1 - 8 van 8 voor price spreads
20100609140407 GBI AnnualReport2009 pdf
... one effect of this environment was drastic price increases in financial assets such as equities and commodities accompanied by sharp tightening in credit spreads. report of the managing board ... 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 ...
garantibank.nl
ar2006.pdf
... exchange traded derivatives, structured products, commodities, etf's and investment funds. in spite of narrowing spreads and tightening margins in its core markets,treasury was able to generate very satisfactory ... 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 an ...
garantibank.nl
ar2008.pdf
... monetary policies, low inflation and tight credit spreads generated artificially inflated credit and derivative markets. excessive liquidity caused the largest and broadest asset price bubbles in the world's history ... tight liquidity conditions triggered hard sell-offs in emerging market assets. wider credit spreads and lingering problems in accessing credit lines had put great pressure on countries ...
garantibank.nl
ar2007.pdf
... confined to subprime sector. credit markets showed increasing tensions as liquidity dried up and spreads widened. central banks around the world were forced to provide liquidity to financial institutions ... years. improvement of properties 50 years. other fixed assets these are stated at acquisition price less straight-line depreciation on the basis of estimated useful economic lives. depreciation ...
garantibank.nl
Gar.Jaarversl.2005 OS 01
... and its effects on global trade and production allocations will carefully be monitored,the price volatilities in our focus commodities are expected to be relatively more accommodative in comparison ... by high liquidity,record inflows to riskier asset classes including emerging markets and diminishing spreads.high-risk appetites led to the stretching of valuations and periods of corrections were ...
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Gar.Jaarversl.2003
... 1 billion,which recorded as one of the highest in south eastern europe in 2003.spreads on external debt have tightened,and yields on domestic debt have declined steadily.despite all ... its strategic position that it assumed with appropriate timing.it was also able to exploit price fluctuations togenerateshort-term tradingincome. thetrading desk also provided superior product know-how and timely market ...
garantibank.nl
20110527161500__GBI Annual Report 2010.pdf
... imf. although it succeeded to calm down the markets' nerves, credit spreads remained elevated. the third quarter of the year was a period ... the year-end. most notably in the eurozone, year-end consumer price inflation was 2.4 percent, above the target of ecb. in ... market share in the german retail market without widening its offered spreads. gbi's strong brand recognition and focus on service quality ...
garantibank.nl
20120427164248__GBI Annual Report 2011.pdf
... debt crisis. confidence with respect to a comprehensive resolution declined. credit markets came under pressure, spreads went considerably up, capital markets functioned poorly and even the long term viability of eurozone ... the headline inflation readings at high levels. most notably in the eurozone, year-end consumer price inflation was 2.8 percent, considerably above the target of ecb while in us ...
garantibank.nl
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