1 - 4 van 4 voor price spread
ar2001.pdf
... treasury related risk concentration of the bank and will ensure steady stream of commission and spread earnings. in 2002,treasury and investment services department will expand its client base, transaction ... plus interest or expected market value. other fixed assets these are stated at acquisition price less straight-line depreciation on the basis of estimated useful economic lives. income income ...
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20100609140407 GBI AnnualReport2009 pdf
... elevated commodity prices and excess liquidity in the system could lead to asset price inflation and eventually consumer price inflation in the medium to long term. turkish economy went into a ... ted government support. while volatility remained high throughout the year, market normalization led to significant spread tightening in credit markets. gbi treasury kept its strategic focus on the growth of ...
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ar2006.pdf
... periods of adverse market movements. increased use of credit derivatives and other sophisticated instruments spread the market risks across various participants and helped diversification significantly. gbi's treasury ... port folio,are stated at redemption value.the difference between redemption value and acquisition price is deferred and included in the balance sheet as either a prepayment or ...
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20120427164248__GBI Annual Report 2011.pdf
... gbi also increased its wholesale funding substantially. on average, cost of funding spread of the bank came down compared to the year before. in ... at high levels. most notably in the eurozone, year-end consumer price inflation was 2.8 percent, considerably above the target of ecb ... of 77 percent over 2010's usd 7.5 billion. consumer price inflation ended the year at 10.6 percent. 2012 starts with ...
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