1 - 9 van 9 voor performance indicators
20100608114036__risk2009.pdf
... steps; model development model approval model implementation use and monitoring of model performance model validation model development starts with the identification of the model requirement. ... ongoing monitoring of performance of the models. model accuracy, stability, granularity, use of overrides and the data quality are key performance indicators for model performance. model validation framework ...
garantibank.nl
risk2008.pdf
... steps; model development model approval model implementation use and monitoring of model performance model validation model development starts with the identification of model requirement. this ... ongoing monitoring of performance of the models. model accuracy, stability, granularity, use of overrides and the data quality are key performance indicators for model performance. model validation framework ...
garantibank.nl
20110623132908__risk2010v2.pdf
... steps; model development model approval model implementation use and monitoring of model performance model validation model development starts with the identification of the model requirement. ... ongoing monitoring of performance of the models. model accuracy, stability, granularity, use of overrides and the data quality are key performance indicators for model performance. model validation framework ...
garantibank.nl
ar2001.pdf
... years of below trend growth (2001-2002) and consequently deteriorating fiscal performance were also causing concerns over budgetary performance for 2002. germany especially is struggling to remain below the ... methods to base the bank and country analyses on both qualitative and quantitative indicators. in addition to its credit modeling system, the department utilizes external rating reports ...
garantibank.nl
03/8139_Jaarverslag binnen 2002
... levelsofeconomic activity. germany and the netherlands suffered from the worst economic performance in euroland, both growing only 0.2 percent. in franceandspain,growthrateswereat ... liquidity and sustainable performance. international branches romania 2002 has been a year of substantial improvements and further reform in romania from macroeconomic indicators to structural ...
garantibank.nl
20100609140407 GBI AnnualReport2009 pdf
... as commodities. although most developed countries exited reces- sion as of q3, the real economic indicators pointed to an anemic rate of growth; relying on government spending and stock rebuilding. ... and regulatory capital in order to limit the impact of potential events on the financial performance of the bank. risks are continuously monitored through a well-established internal capital adequacy ...
garantibank.nl
Gar.Jaarversl.2005 OS 01
... of increased global energy prices and increasing consumption.the fiscal performance was the most impressive aspect of the macro economic performance in 2005.the budget deficit fell to 2 percent, ... is partially based upon quantitative factors,based on a selective number of macro-economic indicators. market risk experienced management combined with mathematical models is the key to assessing acceptable ...
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Gar.Jaarversl.2003
... nominal appreciation is registered as 21 percent and 5 percent respectively. strong macro economic performance and political stability allowing the government to carry on structural reforms, was not only ... structural changes were key characteristics of romania in 2003.the country's macro- economic indicators and outlook have been very encouraging with robust gdp growth 4.9 percent, accompanied ...
garantibank.nl
20110527161500__GBI Annual Report 2010.pdf
... elevated. the third quarter of the year was a period of consolidation. weakening economic indicators in developed markets, most notably in the us, caused concern as to sustainability of ... continued to duly inform all counterparties as well as the rating agencies about gbi's performance and significant developments in the bank. internally, gbi financial institutions provided timely support and ...
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