IFC Financials and Projects 2014 : Big Challenges, Big Solutions

International Finance Corporation (IFC or the Corporation) is the largest global development institution focused on the private sector in developing countries. Established in 1956, IFC is owned by 184 member countries, a group that collectively determines its policies. IFC is a member of the World Bank Group (WBG)1 but is a legal entity separate and distinct from IBRD, IDA, MIGA, and ICSID, with its own Articles of Agreement, share capital, financial structure, management, and staff. Membership in IFC is open only to member countries of IBRD. At the 2013 Spring Meetings, the WBG adopted two ambitious goals: to end extreme poverty by 2030 and to boost shared prosperity for the poorest 40 percent in developing countries. At the Annual Meetings in October 2013, the Board of Governors approved the first strategy for the WBG focused on delivery of transformational solutions, marshaling combined resources more effectively, and accelerating collaboration with the private sector and our development partners. IFC s strategic focus areas are: strengthening the focus on frontier markets; addressing climate change and ensuring environmental and social sustainability; addressing constraints to private sector growth in infrastructure, health, education, and the food-supply chain; developing local financial markets; and building long-term client relationships in emerging markets.

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Bibliographic Details
Main Author: International Finance Corporation
Format: Annual Report biblioteca
Language:English
en_US
Published: Washington, DC: World Bank Group 2014-09-25
Subjects:ACCOUNTING, ASSET CLASS, ASSET MANAGEMENT, ASSET PORTFOLIOS, ASSET-BACKED SECURITIES, ASSET-LIABILITY MANAGEMENT, ASSET-LIABILITY MISMATCHES, BALANCE SHEET, BALANCE SHEETS, BANKING INSTITUTIONS, BASIS POINT, BOND, BOND MARKETS, BONDS, BORROWING COSTS, BUYBACKS, CALL OPTIONS, CAPITAL ADEQUACY, CAPITAL ALLOCATION, CAPITAL BASE, CAPITAL FLOWS, CAPITAL MARKETS DEVELOPMENT, CAPITAL REQUIREMENTS, CAPITAL STOCK, CAPITALIZATION, CASH FLOWS, CENTRAL BANK, CENTRAL BANKS, COLLATERAL, COLLATERAL AGREEMENTS, COLLECTIVE INVESTMENT, COMMERCIAL BANKING, COMMERCIAL BANKS, COMMERCIAL CREDIT, COMPETITIVE MARKETS, CONTRACTUAL OBLIGATION, CONTRACTUAL OBLIGATIONS, CORPORATE GOVERNANCE, CORPORATE LAW, CREDIT ASSESSMENT, CREDIT DEFAULT, CREDIT GUARANTEES, CREDIT MARKETS, CREDIT RATING AGENCIES, CREDIT RATINGS, CREDIT RISK, CREDIT RISK EXPOSURE, CURRENCY, CURRENCY RISK, DEBT, DEBT INSTRUMENTS, DEBT ISSUANCE, DEBT OBLIGATIONS, DEBT SECURITIES, DEBT SECURITY, DEFAULT RISK, DERIVATIVE, DERIVATIVE INSTRUMENTS, DERIVATIVE PRODUCTS, DERIVATIVE TRANSACTION, DERIVATIVE TRANSACTIONS, DERIVATIVES, DERIVATIVES MARKET, DEVELOPING COUNTRIES, DEVELOPMENT FINANCE, DISBURSEMENT, DISBURSEMENTS, DISCOUNT NOTE, DOMESTIC CAPITAL, DOMESTIC CAPITAL MARKETS, DOMESTIC MARKETS, DUE DILIGENCE, EMERGING MARKET, EMERGING MARKET EQUITY, EMERGING MARKETS, EQUITIES, EQUITY FUNDS, EQUITY INVESTMENT, EQUITY INVESTMENTS, EQUITY MARKET, EQUITY MARKET VOLATILITIES, EQUITY MARKETS, EQUITY RETURNS, EQUITY VALUATIONS, EXPENDITURES, EXTERNAL FUNDING, FAIR VALUE, FINANCES, FINANCIAL ASSETS, FINANCIAL FUTURES, FINANCIAL INFRASTRUCTURE, FINANCIAL INSTITUTIONS, FINANCIAL INSTRUMENT, FINANCIAL INSTRUMENTS, FINANCIAL PERFORMANCE, FINANCIAL RISK, FINANCIAL STATEMENTS, FINANCIAL STRUCTURE, FINANCIAL SUSTAINABILITY, FLOATING RATE, FOREIGN CURRENCY, FOREIGN EXCHANGE, FRAUD, FUTURE LOAN, GLOBAL BOND, GLOBAL BOND MARKETS, GLOBAL TRADE, GOVERNMENT GUARANTEES, HOST GOVERNMENT, IMPLIED VOLATILITIES, INSTITUTIONAL INVESTORS, INSURANCE, INTEREST RATE, INTEREST RATE FUTURES, INTEREST RATE RISK, INTEREST RATE RISKS, INTEREST RATE SWAP, INTEREST RATE SWAPS, INTEREST RATES, INTERNAL AUDIT, INTERNATIONAL BANK, INTERNATIONAL CAPITAL, INTERNATIONAL CAPITAL MARKETS, INTERNATIONAL CREDIT, INTERNATIONAL CREDIT RATING, INTERNATIONAL DEVELOPMENT, INTERNATIONAL