1 - 10 van 11 voor mix fund
ar2001.pdf
... environment and on commodity expertise. diversification of industry sectors,product mix and geographic reach have been tightly woven in order ... the executive board 19 20 diversification,in terms of product mix,geographical market coverage and client base,emerges as a ... contractual maturity, to repay borrowings as they mature and to fund new loans and investments. client saving accounts and time ...
garantibank.nl
03/8139_Jaarverslag binnen 2002
... innovative,flexible and energetic approach produced an enviable quality of service. during 2002, the product mix and geogra- phical coverage have been broadened in line with the diversification strategy.the product ... or at contractual maturity at all times to repay borrowings as they mature and to fund new loans and investments.the primary source of liquidity for the bank's operations is ...
garantibank.nl
ar1999.pdf
... in-depth knowledge of turkish business environment. diversification of industry sectors, diversification of product mix and diversification of geographic reach have been tightly woven in order to better grasp ... straight-line depreciation on the basis of estimated useful economic lives. fund for general banking risks the fund for general banking risks is designed to cover general risks stemming from ...
garantibank.nl
20100608114036__risk2009.pdf
... maintain the day-to- day funding. gbi aims for a well-diversified funding mix in terms of instrument types, fund providers, geographic markets and currencies. rmd monitors liquidity risk through gap analysis ... plan aims to cover as many aspects as possible, including expected profit, liquidity sources, portfolio mix, capital structure and asset quality, in order to reflect the impact of several risk ...
garantibank.nl
20100609140407 GBI AnnualReport2009 pdf
... day funding. the bank aims for a well-diversified funding mix in terms of instrument types, fund providers, geographic markets and currencies. the bank monitors liquidity ... very limited number of selected credible counterparties. gbi has a diversi- fied mix of wholesale and retail funding sources. retail funding,ingeneral,istheprimaryfundingsource,which enablesthebanktohaveapositiveliquiditygapevenin ...
garantibank.nl
ar2006.pdf
... 6.8 billion annual transaction volume and without any scratch on its credit portfolio. product mix as illustrated in chart-1,three clusters of products are included within the volume structured ... the bank aims report 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 ...
garantibank.nl
ar2008.pdf
... netherlands and its branch in germany.in 2008, the main focus of retail banking was fund raising and customer acquisition.during the course of 2008,retail banking deposits grew significantly and ... the day-to-day funding. 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 ...
garantibank.nl
ar2007.pdf
... 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 the ... day-to-day funding. 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 ...
garantibank.nl
risk2008.pdf
... the day-to- day funding. the bank aims for a well-diversified funding mix in terms of instrument types, fund providers, geographic markets and currencies. rmd monitors liquidity risk through gap analysis ... plan aims to cover as many aspects as possible, including expected profit, liquidity sources, portfolio mix, capital structure and asset quality, in order to reflect the impact of several risk ...
garantibank.nl
20110623132908__risk2010v2.pdf
... level of day-to-day funding. gbi aims for a well-diversified funding mix in terms of instrument types, fund providers, geographic markets and currencies. rmd monitors liquidity risk through gap analysis ... plan aims to cover as many aspects as possible, including expected profit, liquidity sources, portfolio mix, capital structure and asset quality in order to reflect the impact of several risk ...
garantibank.nl
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