivity measure has never been above 6.5 percent throughout 2009. report of the managing ...
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ar2006.pdf
... the 3 percent reference value according to the maastrichttreaty. despite lower interest rates and tougher competition in the direct banking markets, the german branch has successfully managed to keep the level ... processes. the granular 22-grade rating scale,which is calibrated on a probability of default measure based upon a statistical analysis of historical defaults,enables the bank to compare the ...
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ar2008.pdf
... bank's clientele. gbi enjoyed strong client loyalty, in spite of turbulent markets and increased competition. target clientele were high net worth individuals and entities that have financial assets higher than ... basis. the granular 22-grade rating scale,which is calibrated on a probability of default measure based upon a statistical analysis of historical defaults,enables the bank to compare the ...
garantibank.nl
ar2007.pdf
... to its customer retention policy, the bank enjoys strong client loyalty,in spite of increasing competition.its targeted clientele are namely those individuals and entities that have financial assets between ... processes. the granular 22-grade rating scale,which is calibrated on a probability of default measure based upon a statistical analysis of historical defaults,enables the bank to compare the ...
garantibank.nl
Gar.Jaarversl.2005 OS 01
... under management. in 2005,gbi continued to enjoy strong customer loyalty,in spite of increasing competition.clients mostly named; technical expertise, product variety, service quality and last but not least the ... risk.the purpose of the internal risk management and control system is to identify and measure the various types of risk associated with banking operations and,where necessary, to take ...
garantibank.nl
20110527161500__GBI Annual Report 2010.pdf
... institutional structure. gbi could cope with the headwinds such as contracting profit margins and increased competition and deliver results surpassing its targets. one of the prominent trends of the year ... var, duration; gap and sensitivity analysis reports prepared regularly by risk management division to measure and monitor the balance sheet risks. it works very closely with the asset liability ...
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