FINANCE, INTERNATIONAL FINANCIAL INSTITUTIONS, INTERNATIONAL FINANCIAL MARKETS, INVESTING, INVESTMENT ACTIVITIES, INVESTMENT CLIMATE, INVESTMENT GUIDELINES, INVESTMENT PORTFOLIO, INVESTMENT PROJECTS, INVESTMENT VEHICLES, ISLAMIC FINANCE, ISSUANCE, ISSUANCES, LENDER, LENDERS, LENDING PORTFOLIO, LIABILITY, LIQUID ASSET, LIQUID ASSETS, LIQUIDITY, LIQUIDITY MANAGEMENT, LIQUIDITY RISK, LLC, LOAN, LOAN PORTFOLIO, LOCAL BANKS, LOCAL CURRENCIES, LOCAL CURRENCY, LOCAL FINANCIAL MARKETS, LOCAL GOVERNMENTS, LONG-TERM EXTERNAL DEBT, LONG-TERM FINANCE, MARK-TO-MARKET, MARKET BENCHMARKS, MARKET BORROWINGS, MARKET CONDITIONS, MARKET MAKERS, MARKET PRICES, MARKET RISK, MARKET RISKS, MATURITIES, MATURITY, MONETARY POLICIES, MONEY MARKET, MORTGAGE, MORTGAGE-BACKED SECURITIES, NON-PERFORMING LOANS, OPEN MARKET, OUTSIDE INVESTORS, OUTSTANDING DEBT, PARTIAL CREDIT, PAYMENT OBLIGATIONS, PENSION, PENSION FUNDS, PORTFOLIO MANAGEMENT, PORTFOLIO RISK, PORTFOLIOS, PREPAYMENTS, PRICE VOLATILITY, PRIVATE EQUITY, PRIVATE SECTOR FINANCE, PROBABILITY OF DEFAULT, PUBLIC MARKETS, REPOS, RESERVE, RESERVES, RETURN, RISK EXPOSURES, RISK FACTORS, RISK MANAGEMENT, RISK MANAGEMENT SERVICES, RISK OF LOANS, RISK PROFILE, RISK SHARING, SETTLEMENT, SHORT-TERM BORROWINGS, SHORT-TERM FINANCE, SUBORDINATED DEBT, SWAP, SWAP MARKET, TIME DEPOSITS, TRADE FINANCE, TRADING, TRANSACTION, TRANSACTION COSTS, TRANSITION COUNTRIES, TREASURY, VALUE OF ASSETS, VARIABLE RATE, WAREHOUSE, WARRANTS, WORKING CAPITAL,
Online Access:http://documents.worldbank.org/curated/en/2014/01/20234711/international-finance-corporation-ifc-annual-report-2014-big-challenges-big-solutions-vol-2-2-ifc-financials-projects-2014
http://hdl.handle.net/10986/20258
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country Estados Unidos
countrycode US
component Bibliográfico
access En linea
databasecode dig-okr
tag biblioteca
region America del Norte
libraryname Biblioteca del Banco Mundial
language English
en_US
topic ACCOUNTING
ASSET CLASS
ASSET MANAGEMENT
ASSET PORTFOLIOS
ASSET-BACKED SECURITIES
ASSET-LIABILITY MANAGEMENT
ASSET-LIABILITY MISMATCHES
BALANCE SHEET
BALANCE SHEETS
BANKING INSTITUTIONS
BASIS POINT
BOND
BOND MARKETS
BONDS
BORROWING COSTS
BUYBACKS
CALL OPTIONS
CAPITAL ADEQUACY
CAPITAL ALLOCATION
CAPITAL BASE
CAPITAL FLOWS
CAPITAL MARKETS DEVELOPMENT
CAPITAL REQUIREMENTS
CAPITAL STOCK
CAPITALIZATION
CASH FLOWS
CENTRAL BANK
CENTRAL BANKS
COLLATERAL
COLLATERAL AGREEMENTS
COLLECTIVE INVESTMENT
COMMERCIAL BANKING
COMMERCIAL BANKS
COMMERCIAL CREDIT
COMPETITIVE MARKETS
CONTRACTUAL OBLIGATION
CONTRACTUAL OBLIGATIONS
CORPORATE GOVERNANCE
CORPORATE LAW
CREDIT ASSESSMENT
CREDIT DEFAULT
CREDIT GUARANTEES
CREDIT MARKETS
CREDIT RATING AGENCIES
CREDIT RATINGS
CREDIT RISK
CREDIT RISK EXPOSURE
CURRENCY
CURRENCY RISK
DEBT
DEBT INSTRUMENTS
DEBT ISSUANCE
DEBT OBLIGATIONS
DEBT SECURITIES
DEBT SECURITY
DEFAULT RISK
DERIVATIVE
DERIVATIVE INSTRUMENTS
DERIVATIVE PRODUCTS
DERIVATIVE TRANSACTION
DERIVATIVE TRANSACTIONS
DERIVATIVES
DERIVATIVES MARKET
DEVELOPING COUNTRIES
DEVELOPMENT FINANCE
DISBURSEMENT
DISBURSEMENTS
DISCOUNT NOTE
DOMESTIC CAPITAL
DOMESTIC CAPITAL MARKETS
DOMESTIC MARKETS
DUE DILIGENCE
EMERGING MARKET
EMERGING MARKET EQUITY
EMERGING MARKETS
EQUITIES
EQUITY FUNDS
EQUITY INVESTMENT
EQUITY INVESTMENTS
EQUITY MARKET
EQUITY MARKET VOLATILITIES
EQUITY MARKETS
EQUITY RETURNS
EQUITY VALUATIONS
EXPENDITURES
EXTERNAL FUNDING
FAIR VALUE
FINANCES
FINANCIAL ASSETS
FINANCIAL FUTURES
FINANCIAL INFRASTRUCTURE
FINANCIAL INSTITUTIONS
FINANCIAL INSTRUMENT
FINANCIAL INSTRUMENTS
FINANCIAL PERFORMANCE
FINANCIAL RISK
FINANCIAL STATEMENTS
FINANCIAL STRUCTURE
FINANCIAL SUSTAINABILITY
FLOATING RATE
FOREIGN CURRENCY
FOREIGN EXCHANGE
FRAUD
FUTURE LOAN
GLOBAL BOND
GLOBAL BOND MARKETS
GLOBAL TRADE
GOVERNMENT GUARANTEES
HOST GOVERNMENT
IMPLIED VOLATILITIES
INSTITUTIONAL INVESTORS
INSURANCE
INTEREST RATE
INTEREST RATE FUTURES
INTEREST RATE RISK
INTEREST RATE RISKS
INTEREST RATE SWAP
INTEREST RATE SWAPS
INTEREST RATES
INTERNAL AUDIT
