Template:Nutshell Equity Derivatives 8.7: Difference between revisions
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Amwelladmin (talk | contribs) Created page with "Section {{eqderivprov|8.7}}. The “'''{{eqderivprov|Equity Amount}}'''” for any {{eqderivprov|Cash Settlement Payment Date}} means ''{{eqderivprov|Equity Notional Amount}}..." |
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{{eqderivprov|8.7}}. The “'''{{eqderivprov|Equity Amount}}'''” for any {{eqderivprov|Cash Settlement Payment Date}} means ''{{eqderivprov|Equity Notional Amount}} X {{eqderivprov|Rate of Return}}'' as determined by the {{eqderivprov|Calculation Agent}} at the {{eqderivprov|Valuation Time}} on the {{eqderivprov|Valuation Date}}. <br> |
Latest revision as of 12:18, 13 May 2022
8.7. The “Equity Amount” for any Cash Settlement Payment Date means Equity Notional Amount X Rate of Return as determined by the Calculation Agent at the Valuation Time on the Valuation Date.