Template:2016 VM CSA Section 10 TOC: Difference between revisions

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===Paragraph {{vmcsaprov|10}}. {{vmcsaprov|Definitions}}===
===Paragraph {{vmcsaprov|10}}. {{vmcsaprov|Definitions}}===
{{vmcsaprov|Base Currency}}<br>
{{vmcsaprov|Base Currency Equivalent}}<br>
{{vmcsaprov|Credit Support Balance (VM)}}<br>
{{vmcsaprov|Credit Support Eligibility Condition (VM)}}<br>
{{vmcsaprov|Delivery Amount (VM)}} has the meaning specified in Paragraph {{vmcsaprov|2(a)}}.<br>
{{vmcsaprov|Delivery Amount Reduction (VM)}} has the meaning specified in Paragraph {{vmcsaprov|5(c)(ii)(A)(II)}}.<br>
{{vmcsaprov|Disputing Party}} has the meaning specified in Paragraph {{vmcsaprov|4}}.<br>
{{vmcsaprov|Distributions}}<br>
{{vmcsaprov|Distributions Date}}<br>
{{vmcsaprov|Eligible Credit Support (VM)}}<br>
{{vmcsaprov|Eligible Currency}}<br>
{{vmcsaprov|Eligible Return Amount (VM)}}  has the meaning specified in Paragraph {{vmcsaprov|5(c)(ii)(A)(I)(a)}}.<br>
{{vmcsaprov|Equivalent Credit Support}}<br>
{{vmcsaprov|Equivalent Distributions}} has the meaning specified in Paragraph {{vmcsaprov|5(c)(i)}}.<br>
{{vmcsaprov|Exchange Date}} has the meaning specified in Paragraph {{vmcsaprov|11(d)}}.<br>
{{vmcsaprov|Exposure}}<br>
{{vmcsaprov|Fungible Credit Support Type}}<br>
{{vmcsaprov|FX Haircut Percentage}}<br>
{{vmcsaprov|Interest Adjustment Reduction Amount (VM)}}<br>
{{vmcsaprov|Interest Amount (VM)}}<br>
{{vmcsaprov|Interest Payee (VM)}}<br>
{{vmcsaprov|Interest Payer (VM)}}<br>
{{vmcsaprov|Interest Payment (VM)}}<br>
{{vmcsaprov|Interest Period}}<br>
{{vmcsaprov|Interest Rate (VM)}}<br>
{{vmcsaprov|Legal Eligibility Requirements}}  has the meaning specified in Paragraph {{vmcsaprov|9(e)}}<br>
{{vmcsaprov|Legal Ineligibility Notice}}  has the meaning specified in Paragraph {{vmcsaprov|9(e)}}<br>
{{vmcsaprov|Local Business Day}}<br>
{{vmcsaprov|Minimum Transfer Amount}}<br>
{{vmcsaprov|New Credit Support (VM)}} has the meaning specified in Paragraph {{vmcsaprov|3(c)(i)}}.<br>
{{vmcsaprov|Notification Time}} has the meaning specified in Paragraph {{vmcsaprov|11(c)(iv)}}.<br>
{{vmcsaprov|Original Credit Support (VM)}} has the meaning specified in Paragraph {{vmcsaprov|3(c)(i)}}.<br>
{{vmcsaprov|Other vmcsa}}<br>
{{vmcsaprov|Other vmcsa Excluded Credit Support}}<br>
{{vmcsaprov|Recalculation Date}}<br>
{{vmcsaprov|Regular Settlement Day}}<br>
{{vmcsaprov|Resolution Time}} has the meaning specified in Paragraph {{vmcsaprov|11(c)(i)}}.<br>
{{vmcsaprov|Return Amount (VM)}} has the meaning specified in Paragraph {{vmcsaprov|2(b)}}.<br>
{{vmcsaprov|return Amount Reduction (VM)}} has the meaning specified in Paragraph {{vmcsaprov|5(c)(ii)(A)(II)}}<br>
{{vmcsaprov|Settlement Day}}<br>
{{vmcsaprov|Total Ineligibility Date}} has the meaning specified in Paragraph {{vmcsaprov|9(e)}} unless otherwise specified in Paragraph {{vmcsaprov|11}}. <br>
{{vmcsaprov|Transferee}}<br>
{{vmcsaprov|Transferor}}<br>
{{vmcsaprov|Transfer Ineligibility Date}} has the meaning specified in Paragraph {{vmcsaprov|9(e)}} unless otherwise specified in Paragraph {{vmcsaprov|11}}. <br>
{{vmcsaprov|Valuation Agent}} has the meaning specified in Paragraph {{vmcsaprov|11(c)(i)}}.<br>
{{vmcsaprov|Valuation Date}}<br>
{{vmcsaprov|Valuation Date Location}} has the meaning specified in Paragraph {{vmcsaprov|11(d)(ii)}}<br>
{{vmcsaprov|Valuation Percentage}}<br>
{{vmcsaprov|Valuation Time}}.<br>
{{vmcsaprov|Value}}<br>

Revision as of 13:18, 2 December 2019

Paragraph 10. Definitions

Base Currency
Base Currency Equivalent
Credit Support Balance (VM)
Credit Support Eligibility Condition (VM)
Delivery Amount (VM) has the meaning specified in Paragraph 2(a).
Delivery Amount Reduction (VM) has the meaning specified in Paragraph 5(c)(ii)(A)(II).
Disputing Party has the meaning specified in Paragraph 4.
Distributions
Distributions Date
Eligible Credit Support (VM)
Eligible Currency
Eligible Return Amount (VM) has the meaning specified in Paragraph 5(c)(ii)(A)(I)(a).
Equivalent Credit Support
Equivalent Distributions has the meaning specified in Paragraph 5(c)(i).
Exchange Date has the meaning specified in Paragraph 11(d).
Exposure
Fungible Credit Support Type
FX Haircut Percentage
Interest Adjustment Reduction Amount (VM)
Interest Amount (VM)
Interest Payee (VM)
Interest Payer (VM)
Interest Payment (VM)
Interest Period
Interest Rate (VM)
Legal Eligibility Requirements has the meaning specified in Paragraph 9(e)
Legal Ineligibility Notice has the meaning specified in Paragraph 9(e)
Local Business Day
Minimum Transfer Amount
New Credit Support (VM) has the meaning specified in Paragraph 3(c)(i).
Notification Time has the meaning specified in Paragraph 11(c)(iv).
Original Credit Support (VM) has the meaning specified in Paragraph 3(c)(i).
Other vmcsa
Other vmcsa Excluded Credit Support
Recalculation Date
Regular Settlement Day
Resolution Time has the meaning specified in Paragraph 11(c)(i).
Return Amount (VM) has the meaning specified in Paragraph 2(b).
return Amount Reduction (VM) has the meaning specified in Paragraph 5(c)(ii)(A)(II)
Settlement Day
Total Ineligibility Date has the meaning specified in Paragraph 9(e) unless otherwise specified in Paragraph 11.
Transferee
Transferor
Transfer Ineligibility Date has the meaning specified in Paragraph 9(e) unless otherwise specified in Paragraph 11.
Valuation Agent has the meaning specified in Paragraph 11(c)(i).
Valuation Date
Valuation Date Location has the meaning specified in Paragraph 11(d)(ii)
Valuation Percentage
Valuation Time.
Value