INTERNATIONAL BANK
INTERNATIONAL CAPITAL
INTERNATIONAL CAPITAL MARKETS
INTERNATIONAL CREDIT
INTERNATIONAL CREDIT RATING
INTERNATIONAL DEVELOPMENT
INTERNATIONAL FINANCE
INTERNATIONAL FINANCIAL INSTITUTIONS
INTERNATIONAL FINANCIAL MARKETS
INVESTING
INVESTMENT ACTIVITIES
INVESTMENT CLIMATE
INVESTMENT GUIDELINES
INVESTMENT PORTFOLIO
INVESTMENT PROJECTS
INVESTMENT VEHICLES
ISLAMIC FINANCE
ISSUANCE
ISSUANCES
LENDER
LENDERS
LENDING PORTFOLIO
LIABILITY
LIQUID ASSET
LIQUID ASSETS
LIQUIDITY
LIQUIDITY MANAGEMENT
LIQUIDITY RISK
LLC
LOAN
LOAN PORTFOLIO
LOCAL BANKS
LOCAL CURRENCIES
LOCAL CURRENCY
LOCAL FINANCIAL MARKETS
LOCAL GOVERNMENTS
LONG-TERM EXTERNAL DEBT
LONG-TERM FINANCE
MARK-TO-MARKET
MARKET BENCHMARKS
MARKET BORROWINGS
MARKET CONDITIONS
MARKET MAKERS
MARKET PRICES
MARKET RISK
MARKET RISKS
MATURITIES
MATURITY
MONETARY POLICIES
MONEY MARKET
MORTGAGE
MORTGAGE-BACKED SECURITIES
NON-PERFORMING LOANS
OPEN MARKET
OUTSIDE INVESTORS
OUTSTANDING DEBT
PARTIAL CREDIT
PAYMENT OBLIGATIONS
PENSION
PENSION FUNDS
PORTFOLIO MANAGEMENT
PORTFOLIO RISK
PORTFOLIOS
PREPAYMENTS
PRICE VOLATILITY
PRIVATE EQUITY
PRIVATE SECTOR FINANCE
PROBABILITY OF DEFAULT
PUBLIC MARKETS
REPOS
RESERVE
RESERVES
RETURN
RISK EXPOSURES
RISK FACTORS
RISK MANAGEMENT
RISK MANAGEMENT SERVICES
RISK OF LOANS
RISK PROFILE
RISK SHARING
SETTLEMENT
SHORT-TERM BORROWINGS
SHORT-TERM FINANCE
SUBORDINATED DEBT
SWAP
SWAP MARKET
TIME DEPOSITS
TRADE FINANCE
TRADING
TRANSACTION
TRANSACTION COSTS
TRANSITION COUNTRIES
TREASURY
VALUE OF ASSETS
VARIABLE RATE
WAREHOUSE
WARRANTS
WORKING CAPITAL
ACCOUNTING
ASSET CLASS
ASSET MANAGEMENT
ASSET PORTFOLIOS
ASSET-BACKED SECURITIES
ASSET-LIABILITY MANAGEMENT
ASSET-LIABILITY MISMATCHES
BALANCE SHEET
BALANCE SHEETS
BANKING INSTITUTIONS
BASIS POINT
BOND
BOND MARKETS
BONDS
BORROWING COSTS
BUYBACKS
CALL OPTIONS
CAPITAL ADEQUACY
CAPITAL ALLOCATION
CAPITAL BASE
CAPITAL FLOWS
CAPITAL MARKETS DEVELOPMENT
CAPITAL REQUIREMENTS
CAPITAL STOCK
CAPITALIZATION
CASH FLOWS
CENTRAL BANK
CENTRAL BANKS
COLLATERAL
COLLATERAL AGREEMENTS
COLLECTIVE INVESTMENT
COMMERCIAL BANKING
COMMERCIAL BANKS
COMMERCIAL CREDIT
COMPETITIVE MARKETS
CONTRACTUAL OBLIGATION
CONTRACTUAL OBLIGATIONS
CORPORATE GOVERNANCE
CORPORATE LAW
CREDIT ASSESSMENT
CREDIT DEFAULT
CREDIT GUARANTEES
CREDIT MARKETS
CREDIT RATING AGENCIES
CREDIT RATINGS
CREDIT RISK
CREDIT RISK EXPOSURE
CURRENCY
CURRENCY RISK
DEBT
DEBT INSTRUMENTS
DEBT ISSUANCE
DEBT OBLIGATIONS
DEBT SECURITIES
DEBT SECURITY
DEFAULT RISK
DERIVATIVE
DERIVATIVE INSTRUMENTS
DERIVATIVE PRODUCTS
DERIVATIVE TRANSACTION
DERIVATIVE TRANSACTIONS
DERIVATIVES
DERIVATIVES MARKET
DEVELOPING COUNTRIES
DEVELOPMENT FINANCE
DISBURSEMENT
DISBURSEMENTS
DISCOUNT NOTE
DOMESTIC CAPITAL
DOMESTIC CAPITAL MARKETS
DOMESTIC MARKETS
DUE DILIGENCE
EMERGING MARKET
EMERGING MARKET EQUITY
EMERGING MARKETS
EQUITIES
EQUITY FUNDS
EQUITY INVESTMENT
EQUITY INVESTMENTS
EQUITY MARKET
EQUITY MARKET VOLATILITIES
EQUITY MARKETS
EQUITY RETURNS
EQUITY VALUATIONS
EXPENDITURES
EXTERNAL FUNDING
FAIR VALUE
FINANCES
FINANCIAL ASSETS
FINANCIAL FUTURES
FINANCIAL INFRASTRUCTURE
FINANCIAL INSTITUTIONS
FINANCIAL INSTRUMENT
FINANCIAL INSTRUMENTS
FINANCIAL PERFORMANCE
FINANCIAL RISK
FINANCIAL STATEMENTS
FINANCIAL STRUCTURE
FINANCIAL SUSTAINABILITY
FLOATING RATE
FOREIGN CURRENCY
FOREIGN EXCHANGE
FRAUD
FUTURE LOAN
GLOBAL BOND
GLOBAL BOND MARKETS
GLOBAL TRADE
GOVERNMENT GUARANTEES
HOST GOVERNMENT
IMPLIED VOLATILITIES
INSTITUTIONAL INVESTORS
INSURANCE
INTEREST RATE
INTEREST RATE FUTURES
INTEREST RATE RISK
INTEREST RATE RISKS
INTEREST RATE SWAP
INTEREST RATE SWAPS
INTEREST RATES
INTERNAL AUDIT
INTERNATIONAL BANK
INTERNATIONAL CAPITAL
INTERNATIONAL CAPITAL MARKETS
INTERNATIONAL CREDIT
INTERNATIONAL CREDIT RATING
INTERNATIONAL DEVELOPMENT
INTERNATIONAL FINANCE
INTERNATIONAL FINANCIAL INSTITUTIONS
INTERNATIONAL FINANCIAL MARKETS
INVESTING
INVESTMENT ACTIVITIES
INVESTMENT CLIMATE
INVESTMENT GUIDELINES
INVESTMENT PORTFOLIO
INVESTMENT PROJECTS
INVESTMENT VEHICLES
ISLAMIC FINANCE
ISSUANCE
ISSUANCES
LENDER
LENDERS
LENDING PORTFOLIO
