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ar2001.pdf
... one million private sector workers lost their jobs and consumer confidence fell dramatically.while public discontent was becoming louder,political disputes undermined the rebuilding of confidence even though ... the bank's policy to control operational risk is communicated to all staff levels. key elements in this policy are know your customer principles, delegate tasks and responsibilities, ...
garantibank.nl
03/8139_Jaarverslag binnen 2002
... positions in interest and foreign currency risk. experienced management combined with mathematical models is the key to assessing acceptable levels of market risk. garantibank international n.v.has proved its ... dependent on the prevailing interest rate. the breakdown by issuer is as follows issued by public bodies 219,390 48,584 issued by others this item covers interest-bearing securities which ...
garantibank.nl
ar1999.pdf
... major structural problems of the country. taking into account the past unsustainable developments and public expectations, the government has decided to embark upon a three year imf -sponsored stabilization ... started facilitating branch co-ordination efforts. ugbi bank milan will continue to play a key role in intermediating trade flows between italy and said countries while further building up ...
garantibank.nl
20100608114036__risk2009.pdf
... to fulfil several disclosure requirements. the aim is to make information available to the public relating to solvency aspects and risk profiles of the institution. the requirements are part ... gbis policy to control operational 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 ...
garantibank.nl
20100609140407 GBI AnnualReport2009 pdf
... outlook the world economy tumbled into 2009 as the recession intensified. vigorous fiscal, monetary and public credit policy easing in all major developed and emerging countries put a floor under the ... policy to control operational risk is communica- ted with and implemented in all business lines. key elements in this policy are know your customer prin- ciples, delegating tasks and responsibilities, ...
garantibank.nl
UGBI jaarversl. 2000 binnenw.
... inflation, significant steps were taken in terms of structural reforms in agriculture, banking and public finance. monetary policy had gained widespread credibility and a crawling peg had been used ... the risk calculations are subject to continuous refinement. the experience of manage- ment is key element in assessing the acceptable level of market risk besides mathematical measures. operational risk ...
garantibank.nl
Gar.Jaarversl.2005 OS 01
... turkey for a very long time and which is comfortably within the maastricht criteria.the public sector debt ratios and composition improved impressively,from 68 percent of gnp in 2004 to ... number of macro-economic indicators. market risk experienced management combined with mathematical models is the key to assessing acceptable levels of market risk.the foreign exchange,interest rate mismatch and ...
garantibank.nl
Gar.Jaarversl.2003
... ofthe executive board international branches romania macroeconomic growth,further reforms and structural changes were key characteristics of romania in 2003.the country's macro- economic indicators and outlook have ... dependent on the prevailing interest rate. the breakdown by issuer is as follows issued by public bodies 269,178 219,390 issued by others this item covers interest-bearing securities ...
garantibank.nl
553001.04 Gar.Jaarversl.2004 BW
... financial institutions products. developing our asset generation business in the non-turkish segment is the key to our future growth. combined trade-related lending in romania,russia and kazakhstan remained ... dependent on the prevailing interest rate. the breakdown by issuer is as follows issued by public bodies 260,994 269,178 issued by others this item covers interest-bearing securities which ...
garantibank.nl
risk2008.pdf
... aim is to make information regarding the institutions solvency aspects and risk profiles available to public. these requirements are part of the so-called pillar 3 of the crd, or disclosures ... of the models. model accuracy, stability, granularity, use of overrides and the data quality are key performance indicators for model performance. model validation framework is managed by a validation team that ...
garantibank.nl
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