Template:Nutshell Equity Derivatives 8.1: Difference between revisions

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Section {{eqderivprov|8.1}}. '''{{eqderivprov|Cash Settlement of Option Transactions}}'''. In respect of each {{eqderivprov|Exercise Date}} under an {{eqderivprov|Option Transaction}} for which “'''{{eqderivprov|Cash Settlement}}'''” is applicable, {{eqderivprov|Seller}} shall pay to {{eqderivprov|Buyer}} the {{eqderivprov|Option Cash Settlement Amount}}, if any, on the relevant {{eqderivprov|Cash Settlement Payment Date}} for all {{eqderivprov|Options}} exercised or deemed exercised on that {{eqderivprov|Exercise Date}}. <br>
{{eqderivprov|8.1}}. '''{{eqderivprov|Cash Settlement of Option Transactions}}'''. For each {{eqderivprov|Exercise Date}} under a {{eqderivprov|Cash-settled}} {{eqderivprov|Option Transaction}} {{eqderivprov|Seller}} will pay to {{eqderivprov|Buyer}} any {{eqderivprov|Option Cash Settlement Amount}} on the {{eqderivprov|Cash Settlement Payment Date}} for all {{eqderivprov|Options}} exercised on that {{eqderivprov|Exercise Date}}. <br>

Latest revision as of 16:32, 11 May 2022