Template:ISDA Master Agreement 2002 Local Business Day: Difference between revisions
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“ | “'''{{isdaprov|Local Business Day}}'''” means (a) in relation to any obligation under Section {{isdaprov|2(a)(i)}}, a {{isdaprov|General Business Day}} in the <br>place or places specified in the relevant {{isdaprov|Confirmation}} and a day on which a relevant settlement system is open or <br>operating as specified in the relevant {{isdaprov|Confirmation}} or, if a place or a settlement system is not so specified, as <br>otherwise agreed by the parties in writing or determined pursuant to provisions contained, or incorporated by <br>reference, in this {{isdaprov|Agreement}}, (b) for the purpose of determining when a {{isdaprov|Waiting Period}} expires, a General Business <br>Day in the place where the event or circumstance that constitutes or gives rise to the Illegality or Force Majeure <br>Event, as the case may be, occurs, (c) in relation to any other payment, a {{isdaprov|General Business Day}} in the place where the <br>relevant account is located and, if different, in the principal financial centre, if any, of the currency of such payment <br>and, if that currency does not have a single recognised principal financial centre, a day on which the settlement <br>system necessary to accomplish such payment is open, (d) in relation to any notice or other communication, including <br>notice contemplated under Section {{isdaprov|5(a)(i)}}, a {{isdaprov|General Business Day}} (or a day that would have been a General <br>Business Day but for the occurrence of an event or circumstance which would, if it occurred with respect to payment, <br>delivery or compliance related to a {{isdaprov|Transaction}}, constitute or give rise to an {{isdaprov|Illegality}} or a {{isdaprov|Force Majeure Event}}) in <br>the place specified in the address for notice provided by the recipient and, in the case of a notice contemplated by <br>Section {{isdaprov|2(b)}}, in the place where the relevant new account is to be located and (e) in relation to Section {{isdaprov|5(a)(v)(2)}}, a <br>{{isdaprov|General Business Day}} in the relevant locations for performance with respect to such Specified <br>Transaction. |
Revision as of 16:43, 18 July 2012
“Local Business Day” means (a) in relation to any obligation under Section 2(a)(i), a General Business Day in the
place or places specified in the relevant Confirmation and a day on which a relevant settlement system is open or
operating as specified in the relevant Confirmation or, if a place or a settlement system is not so specified, as
otherwise agreed by the parties in writing or determined pursuant to provisions contained, or incorporated by
reference, in this Agreement, (b) for the purpose of determining when a Waiting Period expires, a General Business
Day in the place where the event or circumstance that constitutes or gives rise to the Illegality or Force Majeure
Event, as the case may be, occurs, (c) in relation to any other payment, a General Business Day in the place where the
relevant account is located and, if different, in the principal financial centre, if any, of the currency of such payment
and, if that currency does not have a single recognised principal financial centre, a day on which the settlement
system necessary to accomplish such payment is open, (d) in relation to any notice or other communication, including
notice contemplated under Section 5(a)(i), a General Business Day (or a day that would have been a General
Business Day but for the occurrence of an event or circumstance which would, if it occurred with respect to payment,
delivery or compliance related to a Transaction, constitute or give rise to an Illegality or a Force Majeure Event) in
the place specified in the address for notice provided by the recipient and, in the case of a notice contemplated by
Section 2(b), in the place where the relevant new account is to be located and (e) in relation to Section 5(a)(v)(2), a
General Business Day in the relevant locations for performance with respect to such Specified
Transaction.