1 - 10 van 10 voor policy measures
03/8139_Jaarverslag binnen 2002
... consulted us in accordance with article 18 of the articles of association on all important measures and decisions takenduringtheyearunderreview. we will discuss the balance sheet as at 31 december 2002 ... participating interests in which the bank has a significant influence on commercial and financial policy are stated at net asset value determined in conformity with the accounting policies applied ...
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ar1999.pdf
... interests participating interests in which ugbi bank has a significant influence on commercial and financial policy are stated at net asset value determined in conformity with the accounting policies applied in ... to the country where a bank or customer has his residence if and insofar government measures would restrict debt servicing. the credit risk of emerging markets receivables is assessed on a ...
garantibank.nl
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 ... monitored by using duration, repricing gap analysis, earning at risk and economic value sensitivity measures. standard stress tests form a basis for the quantification of interest rate risk in ...
garantibank.nl
20100609140407 GBI AnnualReport2009 pdf
... particularly profitable for the banks. furthermore, following the unprecedented crisis, regulatory authorities took radical measures in response to a complicated set of political, fiscal, social and regulatory drivers ... .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. ...
garantibank.nl
UGBI jaarversl. 2000 binnenw.
... consequently, year 2001 presents great challenges to be met by policy makers and the turkish financial system. the policy makers will have to act decisively to retain fiscal discipline, ... ment is key element in assessing the acceptable level of market risk besides mathematical measures. operational risk management operational risks are controlled through a set of detailed but comprehensive ...
garantibank.nl
ar2006.pdf
... operational 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 ... been reviewed,developed and implemented across all business lines in order to integrate the risk measures with the credit decision making process.2007 will be the year for parallel runs ...
garantibank.nl
Gar.Jaarversl.2005 OS 01
... the various types of risk associated with banking operations and,where necessary, to take appropriate measures. the risk management committee (rmc) is the central platform that coordinates the risk management ... periods have not been adjusted for the change in accounting policy for employee benefits,which is allowed under the changed accounting policy. derivatives as a result of the changes in 2005 ...
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 ... monitored by using macaulay duration, duration gap analysis, earning at risk and economic value sensitivity measures. standard stress tests form a basis for quantification of interest rate risk in the banking ...
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 ... by using duration, re-pricing gap analysis, earning at risk and economic value sensitivity measures. standard regulatory stress tests form a basis for the quantification of interest rate risk ...
garantibank.nl
20110527161500__GBI Annual Report 2010.pdf
... financial impact of the regulatory changes in detail and has already taken the necessary measures to sustain the sound financial position and strong business franchise. as the chairman of ... and resulting overheating of their economies with rising inflation. policy makers in various emerging markets, such as brazil and south africa took measures to control or discourage short term capital inflows. ...
garantibank.nl
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