1 - 10 van 12 voor trade value
Teb Nv 2001 3435
... additional supplemental reserve facility in report of the management board to supervisory board trade finance volume (thousand euro)trade finance volume n.v. annual report page 8 december 2000, public confidence in ... contracts to market also includes the replacement costs for all contracts with positive value. a contract has a positive value if the bank would lose profit in the event of non- ...
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Teb N.V. Kapak 2000
... president financial control orkun mungan, financial controller internal control melis kural, internal controller trade finance budiarto gandasoebrata, assistant vice president operations rien steketee, assistant vice president accounting ... market also includes the replacement costs for all contracts with positive value. a contract has a positive value if the bank would lose profit in the event of ...
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Teb Nv
... value of its funded exposure to non-financial institutions. the non-performing assets ratio was 0.6%. the bank's long-standing practices of prudent risk management, focus on short- term trade ... niche market focused mainly but not exclusively on trade and commodity finance activities. every teb nv trade finance customer can potentially have a unique trade cycle and an individualized teb nv's ...
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Layout 1
... strive continually to maxi- mize shareholder value. at the economy bank n.v. (teb nv), we provide a wide range of services and products in international trade finance, forfaiting, treasury and ... for their valuable contributions. teb nv will continue to focus on building its trade finance and trade-related interbank activities. we will maintain our prudent approach and conservative policies. asset ...
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untitled
... the reporting year, reached another peak in its trade-related transactions volume as trade volume reached eur 1.386 million, an increase ... l c import l c documentary collections draft discounting total trade volume total trade volume eur 1,379 millioneur 1,379 million ... year 2007, the department will pursue the creation of added value by means of expert knowledge in financial institutions' products. ...
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Tebnv Orj
... global economy and political instability in turkey brought downward pressure on its primary business trade finance. lower trade volumes meant more banks competing for lower profit margins. despite these ... forward and swap contracts are initially recognized at cost with subsequent measurement at fair value. fair value of the derivative contracts are included in the prepayments and accrued income and ...
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Tebnv2003
... - treasury nathalie leviyol, vice president - private banking oezkan a rkaya, assistant vice president - trade finance rien steketee, vice president - operations orkun mungan, financial controller - financial control sami ... and swap contracts are initially recognized at cost with subsequent measurement at fair value. fair value of the derivative contracts are included in the prepayments and accrued ...
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untitled
... regulation or convention in the market place. changes in fair value of assets to be received during the period between the trade date and the settlement date are accounted for in the ... respective carrying amounts is recognized in the income statement. 3.11. determination of fair value fair value of financial instruments which are traded in active markets are determined either through market quotation ...
tebnv.nl
Microsoft Word - TEB NV IFRS FINANCIAL STATEMENTS 2010.doc
... regulation or convention in the market place. changes in fair value of assets to be received during the period between the trade date and the settlement date are accounted for in the ... respective carrying amounts is recognized in the income statement. 3.11. determination of fair value fair value of financial instruments are determined through the following three level methodology level 1 assets which ...
tebnv.nl
Microsoft Word - TEB NV IFRS ANNUAL REPORT 2011.v7
... regulation or convention in the market place. changes in fair value of assets to be received during the period between the trade date and the settlement date are accounted for in the ... respective carrying amounts is recognized in the income statement. 3.11. determination of fair value fair value of financial instruments is determined through the following three level methodologies level 1 assets ...
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