LIABILITY
LIQUID ASSET
LIQUID ASSETS
LIQUIDITY
LIQUIDITY MANAGEMENT
LIQUIDITY RISK
LLC
LOAN
LOAN PORTFOLIO
LOCAL BANKS
LOCAL CURRENCIES
LOCAL CURRENCY
LOCAL FINANCIAL MARKETS
LOCAL GOVERNMENTS
LONG-TERM EXTERNAL DEBT
LONG-TERM FINANCE
MARK-TO-MARKET
MARKET BENCHMARKS
MARKET BORROWINGS
MARKET CONDITIONS
MARKET MAKERS
MARKET PRICES
MARKET RISK
MARKET RISKS
MATURITIES
MATURITY
MONETARY POLICIES
MONEY MARKET
MORTGAGE
MORTGAGE-BACKED SECURITIES
NON-PERFORMING LOANS
OPEN MARKET
OUTSIDE INVESTORS
OUTSTANDING DEBT
PARTIAL CREDIT
PAYMENT OBLIGATIONS
PENSION
PENSION FUNDS
PORTFOLIO MANAGEMENT
PORTFOLIO RISK
PORTFOLIOS
PREPAYMENTS
PRICE VOLATILITY
PRIVATE EQUITY
PRIVATE SECTOR FINANCE
PROBABILITY OF DEFAULT
PUBLIC MARKETS
REPOS
RESERVE
RESERVES
RETURN
RISK EXPOSURES
RISK FACTORS
RISK MANAGEMENT
RISK MANAGEMENT SERVICES
RISK OF LOANS
RISK PROFILE
RISK SHARING
SETTLEMENT
SHORT-TERM BORROWINGS
SHORT-TERM FINANCE
SUBORDINATED DEBT
SWAP
SWAP MARKET
TIME DEPOSITS
TRADE FINANCE
TRADING
TRANSACTION
TRANSACTION COSTS
TRANSITION COUNTRIES
TREASURY
VALUE OF ASSETS
VARIABLE RATE
WAREHOUSE
WARRANTS
WORKING CAPITAL
spellingShingle ACCOUNTING
ASSET CLASS
ASSET MANAGEMENT
ASSET PORTFOLIOS
ASSET-BACKED SECURITIES
ASSET-LIABILITY MANAGEMENT
ASSET-LIABILITY MISMATCHES
BALANCE SHEET
BALANCE SHEETS
BANKING INSTITUTIONS
BASIS POINT
BOND
BOND MARKETS
BONDS
BORROWING COSTS
BUYBACKS
CALL OPTIONS
CAPITAL ADEQUACY
CAPITAL ALLOCATION
CAPITAL BASE
CAPITAL FLOWS
CAPITAL MARKETS DEVELOPMENT
CAPITAL REQUIREMENTS
CAPITAL STOCK
CAPITALIZATION
CASH FLOWS
CENTRAL BANK
CENTRAL BANKS
COLLATERAL
COLLATERAL AGREEMENTS
COLLECTIVE INVESTMENT
COMMERCIAL BANKING
COMMERCIAL BANKS
COMMERCIAL CREDIT
COMPETITIVE MARKETS
CONTRACTUAL OBLIGATION
CONTRACTUAL OBLIGATIONS
CORPORATE GOVERNANCE
CORPORATE LAW
CREDIT ASSESSMENT
CREDIT DEFAULT
CREDIT GUARANTEES
CREDIT MARKETS
CREDIT RATING AGENCIES
CREDIT RATINGS
CREDIT RISK
CREDIT RISK EXPOSURE
CURRENCY
CURRENCY RISK
DEBT
DEBT INSTRUMENTS
DEBT ISSUANCE
DEBT OBLIGATIONS
DEBT SECURITIES
DEBT SECURITY
DEFAULT RISK
DERIVATIVE
DERIVATIVE INSTRUMENTS
DERIVATIVE PRODUCTS
DERIVATIVE TRANSACTION
DERIVATIVE TRANSACTIONS
DERIVATIVES
DERIVATIVES MARKET
DEVELOPING COUNTRIES
DEVELOPMENT FINANCE
DISBURSEMENT
DISBURSEMENTS
DISCOUNT NOTE
DOMESTIC CAPITAL
DOMESTIC CAPITAL MARKETS
DOMESTIC MARKETS
DUE DILIGENCE
EMERGING MARKET
EMERGING MARKET EQUITY
EMERGING MARKETS
EQUITIES
EQUITY FUNDS
EQUITY INVESTMENT
EQUITY INVESTMENTS
EQUITY MARKET
EQUITY MARKET VOLATILITIES
EQUITY MARKETS
EQUITY RETURNS
EQUITY VALUATIONS
EXPENDITURES
EXTERNAL FUNDING
FAIR VALUE
FINANCES
FINANCIAL ASSETS
FINANCIAL FUTURES
FINANCIAL INFRASTRUCTURE
FINANCIAL INSTITUTIONS
FINANCIAL INSTRUMENT
FINANCIAL INSTRUMENTS
FINANCIAL PERFORMANCE
FINANCIAL RISK
FINANCIAL STATEMENTS
FINANCIAL STRUCTURE
FINANCIAL SUSTAINABILITY
FLOATING RATE
FOREIGN CURRENCY
FOREIGN EXCHANGE
FRAUD
FUTURE LOAN
GLOBAL BOND
GLOBAL BOND MARKETS
GLOBAL TRADE
GOVERNMENT GUARANTEES
HOST GOVERNMENT
IMPLIED VOLATILITIES
INSTITUTIONAL INVESTORS
INSURANCE
INTEREST RATE
INTEREST RATE FUTURES
INTEREST RATE RISK
INTEREST RATE RISKS
INTEREST RATE SWAP
INTEREST RATE SWAPS
INTEREST RATES
INTERNAL AUDIT
INTERNATIONAL BANK
INTERNATIONAL CAPITAL
INTERNATIONAL CAPITAL MARKETS
INTERNATIONAL CREDIT
INTERNATIONAL CREDIT RATING
INTERNATIONAL DEVELOPMENT
INTERNATIONAL FINANCE
INTERNATIONAL FINANCIAL INSTITUTIONS
INTERNATIONAL FINANCIAL MARKETS
INVESTING
INVESTMENT ACTIVITIES
INVESTMENT CLIMATE
INVESTMENT GUIDELINES
INVESTMENT PORTFOLIO
INVESTMENT PROJECTS
INVESTMENT VEHICLES
ISLAMIC FINANCE
ISSUANCE
ISSUANCES
LENDER
LENDERS
LENDING PORTFOLIO
LIABILITY
LIQUID ASSET
LIQUID ASSETS
LIQUIDITY
LIQUIDITY MANAGEMENT
LIQUIDITY RISK
LLC
LOAN
LOAN PORTFOLIO
LOCAL BANKS
LOCAL CURRENCIES
LOCAL CURRENCY
LOCAL FINANCIAL MARKETS
LOCAL GOVERNMENTS
LONG-TERM EXTERNAL DEBT
LONG-TERM FINANCE
MARK-TO-MARKET
MARKET BENCHMARKS
MARKET BORROWINGS
MARKET CONDITIONS
MARKET MAKERS
MARKET PRICES
MARKET RISK
MARKET RISKS
MATURITIES
MATURITY
MONETARY POLICIES
MONEY MARKET
