1 - 9 van 9 voor energy fund
03/8139_Jaarverslag binnen 2002
... the european central bank (ecb).due to the euro conversion and high-energy prices both headline and core inflation figures,for the euro area, ... ecb's target level of 2 percent. annualised core inflation,ex-energy and unprocessed food,peaked at 2.7 percent in may and ... maturity at all times to repay borrowings as they mature and to fund new loans and investments.the primary source of liquidity for the ...
garantibank.nl
ar1999.pdf
... %. consumer prices reflected increasing oil prices but not those of energy and the increasing price of food and industrial goods. ... depreciation operating expenses value adjustments to receivables transfer from fund for general banking risks total expenses operating result before ... basis of estimated useful economic lives. fund for general banking risks the fund for general banking risks is designed to ...
garantibank.nl
20100609140407 GBI AnnualReport2009 pdf
... fertilizers, grains and edible oil, and in other commodities such as chemicals and electronics. others energy metals agri chart-3 commodity finance corporate lending by commodities report of the managing ... . the bank aims for a well-diversified funding mix in terms of instrument types, fund providers, geographic markets and currencies. the bank monitors liquidity risk through gap analysis, which ...
garantibank.nl
ar2006.pdf
... by a downshift in us and japan.the biggest risks remain to be geopolitical ones. energy and other commodity prices might also cause renewed inflation fears and threaten growth,if they ... ofthe managing board 19 for a well-diversified funding mix in terms of instrument types, fund providers, geographic markets and currencies. liquidity gap analyses for different cash flow scenarios are reported ...
garantibank.nl
ar2007.pdf
... theworldtrade organization projects further growth of about 6 percent for 2007. metals, grains and energy exporting countries, mostly emerging economies, benefited from surging prices and m a activity ... asset management oversees the management of client portfolios and gbi's own investment fund, value growth fund ltd., while also contributing to product development and providing technical support to ...
garantibank.nl
Gar.Jaarversl.2005 OS 01
... ,2005 willberememberedasayearofvolatility. excess stock positions,the euro-dollar parity,china's increasing exports and energy needs,natural disasters in the usa,strong domestic demand in russia and turkey curtailing ... it also ensures that gbi is able to repay borrowings as they mature and to fund new loans and investments. client saving accounts and time deposits are the primary source ...
garantibank.nl
Gar.Jaarversl.2003
... gave a significant boost to fertilizer prices. last but not least, the volume of energy commodities (oil and derivatives coal) largely included those transactions where russian oil firms made ... the principle objectives of this company are to act as investment bankers,investment advisers,fund managers and traders,dealers and brokers in securities. 100 percent stichting garantibank international global ...
garantibank.nl
553001.04 Gar.Jaarversl.2004 BW
... to zero level,led the economic growth. although liquidity conditions remained very loose and energy prices continued to rise,the inflationary outlook remained subdued,with a modest riseindevelopedcountries.consequently ... the asset management department manages two investment funds the value growth fund, in april and the value equity fund in november.both of these funds out-performed their peers and ...
garantibank.nl
20110527161500__GBI Annual Report 2010.pdf
... have been supported by various participations to project finance deals especially in transportation and energy sectors. bilateral and club type lending activity strengthened the bank's credit portfolio with ... . the bank aims for a well-diversified funding mix in terms of instrument types, fund providers, geographic markets and currencies. the bank monitors liquidity risk through gap analysis, which ...
garantibank.nl
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