Template:Nutshell Equity Derivatives 1.36: Difference between revisions
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Revision as of 17:03, 9 May 2022
Section 1.36. Clearance System Business Day. “Clearance System Business Day” means, in respect of a Clearance System, any day on which such Clearance System is (or, but for the occurrence of a Settlement Disruption Event, would have been) open for the acceptance and execution of settlement instructions.