Policy instrument host:garantibank.nl

Policy instrument host:garantibank.nl 



1 - 8 van 8 voor policy instrument


20100608114036__risk2009.pdf
... risk is communicated with and implemented in all business lines. key elements in this policy are know your customer principles, delegating tasks and responsibilities, issuing clear policies, procedures and ... -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, ...
garantibank.nl


20100609140407 GBI AnnualReport2009 pdf
... board garantibankinternationaln.v.annualreport2009 22 liquidity risk the main objective of gbi's liquidity risk policy is to maintain sufficient liquidity in order to ensure safe and sound operations. alco ... 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


ar2006.pdf
... 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 ... risk is communicated to and implemented in all business lines. key elements in this policy are know-your-customer principles,delegating tasks and responsibilities,issuing clear policies,procedures and ...
garantibank.nl


ar2008.pdf
... , risk management policies were strictly adhered to. strict implementation of the know-your-customer policy, and thorough due diligence procedures at the client acceptance stage and following close monitoring, ... -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
... -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 analysis ... ,and referring to rj 140,that stipulates that a change in accounting policy is required if the new accounting policy gives better or more appropriate insight, gbi has decided to change its ...
garantibank.nl


risk2008.pdf
... with country of the obligor and parental support. the final override is the transfer risk policy, which caps the foreign currency rating, based on the country ceiling of the counterpartys country ... -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, which ...
garantibank.nl


20110623132908__risk2010v2.pdf
... risk is communicated with and implemented in all business lines. key elements in this policy are know your customer principles, delegating tasks and responsibilities, issuing clear policies, procedures and ... -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, ...
garantibank.nl


20110527161500__GBI Annual Report 2010.pdf
... dnb's letter of february 2011. also in that meeting the revised remuneration policy has been discussed. this policy will be proposed to be approved by the shareholder in the annual general ... -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 analysis ...
garantibank.nl





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