Template:Nutshell Equity Derivatives 6.2

Revision as of 17:12, 17 September 2019 by Amwelladmin (talk | contribs)

Section 6.2. Valuation Date. “Valuation Date” means (for Option Transactions) each Exercise Date and (for Forward Transactions and Equity Swap Transactions) each date so specified in the Confirmation (and, where that is not a Scheduled Trading Day, the following Scheduled Trading Day), subject to the disruption provisions in Section 6.6.