Template:2002 ISDA Equity Derivatives Definitions 8.1: Difference between revisions

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Created page with "Section {{eqderivprov|8.1}}. Cash Settlement of Option Transactions. In respect of each {{eqderivprov|Exercise Date}} under an {{eqderivprov|Option Transaction}} for which “..."
 
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Section {{eqderivprov|8.1}}. Cash Settlement of Option Transactions. In respect of each {{eqderivprov|Exercise Date}} under an {{eqderivprov|Option Transaction}} for which “'''{{eqderivprov|Cash Settlement}}'''” is applicable, {{eqderivprov|Seller}} shall pay to {{eqderivprov|Buyer}} the {{eqderivprov|Option Cash Settlement Amount}}, if any, on the relevant {{eqderivprov|Cash Settlement Payment Date}} for all {{eqderivprov|Options}} exercised or deemed exercised on that {{eqderivprov|Exercise Date}}.  <br>
Section {{eqderivprov|8.1}}. '''{{eqderivprov|Cash Settlement of Option Transactions}}'''. In respect of each {{eqderivprov|Exercise Date}} under an {{eqderivprov|Option Transaction}} for which “'''{{eqderivprov|Cash Settlement}}'''” is applicable, {{eqderivprov|Seller}} shall pay to {{eqderivprov|Buyer}} the {{eqderivprov|Option Cash Settlement Amount}}, if any, on the relevant {{eqderivprov|Cash Settlement Payment Date}} for all {{eqderivprov|Options}} exercised or deemed exercised on that {{eqderivprov|Exercise Date}}.  <br>

Latest revision as of 12:50, 10 May 2018

Section 8.1. Cash Settlement of Option Transactions. In respect of each Exercise Date under an Option Transaction for which “Cash Settlement” is applicable, Seller shall pay to Buyer the Option Cash Settlement Amount, if any, on the relevant Cash Settlement Payment Date for all Options exercised or deemed exercised on that Exercise Date.