1 - 8 van 8 voor data sources
ar2001.pdf
... financial institutions did not affect garantibank international n.v.'s liquidity.well-diversified funding sources proved to be resilient, and the bank's liquidity position remained low-cost and ... finalized in the course of 2002. in the last months of 2001, the infrastructure data communication department has realized enterprise communication systems, which handles all our telephone communication in ...
garantibank.nl
ar1999.pdf
... the overnight-money-market placement rate paid by turkish banks. sources of funding non-bank deposits fiducuiary deposits bank sources for this activity. the insurance sales showed a promising growth. ... monitoring credit risks is enhanced by the availability of an on line credit system providing data on the utilisation of credits, industry risk concentrations, expiration of credits, etc. for larger ...
garantibank.nl
20100608114036__risk2009.pdf
... arises mainly from trade finance lending and treasury activities but also from various other sources. gbi is mainly involved in low default portfolios such as sovereigns, banks, large corporate ... 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 is managed by ...
garantibank.nl
ar2008.pdf
... in the interbank market throughout the year. while diversification in funding sources between different segments of wholesale and retail markets continued, the ... audit department has reviewed the use of the models and the data quality. experts from dnb have reviewed the performanceofthemodels,thequalityofallrelatedinformationsystemsandthecomponentsoficaapwithinthescopeofsupervisory review process ...
garantibank.nl
ar2007.pdf
... hand was moderated to 5.0 percent. particularly in the us and japan economic data started to weaken considerably and recession became a highly probable scenario. particularly the us ... were avoided and average duration of assets and liabilities remained matched.diversification in funding sources between different segments of wholesale and retail market continued, with a particular weight in ...
garantibank.nl
risk2008.pdf
... arises mainly from trade finance lending and treasury activities but also from various other sources. gbi is mainly involved in low default portfolios such as sovereigns, banks, large corporate ... 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 is managed by ...
garantibank.nl
20110623132908__risk2010v2.pdf
... arises mainly from trade finance lending and treasury activities but also from various other sources. gbi is mainly involved in low default portfolios such as sovereigns, banks, large corporate ... 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 is managed by ...
garantibank.nl
20110527161500__GBI Annual Report 2010.pdf
... high levels, was managed well to keep the cost of it at optimum levels. funding sources were diversified and balanced between different segments of wholesale and retail markets. the share of ... , accelerating bank-to-bank procedures, assisting with problems or disputes and providing up-to-date data and information about other banks and the financial sector. in 2011, gbi financial institutions aims ...
garantibank.nl
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