Valuation Time - NY CSA Provision: Difference between revisions
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{{ | {{nman|csa|1994|Valuation Time}} |
Latest revision as of 09:30, 23 August 2024
ISDA 1994 New York Law Credit Support Annex
A Jolly Contrarian owner’s manual™ Valuation Time in a Nutshell™
Original text
Resources and Navigation
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Comparisons
The Valuation Time definition loosens up somewhat in the VM CSAs. More discussion of that below, and here is a comparison, for the fiendishly interested.
Basics
A bit of an evolution in the concept of the Template:NycsaprovValuation Time between the OG and VM versions of the CSA.
In the OG versions, the Template:NycsaprovValuation Time defaulted to one of close of business on the Template:NycsaprovValuation Date — which figures, intuitively, or close of business on the Local Business Day immediately before the Template:NycsaprovValuation Date — which doesn’t, as a matter of cold semantic logic, but okay, the time by reference to which you calculate a value, does not have to be on the same day that you actually calculate it, as long as it has already happened. Fine. In fact, when you think about it the Template:NycsaprovValuation Time being at the close of business on a Template:NycsaprovValuation Date implies that the point in the day at which you are actually performing your valuation calculations is, well, after closing time: the bell has rung and everyone has started drifting home. That doesn’t really make a lot of sense either. But hey ho.
In the VM CSAs, the Valuation Time is quite a lot looser. If you haven’t fiddled with it, the Valuation Time is the Valuation Agent’s normal time for calculating end-of-day valuations — which need not, therefore, be the actual end of the day — or any other commercially reasonable time “on the relevant day”. “Day”, not “date”, and not Template:NycsaprovValuation Date, so it could still be the preceding day, but logically it doesn’t make a lot of sense (we think) to presume it could be afterward.
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See also
Template:Csa Valuation Time sa