IFC Annual Report 2010 : Where Innovation Meets Impact, Volume 2. IFC Financials, Projects, and Portfolio 2010

More than 200 million people in the developing world were out of work this year. Over 1 billion are hungry, while millions more are confronting the threat that climate change poses. The United Nations estimates that 884 million people don't have safe drinking water and more than 2.6 billion people lack basic sanitation. The population of the developing world will expand by a third over the next four decades, growth that will strain already weak infrastructure. In this environment, International Finance Corporation (IFC) is innovating to create opportunity where it's needed most. IFC committed a record $18 billion in fiscal year 2010, $12.7 billion of which was for own account. We invested in 528 projects, an 18 percent increase from FY09. Advisory Services portfolio comprised 736 active projects valued at more than $850 million, with annual expenditures totaling $268 million. Countries served by the International Development Association, or IDA, accounted for nearly half our investments 255 projects totaling $4.9 billion and more than 60 percent of Advisory Services expenditures. Sub-Saharan Africa accounted for 19 percent of our investment commitments and 25 percent of Advisory Services expenditures. The invested a record $1.64 billion in clean energy, leveraging $6.8 billion, while climate change related projects grew to 15 percent of the value of our Advisory Services portfolio. The investments in microfinance rose 10 percent to $400 million, expanding microfinance portfolio to $1.2 billion.

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Bibliographic Details
Main Author: International Finance Corporation
Language:English
Published: Washington, DC: World Bank 2010
Subjects:ACCOUNTING, ACCOUNTING STANDARDS, ASSET CLASS, ASSET MANAGEMENT, ASSET PORTFOLIOS, ASSET QUALITY, ASSET VALUES, ASSET-BACKED SECURITIES, ASSET-LIABILITY MANAGEMENT, ASSET-LIABILITY MISMATCHES, ASSETS RATIO, BALANCE SHEET, BALANCE SHEETS, BANK DEPOSITS, BENCHMARK BONDS, BONDS, BORROWER, BUYBACKS, CAPITAL ADEQUACY, CAPITAL ALLOCATION, CAPITAL BASE, CAPITAL GAINS, CAPITAL REQUIREMENTS, CAPITAL STOCK, CAPITALIZATION, CASH FLOWS, CASH INFLOWS, CERTIFICATES OF DEPOSITS, COLLATERAL, COLLATERAL AGREEMENTS, COLLECTIVE INVESTMENT, COMMERCIAL BANKS, COMMODITY PRICE, CONFLICTS OF INTEREST, CONTRACTUAL OBLIGATIONS, CORPORATE BONDS, CORPORATE GOVERNANCE, CORPORATE LAW, CREDIT GUARANTEES, CREDIT POLICIES, CREDIT QUALITY, CREDIT RATING, CREDIT RATING AGENCIES, CREDIT RATINGS, CREDIT RISK, CREDIT RISK EXPOSURES, CURRENCY, CURRENCY COMPOSITION, CURRENCY RISK, DEBT, DEBT INSTRUMENTS, DEBT OBLIGATIONS, DEBT RESTRUCTURING, DEBT SECURITIES, DEBT SECURITY, DECENTRALIZATION, DERIVATIVE, DERIVATIVE INSTRUMENTS, DERIVATIVE PRODUCTS, DERIVATIVE TRANSACTIONS, DERIVATIVES, DERIVATIVES MARKET, DEVELOPING COUNTRIES, DEVELOPING COUNTRY, DEVELOPMENT