MORTGAGE
MORTGAGE-BACKED SECURITIES
NON-PERFORMING LOANS
OPEN MARKET
OUTSIDE INVESTORS
OUTSTANDING DEBT
PARTIAL CREDIT
PAYMENT OBLIGATIONS
PENSION
PENSION FUNDS
PORTFOLIO MANAGEMENT
PORTFOLIO RISK
PORTFOLIOS
PREPAYMENTS
PRICE VOLATILITY
PRIVATE EQUITY
PRIVATE SECTOR FINANCE
PROBABILITY OF DEFAULT
PUBLIC MARKETS
REPOS
RESERVE
RESERVES
RETURN
RISK EXPOSURES
RISK FACTORS
RISK MANAGEMENT
RISK MANAGEMENT SERVICES
RISK OF LOANS
RISK PROFILE
RISK SHARING
SETTLEMENT
SHORT-TERM BORROWINGS
SHORT-TERM FINANCE
SUBORDINATED DEBT
SWAP
SWAP MARKET
TIME DEPOSITS
TRADE FINANCE
TRADING
TRANSACTION
TRANSACTION COSTS
TRANSITION COUNTRIES
TREASURY
VALUE OF ASSETS
VARIABLE RATE
WAREHOUSE
WARRANTS
WORKING CAPITAL
ACCOUNTING
ASSET CLASS
ASSET MANAGEMENT
ASSET PORTFOLIOS
ASSET-BACKED SECURITIES
ASSET-LIABILITY MANAGEMENT
ASSET-LIABILITY MISMATCHES
BALANCE SHEET
BALANCE SHEETS
BANKING INSTITUTIONS
BASIS POINT
BOND
BOND MARKETS
BONDS
BORROWING COSTS
BUYBACKS
CALL OPTIONS
CAPITAL ADEQUACY
CAPITAL ALLOCATION
CAPITAL BASE
CAPITAL FLOWS
CAPITAL MARKETS DEVELOPMENT
CAPITAL REQUIREMENTS
CAPITAL STOCK
CAPITALIZATION
CASH FLOWS
CENTRAL BANK
CENTRAL BANKS
COLLATERAL
COLLATERAL AGREEMENTS
COLLECTIVE INVESTMENT
COMMERCIAL BANKING
COMMERCIAL BANKS
COMMERCIAL CREDIT
COMPETITIVE MARKETS
CONTRACTUAL OBLIGATION
CONTRACTUAL OBLIGATIONS
CORPORATE GOVERNANCE
CORPORATE LAW
CREDIT ASSESSMENT
CREDIT DEFAULT
CREDIT GUARANTEES
CREDIT MARKETS
CREDIT RATING AGENCIES
CREDIT RATINGS
CREDIT RISK
CREDIT RISK EXPOSURE
CURRENCY
CURRENCY RISK
DEBT
DEBT INSTRUMENTS
DEBT ISSUANCE
DEBT OBLIGATIONS
DEBT SECURITIES
DEBT SECURITY
DEFAULT RISK
DERIVATIVE
DERIVATIVE INSTRUMENTS
DERIVATIVE PRODUCTS
DERIVATIVE TRANSACTION
DERIVATIVE TRANSACTIONS
DERIVATIVES
DERIVATIVES MARKET
DEVELOPING COUNTRIES
DEVELOPMENT FINANCE
DISBURSEMENT
DISBURSEMENTS
DISCOUNT NOTE
DOMESTIC CAPITAL
DOMESTIC CAPITAL MARKETS
DOMESTIC MARKETS
DUE DILIGENCE
EMERGING MARKET
EMERGING MARKET EQUITY
EMERGING MARKETS
EQUITIES
EQUITY FUNDS
EQUITY INVESTMENT
EQUITY INVESTMENTS
EQUITY MARKET
EQUITY MARKET VOLATILITIES
EQUITY MARKETS
EQUITY RETURNS
EQUITY VALUATIONS
EXPENDITURES
EXTERNAL FUNDING
FAIR VALUE
FINANCES
FINANCIAL ASSETS
FINANCIAL FUTURES
FINANCIAL INFRASTRUCTURE
FINANCIAL INSTITUTIONS
FINANCIAL INSTRUMENT
FINANCIAL INSTRUMENTS
FINANCIAL PERFORMANCE
FINANCIAL RISK
FINANCIAL STATEMENTS
FINANCIAL STRUCTURE
FINANCIAL SUSTAINABILITY
FLOATING RATE
FOREIGN CURRENCY
FOREIGN EXCHANGE
FRAUD
FUTURE LOAN
GLOBAL BOND
GLOBAL BOND MARKETS
GLOBAL TRADE
GOVERNMENT GUARANTEES
HOST GOVERNMENT
IMPLIED VOLATILITIES
INSTITUTIONAL INVESTORS
INSURANCE
INTEREST RATE
INTEREST RATE FUTURES
INTEREST RATE RISK
INTEREST RATE RISKS
INTEREST RATE SWAP
INTEREST RATE SWAPS
INTEREST RATES
INTERNAL AUDIT
INTERNATIONAL BANK
INTERNATIONAL CAPITAL
INTERNATIONAL CAPITAL MARKETS
INTERNATIONAL CREDIT
INTERNATIONAL CREDIT RATING
INTERNATIONAL DEVELOPMENT
INTERNATIONAL FINANCE
INTERNATIONAL FINANCIAL INSTITUTIONS
INTERNATIONAL FINANCIAL MARKETS
INVESTING
INVESTMENT ACTIVITIES
INVESTMENT CLIMATE
INVESTMENT GUIDELINES
INVESTMENT PORTFOLIO
INVESTMENT PROJECTS
INVESTMENT VEHICLES
ISLAMIC FINANCE
ISSUANCE
ISSUANCES
LENDER
LENDERS
LENDING PORTFOLIO
LIABILITY
LIQUID ASSET
LIQUID ASSETS
LIQUIDITY
LIQUIDITY MANAGEMENT
LIQUIDITY RISK
LLC
LOAN
LOAN PORTFOLIO
LOCAL BANKS
LOCAL CURRENCIES
LOCAL CURRENCY
LOCAL FINANCIAL MARKETS
LOCAL GOVERNMENTS
LONG-TERM EXTERNAL DEBT
LONG-TERM FINANCE
MARK-TO-MARKET
MARKET BENCHMARKS
MARKET BORROWINGS
MARKET CONDITIONS
MARKET MAKERS
MARKET PRICES
MARKET RISK
MARKET RISKS
MATURITIES
MATURITY
MONETARY POLICIES
MONEY MARKET
MORTGAGE
MORTGAGE-BACKED SECURITIES
NON-PERFORMING LOANS
OPEN MARKET
OUTSIDE INVESTORS
OUTSTANDING DEBT
PARTIAL CREDIT
PAYMENT OBLIGATIONS
PENSION
PENSION FUNDS
PORTFOLIO MANAGEMENT
PORTFOLIO RISK
PORTFOLIOS
PREPAYMENTS
PRICE VOLATILITY
PRIVATE EQUITY
PRIVATE SECTOR FINANCE
PROBABILITY OF DEFAULT
PUBLIC MARKETS
REPOS
RESERVE
RESERVES
RETURN
RISK EXPOSURES
RISK FACTORS
RISK MANAGEMENT
RISK MANAGEMENT SERVICES
RISK OF LOANS
