Template:Nutshell Equity Derivatives 5.10: Difference between revisions

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{{eqderivprov|5.10}} '''{{eqderivprov|Equity Notional Reset}}''': if "{{eqderivprov|Equity Notional Reset}}" applies the {{eqderivprov|Equity Notional Amount}} after any Cash Settlement Payment Date will be adjusted so it equals the sum of the existing {{eqderivprov|Equity Notional Amount}} and the {{eqderivprov|Equity Amount}} in respect of that {{eqderivprov|Cash Settlement Payment Date}}.
{{eqderivprov|5.10}} '''{{eqderivprov|Equity Notional Reset}}''': if "{{eqderivprov|Equity Notional Reset}}" applies the {{eqderivprov|Equity Notional Amount}} following any {{eqderivprov|Cash Settlement Payment Date}} will be adjusted to equal the existing {{eqderivprov|Equity Notional Amount}} plus (or minus) the {{eqderivprov|Equity Amount}} determined on that {{eqderivprov|Cash Settlement Payment Date}}.

Revision as of 17:57, 14 December 2015

5.10 Equity Notional Reset: if "Equity Notional Reset" applies the Equity Notional Amount following any Cash Settlement Payment Date will be adjusted to equal the existing Equity Notional Amount plus (or minus) the Equity Amount determined on that Cash Settlement Payment Date.