Regular Settlement Day - VM CSA Provision: Difference between revisions
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Latest revision as of 15:26, 26 March 2024
ISDA 2016 English Law VM Credit Support Annex
A Jolly Contrarian owner’s manual™ Regular Settlement Day in a Nutshell™
Original text
Resources and Navigation
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Comparisons
“Regular Settlement Day” in the 2016 VM CSA takes over from “Settlement Day” in the 1995 CSA. Cash moves same day, rather than next day, so is pretty bracing for those with lax collateral ops teams.
Should we talk about how there is also a separate definition of Settlement Day in the 2016 VM CSA that does something entirely different? I guess we probably should, but we’re not going to, since it just makes me sad.
Basics
Not entirely persuaded the Regular Settlement Day concept works as a piece of technology but doubt anyone would take the point. In Para 3 it keys off the day on which a demand is made, if made before the Notification Time, but the day later, if made after the Notification Time.
“The same Local Business Day on which a demand for the Transfer of Eligible Credit Support (VM) or Posted Credit Support (VM) is made...”
Does that work if the day on which a demand is made is not in fact a Local Business Day?
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See also
- Transaction terminations and VM
- Transfers, Calculations and Exchanges for a blow-by-blow account of the timing of CSA demands.