1 - 6 van 6 voor supply diversification
ar1999.pdf
... ecb's main objectives in the monetary policy of the eurosystem. since the money supply is regarded by the ecb as the major indicator of long-term inflation, ... bank has embarked on diversification and product innovation; both coupled with in-depth knowledge of turkish business environment. diversification of industry sectors, diversification of product mix and diversification of geographic reach ...
garantibank.nl
ar2006.pdf
... down and risk premiums contracted to new record low levels.emerging markets reduced their supply of sovereign debt instruments considerably as their fiscal balances continued to improve. russia and ... finance,local currency loans and sme financing on a selective basis. country risk diversification in line with the diversification strategy set forth in march 2001,gbi's annual trade finance volume ...
garantibank.nl
ar2007.pdf
... inflation are causing concern. indeed increasing natural resource prices, following high demand and constrained supply conditions for several years, led to a substantial rise in the inflation. food ... diversification while being on an upward trend, gbi's annual trade finance volume in 2007 has maintained its level of diversification (chart-2) in terms of country of repayment. such diversification ...
garantibank.nl
Gar.Jaarversl.2005 OS 01
... ,strong domestic demand in russia and turkey curtailing export motivation, sluggish eu demand and supply issues related to fossil fuels resulted in three months of price volatilities ranging from - ... ,forfaiting origination's weight became relatively more significant in 2005. in line with the diversification strategy set forth in march 2001 and the subsequent country risk policies, gbi's ...
garantibank.nl
20110527161500__GBI Annual Report 2010.pdf
... 50% t cf accounted for 50 percent in tf assets. - annual report 2010 notwithstanding such diversification efforts, metals related lending remains as the core of commodity finance. in this segment, the ... the shipping markets are still vulnerable to global market uncertainties and more importantly, an increasing supply of ships. there will be a high number of new ship deliveries from shipyards in ...
garantibank.nl
20120427164248__GBI Annual Report 2011.pdf
... of 2011, the manufacturing boom started to cool abruptly as the shock to the global supply chain caused by the earthquake in japan magnified the turn in the global inventory cycle ... two pillars; diversification and high liquidity buffer. gbi stands out in the european banking sector with its non-reliance to a single market, wholesale or retail and healthy diversification of funding sources ...
garantibank.nl
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