Template:Nutshell Equity Derivatives 2.4(a): Difference between revisions
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:{{eqderivprov|2.4(a)}} {{eqderivprov|Buyer}} must pay {{eqderivprov|Seller}} the {{eqderivprov|Option Transaction}} {{eqderivprov|Premium}} on the {{eqderivprov|Premium Payment Date}}. <br> | :{{eqderivprov|2.4(a)}} '''{{eqderivprov|Premium Payment Date}}''': {{eqderivprov|Buyer}} must pay {{eqderivprov|Seller}} the {{eqderivprov|Option Transaction}} {{eqderivprov|Premium}} on the {{eqderivprov|Premium Payment Date}}. <br> |
Revision as of 13:42, 10 May 2022
- 2.4(a) Premium Payment Date: Buyer must pay Seller the Option Transaction Premium on the Premium Payment Date.