Cash Settlement of Equity Swap Transactions - Equity Derivatives Provision: Difference between revisions

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See also {{eqderivprov|Equity Notional Reset}} whcih provides for the automatically re-striking of the {{eqderivprov|Equity Notional Amount}} each Cash Settlement Payment Date.
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Revision as of 17:10, 7 April 2014

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Commentary

Equity Swap Transactions can be settled either by reference to Price Return or Total Return, but not Slight Return.

Section 8.6, Cash Settlement of Equity Swap Transactions, provides, more or less, that where “Cash Settlement” applies, a payment is made on each Cash Settlement Payment Date depending on the Type of Return specified.

See also Equity Notional Reset whcih provides for the automatically re-striking of the Equity Notional Amount each Cash Settlement Payment Date.

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