FINANCE, DIRECT INVESTMENTS, DISBURSEMENT, DISBURSEMENTS, DISCOUNT NOTE, DIVERSIFIED INVESTOR, DOMESTIC CAPITAL, DOMESTIC CAPITAL MARKETS, DOMESTIC MARKETS, DUE DILIGENCE, EMERGING MARKET, EMERGING MARKET COUNTRY, EMERGING MARKETS, ENABLING ENVIRONMENT, EQUITY FUND, EQUITY FUNDS, EQUITY INVESTMENT, EQUITY INVESTMENTS, EQUITY RETURNS, EQUITY VALUATIONS, EXCHANGE RATES, EXPENDITURES, EXTERNAL FUNDING, FAIR VALUE, FAIR VALUES, FINANCES, FINANCIAL CRISIS, FINANCIAL FUTURES, FINANCIAL INSTITUTION, FINANCIAL INSTRUMENTS, FINANCIAL MARKET, FINANCIAL PERFORMANCE, FINANCIAL RISK, FINANCIAL STATEMENTS, FINANCIAL STRUCTURE, FINANCIAL SYSTEM, FISCAL POLICY, FIXED INCOME, FIXED INCOME SECURITIES, FLOATER, FLOATING RATE, FOREIGN CURRENCY, FOREIGN EXCHANGE, FOREIGN INVESTMENT, FRAUD, FUND MANAGER, GLOBAL TRADE, GOVERNANCE STANDARDS, GOVERNMENT BONDS, GOVERNMENT GUARANTEES, GOVERNMENT SECURITIES, GUARANTEE FEES, HOST GOVERNMENT, INCOME INSTRUMENTS, INFORMATION TECHNOLOGY, INSURANCE, INTEREST RATE, INTEREST RATE FUTURES, INTEREST RATE RISK, INTEREST RATE RISKS, INTEREST RATE SWAP, INTEREST RATE SWAPS, INTERNATIONAL BANK, INTERNATIONAL CAPITAL, INTERNATIONAL CAPITAL MARKETS, INTERNATIONAL CREDIT, INTERNATIONAL CREDIT RATING, INTERNATIONAL DEVELOPMENT, INTERNATIONAL FINANCE, INTERNATIONAL FINANCIAL INSTITUTIONS, INVESTING, INVESTMENT ACTIVITY, INVESTMENT CLIMATE, INVESTMENT GUIDELINES, INVESTMENT OPPORTUNITIES, INVESTMENT PORTFOLIO, INVESTMENT PROCESS, INVESTMENT VEHICLES, INVESTOR CONFIDENCE, ISSUANCE, ISSUANCES, LENDER, LENDERS, LIABILITY, LIQUID ASSET, LIQUID ASSETS, LIQUIDITY, LIQUIDITY MANAGEMENT, LIQUIDITY RISK, LIVING STANDARDS, LOAN, LOAN PARTICIPANTS, LOAN PORTFOLIO, LOCAL CURRENCY, LOCAL FINANCIAL MARKETS, LOCAL GOVERNMENT, LONG-TERM EXTERNAL DEBT, MARK-TO-MARKET, MARKET ACCESS, MARKET BORROWINGS, MARKET CONDITIONS, MARKET LIQUIDITY, MARKET MAKERS, MARKET RISK, MATURITIES, MATURITY, MICRO-FINANCE, MICROFINANCE, MONEY MARKET, MONEY MARKET INSTRUMENTS, MORTGAGE, MORTGAGE FINANCE, MORTGAGE-BACKED SECURITIES, NONPERFORMING LOAN, OUTSTANDING DEBT, PARTIAL CREDIT, PORTFOLIO, PORTFOLIO MANAGEMENT, PORTFOLIOS, POTENTIAL INVESTMENT, PRICE TRANSPARENCY, PRIVATE CAPITAL, PRIVATE EQUITY, PRIVATE INVESTORS, PRIVATE SECTOR FINANCE, PROBABILITY OF DEFAULT, PRODUCTIVE INVESTMENTS, PUBLIC MARKETS, REPAYMENT, REPOS, RESERVE, RESERVES, RETURN, RISK MANAGEMENT, RISK MANAGEMENT SERVICES, RISK MANAGEMENT TOOLS, RISK OF LOANS, RISK SHARING, SETTLEMENT, SHAREHOLDERS, SOVEREIGN RISK, SUBORDINATED DEBT, SWAP, TIME DEPOSITS, TRADE FINANCE, TRADING, TRANSACTION, TRANSITION COUNTRIES, TREASURIES, TREASURY, TRUST FUNDS, VARIABLE RATE,
Online Access:http://www-wds.worldbank.org/external/default/main?menuPK=64187510&pagePK=64193027&piPK=64187937&theSitePK=523679&menuPK=64187510&searchMenuPK=64187283&siteName=WDS&entityID=000333037_20110317033104
https://hdl.handle.net/10986/4360
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