1 - 10 van 13 voor investment rates
ar2001.pdf
... half of its real value against the us dollar (usd). real interest rates remained high throughout the year. moreover, adverse economic developmentsinglobalmarketsaccentuatedthecountry'stroubles. in ... of investment activities investments in fixed assets (18,917) (13,243) participating interests (125) investment portfolio desinvestments in fixed assets 124 169 participating interests 28 investment ...
garantibank.nl
03/8139_Jaarverslag binnen 2002
... their products more efficiently. moreover,financial institutions had been offering very competitive interest rates for savings during 2002.despite these two factors, garantibank international n.v. ... flow out of investment activities investments in fixed assets (2,653) (18,917) participating interests (181) investment portfolio (156,541) desinvestments in fixed assets 10 124 investment portfolio net ...
garantibank.nl
ar1999.pdf
... and the increase of administered prices will be based on expected inflation rates rather than past inflation rates. the new tax regime foresees additional tax receipts of usd 6 ... other liabilities net cash flow out of investment activities investments in fixed assets participating interests investment portfolio desinvestments in fixed assets investment portfolio net cash flow out of financing ...
garantibank.nl
20100609140407 GBI AnnualReport2009 pdf
... structured products, capital guaranteed notes, commodities, exchange traded funds, portfolio loans, islamic finance products and investment funds. 2009 was a very challenging year for the private banking industry. at the ... maximum loss that could occur due to changes in risk factors (e.g. interest rates, foreign exchange rates, equity prices, etc.) for a time interval of one day, with a confidence ...
garantibank.nl
UGBI jaarversl. 2000 binnenw.
... management market risk is the risk that fluctuations in foreign exchange rates, security prices or interest rates could affect the financial position of the bank. market risk ... of investment activities investments in fixed assets (13,243) (6,376) participating interests (125) (12) investment portfolio (218) desinvestments in fixed assets 169 100 participating interests 28 investment portfolio ...
garantibank.nl
ar2006.pdf
... maximum loss that could occur due to changes in risk factors (e.g. interest rates,foreign exchange rates,equity prices,etc.) for a time interval of one day, with a confidence ... flow out of investment activities investments in fixed assets (9,939) (945) participating interests (1,720) investment portfolio (133,140) divestments in fixed assets 2 participating interests 2,327 investment portfolio net ...
garantibank.nl
ar2008.pdf
... maximum loss that could occur due to changes in risk factors (e.g. interest rates,foreign exchange rates,equity prices,etc.) for a time interval of one day,with a confidence level ... ) are taken to the profit and loss account as result on financial transactions'. investment and trading portfolio the investment portfolio shown in the item interest-bearing securities'comprises all investments, which are ...
garantibank.nl
ar2007.pdf
... maximum loss that could occur due to changes in risk factors (e.g. interest rates,foreign exchange rates,equity prices,etc) for a time interval of one day, with a confidence level ... net cash flow out of investment activities investments in fixed assets (11,797) (9,939) investment portfolio (32,888) divestments in fixed assets 2 participating interests 2,327 investment portfolio net cash flow ...
garantibank.nl
Gar.Jaarversl.2005 OS 01
... profitability and asset size through acquiring added market share. germany despite lower interest rates and -tougher competition in the direct banking markets, the germany branch has successfully ... taken to the profit and loss account as result on financial transactions'. investment and trading portfolio the investment portfolio shown in the item interest-bearing securities'comprises all investments, ...
garantibank.nl
Gar.Jaarversl.2003
... instruments,after allowing for taxation. the difference between the spot (current) and forward (contract) rates on hedge transactions is deferred or released to interest income or expense over the ... an asset management company.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.nl
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