Template:2010 GMSLA Section 11 TOC: Difference between revisions
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'''{{gmslaprov|11}}. {{gmslaprov|Consequences of | '''{{gmslaprov|11}}. {{gmslaprov|Consequences of an Event of Default}}''' <br> | ||
{{gmslaprov|11.1}} Application of {{gmslaprov|11.2}} to {{gmslaprov|11.7}} following Event of Default <br> | {{gmslaprov|11.1}} Application of {{gmslaprov|11.2}} to {{gmslaprov|11.7}} following Event of Default <br> | ||
{{gmslaprov|11.2}} Delivery and payment obligations following {{gmslaprov|Event of Default}} <br> | {{gmslaprov|11.2}} Delivery and payment obligations following {{gmslaprov|Event of Default}} <br> |
Revision as of 08:05, 12 July 2013
11. Consequences of an Event of Default
11.1 Application of 11.2 to 11.7 following Event of Default
11.2 Delivery and payment obligations following Event of Default
11.3 Definition of Default Market Value
11.4 Determination of Default Market Value
11.5 Net Value determination where unable to sell Securities
11.6 Where Non-Defaulting Party has not determined Default Market Value
11.7 Other costs, expenses and interest payable in consequence of an Event of Default
11.8 Set-off