RISK PROFILE
RISK SHARING
SETTLEMENT
SHORT-TERM BORROWINGS
SHORT-TERM FINANCE
SUBORDINATED DEBT
SWAP
SWAP MARKET
TIME DEPOSITS
TRADE FINANCE
TRADING
TRANSACTION
TRANSACTION COSTS
TRANSITION COUNTRIES
TREASURY
VALUE OF ASSETS
VARIABLE RATE
WAREHOUSE
WARRANTS
WORKING CAPITAL
International Finance Corporation
IFC Financials and Projects 2014 : Big Challenges, Big Solutions
description International Finance Corporation (IFC or the Corporation) is the largest global development institution focused on the private sector in developing countries. Established in 1956, IFC is owned by 184 member countries, a group that collectively determines its policies. IFC is a member of the World Bank Group (WBG)1 but is a legal entity separate and distinct from IBRD, IDA, MIGA, and ICSID, with its own Articles of Agreement, share capital, financial structure, management, and staff. Membership in IFC is open only to member countries of IBRD. At the 2013 Spring Meetings, the WBG adopted two ambitious goals: to end extreme poverty by 2030 and to boost shared prosperity for the poorest 40 percent in developing countries. At the Annual Meetings in October 2013, the Board of Governors approved the first strategy for the WBG focused on delivery of transformational solutions, marshaling combined resources more effectively, and accelerating collaboration with the private sector and our development partners. IFC s strategic focus areas are: strengthening the focus on frontier markets; addressing climate change and ensuring environmental and social sustainability; addressing constraints to private sector growth in infrastructure, health, education, and the food-supply chain; developing local financial markets; and building long-term client relationships in emerging markets.
format Publications & Research :: Annual Report
topic_facet ACCOUNTING
ASSET CLASS
ASSET MANAGEMENT
ASSET PORTFOLIOS
ASSET-BACKED SECURITIES
ASSET-LIABILITY MANAGEMENT
ASSET-LIABILITY MISMATCHES
BALANCE SHEET
BALANCE SHEETS
BANKING INSTITUTIONS
BASIS POINT
BOND
BOND MARKETS
BONDS
BORROWING COSTS
BUYBACKS
CALL OPTIONS
CAPITAL ADEQUACY
CAPITAL ALLOCATION
CAPITAL BASE
CAPITAL FLOWS
CAPITAL MARKETS DEVELOPMENT
CAPITAL REQUIREMENTS
CAPITAL STOCK
CAPITALIZATION
CASH FLOWS
CENTRAL BANK
CENTRAL BANKS
COLLATERAL
COLLATERAL AGREEMENTS
COLLECTIVE INVESTMENT
COMMERCIAL BANKING
COMMERCIAL BANKS
COMMERCIAL CREDIT
COMPETITIVE MARKETS
CONTRACTUAL OBLIGATION
CONTRACTUAL OBLIGATIONS
CORPORATE GOVERNANCE
CORPORATE LAW
CREDIT ASSESSMENT
CREDIT DEFAULT
CREDIT GUARANTEES
CREDIT MARKETS
CREDIT RATING AGENCIES
CREDIT RATINGS
CREDIT RISK
CREDIT RISK EXPOSURE
CURRENCY
CURRENCY RISK
DEBT
DEBT INSTRUMENTS
DEBT ISSUANCE
DEBT OBLIGATIONS
DEBT SECURITIES
DEBT SECURITY
DEFAULT RISK
DERIVATIVE
DERIVATIVE INSTRUMENTS
DERIVATIVE PRODUCTS
DERIVATIVE TRANSACTION
DERIVATIVE TRANSACTIONS
DERIVATIVES
DERIVATIVES MARKET
DEVELOPING COUNTRIES
DEVELOPMENT FINANCE
DISBURSEMENT
DISBURSEMENTS
DISCOUNT NOTE
DOMESTIC CAPITAL
DOMESTIC CAPITAL MARKETS
DOMESTIC MARKETS
DUE DILIGENCE
EMERGING MARKET
EMERGING MARKET EQUITY
EMERGING MARKETS
EQUITIES
EQUITY FUNDS
EQUITY INVESTMENT
EQUITY INVESTMENTS
EQUITY MARKET
EQUITY MARKET VOLATILITIES
EQUITY MARKETS
EQUITY RETURNS
EQUITY VALUATIONS
EXPENDITURES
EXTERNAL FUNDING
FAIR VALUE
FINANCES
FINANCIAL ASSETS
FINANCIAL FUTURES
FINANCIAL INFRASTRUCTURE
FINANCIAL INSTITUTIONS
FINANCIAL INSTRUMENT
FINANCIAL INSTRUMENTS
FINANCIAL PERFORMANCE
FINANCIAL RISK
FINANCIAL STATEMENTS
FINANCIAL STRUCTURE
FINANCIAL SUSTAINABILITY
FLOATING RATE
FOREIGN CURRENCY
FOREIGN EXCHANGE
FRAUD
FUTURE LOAN
GLOBAL BOND
GLOBAL BOND MARKETS
GLOBAL TRADE
GOVERNMENT GUARANTEES
HOST GOVERNMENT
IMPLIED VOLATILITIES
INSTITUTIONAL INVESTORS
INSURANCE
INTEREST RATE
INTEREST RATE FUTURES
INTEREST RATE RISK
INTEREST RATE RISKS
INTEREST RATE SWAP
INTEREST RATE SWAPS
INTEREST RATES
INTERNAL AUDIT
INTERNATIONAL BANK
INTERNATIONAL CAPITAL
INTERNATIONAL CAPITAL MARKETS
INTERNATIONAL CREDIT
INTERNATIONAL CREDIT RATING
INTERNATIONAL DEVELOPMENT
