1 - 10 van 12 voor public sector
ar1999.pdf
... commitment and willingness. secondly, inflationary expectations need to be broken by convincing the private sector that the program will be implemented. finally, foreign investors should have confidence in the ... government level, which is consistent with the program and is achievable. salary increases in the public sector will be limited to 15% and the increase of administered prices will be based ...
garantibank.nl
UGBI jaarversl. 2000 binnenw.
... to 30 percent levels from above 100 percent in 1999, not only helped to reduce public sector financing costs, but also stimulated domestic consumption which led to a gdp growth of 6 ... econ- omy, has further weakened and incurred significant losses; swift restructuring and consolidation in the sector is vital. thirdly, the cost of bank restructuring, increased cost of debt rollover due to ...
garantibank.nl
Gar.Jaarversl.2005 OS 01
... was widespread, reaching virtually every economic region. it was precipitated by higher oil prices, resource- sector capacity constraints,tightening monetary policy in the united states and,in some countries,to ... 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 57 ...
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553001.04 Gar.Jaarversl.2004 BW
... percent and the overall budget deficit was reduced to 7.9 percent of gnp.the public sector debt ratios and their composition improved impressively,from 91 percent of gnp in 2001 to ... penetrate domestic commercial business. looking into 2005 and beyond, taking into account the growing banking sector which is leading to increasing competition, gbi's strategy in romania will be to strengthen ...
garantibank.nl
ar2001.pdf
... since the secondworldwar. more than one million private sector workers lost their jobs and consumer confidence fell dramatically.while public discontent was becoming louder,political disputes undermined the ... country with much needed support.theturkish authorities face a difficult challenge on the public debt and banking sector fronts.bridging financing gaps in 2002 seems manageable but only with ...
garantibank.nl
03/8139_Jaarverslag binnen 2002
... percent at the end of 2001.external government debt (excluding private sector) was usd 56.6 billion. the foreign exchange reserves of ... domestic demand thus economic growth. moreover, the troubles in the banking sector in some of the european countries,germany in particular,are ... interest rate. the breakdown by issuer is as follows issued by public bodies 219,390 48,584 issued by others this item ...
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 ... the main concentration elements in the portfolio, namely single name concentration, country concentration and sector concentration, in a more conservative manner. the outcomes of the concentration risk model are ...
garantibank.nl
20100609140407 GBI AnnualReport2009 pdf
... 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 ... to serve our international clients, exporters, construction companies, shipping companies and the tourism sector. corporate and commercial banking corporate and commercial banking division (ccb) was established in ...
garantibank.nl
Gar.Jaarversl.2003
... breakdown by geographical regions 36 34.1b breakdown by collateral 36 34.1c breakdown by sector and industry 36 34.1d derivatives and capital adequacy requirement 36 34.2 market risk ... 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 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 ... account the main concentration elements in the portfolio, namely single name concentration, country concentration and sector concentration, in a more conservative manner. the outcomes of the concentration risk model are ...
garantibank.nl
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