11 - 20 van 26 voor debt and equity
DS3243_Jaarverslag
... european and us equity markets and it was the third unsatisfactory trading year in suc- cession. in the first five months of the year, the worldwide equity markets held up reasonably well and ... realised that this investment would not pay for itself quickly enough. debt reduction then became the highest priority and the telecommunication companies therefore deferred the investment required for the ...
asnbank.nl
ASN Beleggingsfondsen Annual Report 2003
... earlier. after that, pri- ces recovered in the equity market. the initial military action in iraq removed much of investors' uncertainty and when it became clear that victory was ... investment remained at low levels and companies focused on reducing their borrowings, with companies in the telecommunications sector making particularly substantial cuts in their debt. spreads narrowed very sharply ...
asnbank.nl
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file?uuid ab643ec3-76b6-4370-b9a2-c6f0a94f75fc&owner 020907a0-07f2-4ecf-9168-d5dcbc28b8d7
... profile and its history with respect to the use of debt, the company's current financial situation and the normal debt level of the company's market and industry. for convertible debt ... and corporations, ifsa's guidance notes on executive equity plan, employee share ownership plan and non-binding shareholder vote on remuneration reports, and other recognised best practice guidance. annual report and ...
snsbank.nl
Investment_Outlook.pdf
... . this has sent government bond yields in greece, and to a lesser extent ireland and portugal, sharply higher. the moun- ting risk of government debt restructuring prompted extra sell-offs by the holders ... new recession (also known as a double dip ). capital market rates have started to fall and equity prices have come under pressure. though the double dip predictors got it wrong in 2010 ...
abnamro.nl
Microsoft Word - Copy Of Chapter_01
... companies, inc. ( standard poor's ), and the global issuer and ing sydney branch have a senior debt rating from moody's investors service limited ( moody's ) and a senior debt rating from fitch ratings ltd ... -losses which may in turn adversely effect net result and equity of the chapter 1 15 global issuer. the european commission may impose conditions and or obligations in the context of applying the ...
ing.nl
Report FM
... change in debt primary budget deficit + (interest rate gdp growth) x debt note public debt and deficits expressed as %gdp, primary budget deficit excludes debt interest accordingly, the growth in public debt can ... ex japan macro economic drivers gdp, %yoy unemployment, % cpi, %yoy interest rates - swap (%) equity, %yoy fx (local currencies per usd) local currency usd (usd per local currency) ( ...
ing.nl
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AMBA 1644140 v14 ABN AMRO RD 2009 DOC
... wording regarding the demerger proposals, proposed timeline of the separation process and update on debt instrument allocation is hereby inserted into the registration document at ... currency exchange rates, commodity prices and equity prices; changes in dutch and foreign laws, regulations and taxes; changes in competition and pricing environments; natural and other disasters; the inability ...
snsbank.nl
Annual-Report-2011.pdf
... . but while politicians and press focus on the euro, the real crisis is one of debt. we are heavily over-indebted; as countries, businesses and individuals. banks have created colossal debt and have leveraged their ... as dividends) will be the medium-term objective is to grow the return on equity to bank's equity in normal economic conditions. this target should be seen as a realistic, long ...
triodos.nl
Aegon_AR_ENG_Cover
... debt and increase the paid-up capital of its aegon preferred shares by eur 2.1 billion. additionally, the transaction widened ownership through a larger free-float of aegon shares and ... provider of group and individual pensions and life products through independent financial advisors (ifas) and a major asset manager, aegon uk showed resilience in the face of uncertain equity markets and ongoing ...
aegon.nl
Jaarrekening 2009 AIM B.V. (EN)
... market debt +39%, credits +22%, and abs +24%). our equity funds ended the year with a positive return as well. the funds focusing on the united states, the far east (excluding japan) and emerging ... main financial risks are credit risk, liquidity risk and market risk, with the principal elements of market risk being interest rate risk and equity price risk. the company is not exposed to significant ...
aegon.nl
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