INTERNATIONAL FINANCE
INTERNATIONAL FINANCIAL INSTITUTIONS
INTERNATIONAL FINANCIAL MARKETS
INVESTING
INVESTMENT ACTIVITIES
INVESTMENT CLIMATE
INVESTMENT GUIDELINES
INVESTMENT PORTFOLIO
INVESTMENT PROJECTS
INVESTMENT VEHICLES
ISLAMIC FINANCE
ISSUANCE
ISSUANCES
LENDER
LENDERS
LENDING PORTFOLIO
LIABILITY
LIQUID ASSET
LIQUID ASSETS
LIQUIDITY
LIQUIDITY MANAGEMENT
LIQUIDITY RISK
LLC
LOAN
LOAN PORTFOLIO
LOCAL BANKS
LOCAL CURRENCIES
LOCAL CURRENCY
LOCAL FINANCIAL MARKETS
LOCAL GOVERNMENTS
LONG-TERM EXTERNAL DEBT
LONG-TERM FINANCE
MARK-TO-MARKET
MARKET BENCHMARKS
MARKET BORROWINGS
MARKET CONDITIONS
MARKET MAKERS
MARKET PRICES
MARKET RISK
MARKET RISKS
MATURITIES
MATURITY
MONETARY POLICIES
MONEY MARKET
MORTGAGE
MORTGAGE-BACKED SECURITIES
NON-PERFORMING LOANS
OPEN MARKET
OUTSIDE INVESTORS
OUTSTANDING DEBT
PARTIAL CREDIT
PAYMENT OBLIGATIONS
PENSION
PENSION FUNDS
PORTFOLIO MANAGEMENT
PORTFOLIO RISK
PORTFOLIOS
PREPAYMENTS
PRICE VOLATILITY
PRIVATE EQUITY
PRIVATE SECTOR FINANCE
PROBABILITY OF DEFAULT
PUBLIC MARKETS
REPOS
RESERVE
RESERVES
RETURN
RISK EXPOSURES
RISK FACTORS
RISK MANAGEMENT
RISK MANAGEMENT SERVICES
RISK OF LOANS
RISK PROFILE
RISK SHARING
SETTLEMENT
SHORT-TERM BORROWINGS
SHORT-TERM FINANCE
SUBORDINATED DEBT
SWAP
SWAP MARKET
TIME DEPOSITS
TRADE FINANCE
TRADING
TRANSACTION
TRANSACTION COSTS
TRANSITION COUNTRIES
TREASURY
VALUE OF ASSETS
VARIABLE RATE
WAREHOUSE
WARRANTS
WORKING CAPITAL
author International Finance Corporation
author_facet International Finance Corporation
author_sort International Finance Corporation
title IFC Financials and Projects 2014 : Big Challenges, Big Solutions
title_short IFC Financials and Projects 2014 : Big Challenges, Big Solutions
title_full IFC Financials and Projects 2014 : Big Challenges, Big Solutions
title_fullStr IFC Financials and Projects 2014 : Big Challenges, Big Solutions
title_full_unstemmed IFC Financials and Projects 2014 : Big Challenges, Big Solutions
title_sort ifc financials and projects 2014 : big challenges, big solutions
publisher Washington, DC: World Bank Group
publishDate 2014-09-25
url http://documents.worldbank.org/curated/en/2014/01/20234711/international-finance-corporation-ifc-annual-report-2014-big-challenges-big-solutions-vol-2-2-ifc-financials-projects-2014
http://hdl.handle.net/10986/20258
work_keys_str_mv AT internationalfinancecorporation ifcfinancialsandprojects2014bigchallengesbigsolutions
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spelling dig-okr-10986202582021-04-23T14:03:55Z IFC Financials and Projects 2014 : Big Challenges, Big Solutions International Finance Corporation ACCOUNTING ASSET CLASS ASSET MANAGEMENT ASSET PORTFOLIOS ASSET-BACKED SECURITIES ASSET-LIABILITY MANAGEMENT ASSET-LIABILITY MISMATCHES BALANCE SHEET BALANCE SHEETS BANKING INSTITUTIONS BASIS POINT BOND BOND MARKETS BONDS BORROWING COSTS BUYBACKS CALL OPTIONS CAPITAL ADEQUACY CAPITAL ALLOCATION CAPITAL BASE CAPITAL FLOWS CAPITAL MARKETS DEVELOPMENT CAPITAL REQUIREMENTS CAPITAL STOCK CAPITALIZATION CASH FLOWS CENTRAL BANK CENTRAL BANKS COLLATERAL COLLATERAL AGREEMENTS COLLECTIVE INVESTMENT COMMERCIAL BANKING COMMERCIAL BANKS COMMERCIAL CREDIT COMPETITIVE MARKETS CONTRACTUAL OBLIGATION CONTRACTUAL OBLIGATIONS CORPORATE GOVERNANCE CORPORATE LAW CREDIT ASSESSMENT CREDIT DEFAULT CREDIT GUARANTEES CREDIT MARKETS CREDIT RATING AGENCIES CREDIT RATINGS CREDIT RISK CREDIT RISK EXPOSURE CURRENCY CURRENCY RISK DEBT DEBT INSTRUMENTS DEBT ISSUANCE DEBT OBLIGATIONS DEBT SECURITIES DEBT SECURITY DEFAULT RISK DERIVATIVE DERIVATIVE INSTRUMENTS DERIVATIVE PRODUCTS DERIVATIVE TRANSACTION DERIVATIVE TRANSACTIONS DERIVATIVES DERIVATIVES MARKET DEVELOPING COUNTRIES DEVELOPMENT FINANCE DISBURSEMENT DISBURSEMENTS DISCOUNT NOTE DOMESTIC CAPITAL DOMESTIC CAPITAL MARKETS DOMESTIC MARKETS DUE DILIGENCE EMERGING MARKET EMERGING MARKET EQUITY EMERGING MARKETS EQUITIES EQUITY FUNDS EQUITY INVESTMENT EQUITY INVESTMENTS EQUITY MARKET EQUITY MARKET VOLATILITIES EQUITY MARKETS EQUITY RETURNS EQUITY VALUATIONS EXPENDITURES