1 - 10 van 12 voor high risk
AEGON Investment Management B
... constructie van oliepijpleidingen api 1160 standaard voor implementatie van integrity management programs for high consequence areas convention on the prevention of marine pollution by dumping of wastes ... due diligence guidance for responsible supply chains of minerals from conflict-affected and high-risk areas the international convention for the prevention of pollution from ships (marpol 73 78 ...
aegon.nl
Aegon_AR_ENG_Cover
... , through either expanded support services, financing or ownership. these moves illustrate the high importance we place on supporting our traditional distribution partners. in asia, our ... quarterly and annual accounts, including accounting principles, dividends, funding, internal control procedures and risk management, and corporate strategy. we carried out our responsibilities close cooperation with ...
aegon.nl
Aegon_AR_Frontend.indd
... number of employees 55 main office prague main product areas unit-linked, universal life, risk products major customer segments individuals, corporates main distribution channels tied agents, brokers, direct marketing ... -ir aegon.com baltimore, usa ir aegonusa.com share price information1 (in eur) price - high price - low price - year-end price earnings ratio share price information1 (in usd) ...
aegon.nl
AEGON Annual Report 2007.pdf
... . aegon forms new distribution partnership with barclays, one of the united kingdom's leading high street banks. aegon announces new asset management joint venture with china's industrial securities, ... a range of life and annuity reinsurance products. the company's core product mortality risk transfer is offered primarily through coinsurance, but is also available under yearly renewable term ...
aegon.nl
Jaarrekening 2009 AIM B.V. (EN)
... positive return on a year to date basis. the more risk bearing funds profited the most from the global recovery of markets (high yield +49%, emerging market debt +39%, credits +22%, and ... financial risks. the 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 ...
aegon.nl
Jaarrekening 2010 AIM B.V. (EN)
... spreads between northern and southern european countries widened. under these difficult circumstances all our high-risk bond funds achieved a positive absolute return for 2010 as well as outperformance ... . the 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 ...
aegon.nl
Template AEGON 2008
... italiaanse staatsobligaties steeg voor het eerst tot boven bereikte in november bijna prijs van high yield-obligaties werd grotendeels bepaald door macro-economisch nieuws, terwijl de resultaten van de ... b.v. die toezicht naleving fund governance en hierover maandelijks rapporteert aan de chief risk officer van aegon asset management nl, die vervolgens periodiek rapporteert aan de compliance officer ...
aegon.nl
AEGON Paraplufonds IV Jaarverslag 2011 2012 pdf
... een goede maand in september vanwege de mondiale rally in financiele markten. vooral amerikaanse high yield obligaties en staatsobligaties van ontwikkelende landen droegen daar aan bij. aandelen de ... v. die toezicht naleving fund governance principles en hierover maandelijks rapporteert aan de chief risk officer van aegon asset management nl, die vervolgens periodiek rapporteert aan de compliance ...
aegon.nl
Defined-ambition pensions
... for putting in place arrangements that result in the provision of high quality pension schemes'.1 the paper covers a range of topics ... to maintain solidarity between younger and older generations by means of risk-sharing in the pension fund. oxera agenda 3 december 2012 ... of older people in england', ifs report, november. 6 longevity risk is the risk that a pension plan will have to provide benefits to ...
aegon.nl
CIC5012 Beleggingsvisie aug07.indd
... markt. voor europese investment grade bedrijfsobligaties bleef de kredietvergoeding op 0,48% staan. voor euro high yield daalde de vergoeding van 2,24% naar 2,10%. alleen de vergoeding voor ... de uitvoering van het risicomanagement. het stelt ons in staat het risico (de value at risk') van een portefeuille en individuele posities te analyseren. ook kunnen hiermee alle risicofactoren waaraan het ...
aegon.nl
|