1 - 10 van 15 voor second approach
ar2001.pdf
... targets and subsequently undermining financial market confidence in the second half of 2002. the short term outlook turnedpositiveandthepriceofturkishfinancialassetsandturkishliradisplayedanimpressiverallythroughtheyear-end. ... international n.v.has always maintained a prudent banking approach and made best use of its competitiveadvantages. despitestrict crisismanagement, ...
garantibank.nl
03/8139_Jaarverslag binnen 2002
... basis,thetrade finance division of the bank was reorganized at the end of the second quarter of 2002 . accordingly, the division has now been divided into three commercial departments - ... services division's superior and diversified technical knowledge coupled with innovative,flexible and energetic approach produced an enviable quality of service. during 2002, the product mix and geogra- phical ...
garantibank.nl
ar1999.pdf
... . despite the global emerging markets crisis and its repercussions on turkey, particularly from the second half of 1998 onwards, ugbi bank continued to build on its core trade finance ... , liquidity financial institutions division. with this organisational change, ugbi bank re-energised its holistic approach towards primary and secondary trade finance markets and became a significant market-maker in ...
garantibank.nl
20100608114036__risk2009.pdf
... of own funds gbi applies foundation internal ratings based approach for credit risk, standardized measurement approach for market risk and basic indicator approach for the calculation of the minimum level of ... , one of which is in line with gbis current expectations and financial budget. the second scenario involves with more conservative assumptions in order to assess the future capital adequacy ...
garantibank.nl
20100609140407 GBI AnnualReport2009 pdf
... the policymakers are preparing steps to withdraw from the extreme stimulus measures, the second phase of the recovery which is more private sector driven must start. ... interest sensitivity is measured by applying standard parallel yield curve shifts, historical simulation approach and user defined yield curve twist scenarios. the outcomes of these analysesarediscussedatalcoandareusedeffectivelyin ...
garantibank.nl
UGBI jaarversl. 2000 binnenw.
... primary trade finance markets and the secondary forfaiting markets was fully utilized. with this holistic approach towards primary and secondary markets, ugbi bank has strengthened its market-maker position in ... good performance in 2000. the private banking desk doubled its total client assets for the second consecutive year, reaching 617 million as of 31 december 2000. client driven fx brokerage ...
garantibank.nl
ar2006.pdf
... road construction, building railways, and further cultivating the agriculture industry.fitch ratings announced in the second half of 2006 the upgrade of romania's ratings by one notch.hence,romania' ... risk starting from 1 january 2008 and will opt for the standardized approach for market risk and the basic indicator approach for operational risk. gbi benefits from advanced risk measurement and ...
garantibank.nl
ar2008.pdf
... since 2001, the financial crisis in turkey, that the transaction volume plunged. especially the second half of the year was responsible for the drop in the annual transaction volume. ... foundation (f-irb) approach in regulatory capital calculation starting from 1 january 2008.the bank uses the standardized measurement approach for market risk and the basic indicator approach for operational risk. ...
garantibank.nl
ar2007.pdf
... remained strong.the global liquidity turmoil ignited by sub-prime mortgage financing in the second half of 2007 and the slow down of us economy have raised concerns in ... based foundation (f-irb) approach in regulatory capital calculation starting from 1 january 2008. the bank uses standardized measurement approach for market risk and basic indicator approach for operational risk. concentration ...
garantibank.nl
Gar.Jaarversl.2003
... witnessed a significant surge in commodity prices mainly as a result of chinese demand.the second largest commodity group was the agri-business commodities which included grains,edible oils and ... oil firms made use of structured trade finance syndication markets. on the organizational front, the approach of to the trade finance universe is through three windows trade commodity finance ( tcf ), ...
garantibank.nl
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