EXTERNAL FUNDING FAIR VALUE FINANCES FINANCIAL ASSETS FINANCIAL FUTURES FINANCIAL INFRASTRUCTURE FINANCIAL INSTITUTIONS FINANCIAL INSTRUMENT FINANCIAL INSTRUMENTS FINANCIAL PERFORMANCE FINANCIAL RISK FINANCIAL STATEMENTS FINANCIAL STRUCTURE FINANCIAL SUSTAINABILITY FLOATING RATE FOREIGN CURRENCY FOREIGN EXCHANGE FRAUD FUTURE LOAN GLOBAL BOND GLOBAL BOND MARKETS GLOBAL TRADE GOVERNMENT GUARANTEES HOST GOVERNMENT IMPLIED VOLATILITIES INSTITUTIONAL INVESTORS INSURANCE INTEREST RATE INTEREST RATE FUTURES INTEREST RATE RISK INTEREST RATE RISKS INTEREST RATE SWAP INTEREST RATE SWAPS INTEREST RATES INTERNAL AUDIT INTERNATIONAL BANK INTERNATIONAL CAPITAL INTERNATIONAL CAPITAL MARKETS INTERNATIONAL CREDIT INTERNATIONAL CREDIT RATING INTERNATIONAL DEVELOPMENT INTERNATIONAL FINANCE INTERNATIONAL FINANCIAL INSTITUTIONS INTERNATIONAL FINANCIAL MARKETS INVESTING INVESTMENT ACTIVITIES INVESTMENT CLIMATE INVESTMENT GUIDELINES INVESTMENT PORTFOLIO INVESTMENT PROJECTS INVESTMENT VEHICLES ISLAMIC FINANCE ISSUANCE ISSUANCES LENDER LENDERS LENDING PORTFOLIO LIABILITY LIQUID ASSET LIQUID ASSETS LIQUIDITY LIQUIDITY MANAGEMENT LIQUIDITY RISK LLC LOAN LOAN PORTFOLIO LOCAL BANKS LOCAL CURRENCIES LOCAL CURRENCY LOCAL FINANCIAL MARKETS LOCAL GOVERNMENTS LONG-TERM EXTERNAL DEBT LONG-TERM FINANCE MARK-TO-MARKET MARKET BENCHMARKS MARKET BORROWINGS MARKET CONDITIONS MARKET MAKERS MARKET PRICES MARKET RISK MARKET RISKS MATURITIES MATURITY MONETARY POLICIES MONEY MARKET MORTGAGE MORTGAGE-BACKED SECURITIES NON-PERFORMING LOANS OPEN MARKET OUTSIDE INVESTORS OUTSTANDING DEBT PARTIAL CREDIT PAYMENT OBLIGATIONS PENSION PENSION FUNDS PORTFOLIO MANAGEMENT PORTFOLIO RISK PORTFOLIOS PREPAYMENTS PRICE VOLATILITY PRIVATE EQUITY PRIVATE SECTOR FINANCE PROBABILITY OF DEFAULT PUBLIC MARKETS REPOS RESERVE RESERVES RETURN RISK EXPOSURES RISK FACTORS RISK MANAGEMENT RISK MANAGEMENT SERVICES RISK OF LOANS RISK PROFILE RISK SHARING SETTLEMENT SHORT-TERM BORROWINGS SHORT-TERM FINANCE SUBORDINATED DEBT SWAP SWAP MARKET TIME DEPOSITS TRADE FINANCE TRADING TRANSACTION TRANSACTION COSTS TRANSITION COUNTRIES TREASURY VALUE OF ASSETS VARIABLE RATE WAREHOUSE WARRANTS WORKING CAPITAL International Finance Corporation (IFC or the Corporation) is the largest global development institution focused on the private sector in developing countries. Established in 1956, IFC is owned by 184 member countries, a group that collectively determines its policies. IFC is a member of the World Bank Group (WBG)1 but is a legal entity separate and distinct from IBRD, IDA, MIGA, and ICSID, with its own Articles of Agreement, share capital, financial structure, management, and staff. Membership in IFC is open only to member countries of IBRD. At the 2013 Spring Meetings, the WBG adopted two ambitious goals: to end extreme poverty by 2030 and to boost shared prosperity for the poorest 40 percent in developing countries. At the Annual Meetings in October 2013, the Board of Governors approved the first strategy for the WBG focused on delivery of transformational solutions, marshaling combined resources more effectively, and accelerating collaboration with the private sector and our development partners. IFC s strategic focus areas are: strengthening the focus on frontier markets; addressing climate change and ensuring environmental and social sustainability; addressing constraints to private sector growth in infrastructure, health, education, and the food-supply chain; developing local financial markets; and building long-term client relationships in emerging markets. 2014-09-29T19:45:18Z 2014-09-29T19:45:18Z 2014-09-25 http://documents.worldbank.org/curated/en/2014/01/20234711/international-finance-corporation-ifc-annual-report-2014-big-challenges-big-solutions-vol-2-2-ifc-financials-projects-2014 http://hdl.handle.net/10986/20258 English en_US CC BY-NC-ND 3.0 IGO http://creativecommons.org/licenses/by-nc-nd/3.0/igo/ Washington, DC: World Bank Group Publications & Research :: Annual Report Publications & Research