1 - 10 van 13 voor market risk
Microsoft Word - Jaarrekening 2009 Aegon Custody BV.doc
... hold financial instruments which give rise to concentrations of risk. liquidity risk the company has very limited exposure to liquidity risk as balances are intercompany amounts with other aegon ... because in economic terms all the risk and benefits associated with the asset are preserved. this includes credit risk, settlement risk, country risk and market risk. the assets are transferred in return ...
aegon.nl
Jaarrekening 2010 AEGON Custody B.V. (EN)
... hold financial instruments which give rise to concentrations of risk. liquidity risk the company has very limited exposure to liquidity risk as balances are intercompany amounts with other aegon ... because in economic terms all the risk and benefits associated with the asset are preserved. this includes credit risk, settlement risk, country risk and market risk. the assets are transferred in return ...
aegon.nl
Jaarrekening 2009 AIM B.V. (EN)
... 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 currency risk other ... 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 currency risk ...
aegon.nl
Jaarrekening 2010 AIM B.V. (EN)
... 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 currency risk other ... 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 currency risk ...
aegon.nl
Aegon_AR_ENG_Cover
... wide approach to risk in the light of the recent highly volatile market environment, we have extensively re-examined our product portfolio and pricing strategies in terms of risk and reward. ... objective of maximizing long-term earnings while managing to appropriate levels of risk proved challenging in 2002, as market-wide corporate bond defaults escalated to unprecedented levels. proactive efforts to ...
aegon.nl
Aegon_AR_Frontend.indd
... through new acquisitions. organic growth initiatives included increasing our penetration of the middle market through the development of new products and accelerated agent recruitment. targeting the worksite, ... and risk management, and this discipline has been instrumental in driving our solid financial results and meeting the long-term expectations of our stakeholders even during changing market ...
aegon.nl
AEGON Annual Report 2007.pdf
... provides 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 ... million. increase new business margins to 22%. business margins 20.5%. achieve a market share of 10%. market share other countries minimum 30%-35% share of overall value of new business. 'other ...
aegon.nl
AEGON Paraplufonds IV Jaarverslag 2011 2012 pdf
... federal reserve. aandelenstrategieen lieten goede rendementen zien, geleid door long short equity en equity market neutral. global macro managers hadden ook een goede maand in september vanwege 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
... introduction of a new category of pensions in the uk market defined-ambition (da) pensions. so, what are they, what will they ... the introduction of a new category of pensions in the uk market defined-ambition (da) pensions. dr thurstan robinson, aegon global pensions, and ... older people in england', ifs report, november. 6 longevity risk is the risk that a pension plan will have to provide benefits ...
aegon.nl
CIC5012 Beleggingsvisie aug07.indd
... yield daalde de vergoeding van 2,24% naar 2,10%. alleen de vergoeding voor emerging market debt ging omhoog van 1,80% naar 1,90%. alternatieve beleggingen vastgoed uit de gratie ... 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
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