2000 Global Master Repurchase Agreement
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Clause 1 in a Nutshell™
Use at your own risk, campers!
Full text of Clause 1
1. Applicability
1(a) From time to time the parties hereto may enter into Transactions in which one party, acting through a Designated Office, (“Seller”) agrees to sell to the other, acting through a Designated Office, (“Buyer”) Securities and financial instruments (“Securities”) (subject to paragraph 1(c), other than equities and Net Paying Securities) against the payment of the purchase price by Buyer to Seller, with a simultaneous agreement by Buyer to sell to Seller Securities equivalent to such Securities at a date certain or on demand against the payment of the repurchase price by Seller to Buyer.
1(b) Each such transaction (which may be a repurchase transaction (“Repurchase Transaction”) or a buy and sell back transaction (“Buy/Sell Back Transaction”) shall be referred to herein as a “Transaction” and shall be governed by this Agreement, including any supplemental terms or conditions contained in Annex I hereto, unless otherwise agreed in writing.
1(c) If this Agreement may be applied to
- (i) Buy/Sell Back Transactions, this shall be specified in Annex I hereto, and the provisions of the Buy/Sell Back Annex shall apply to such Buy/Sell Back Transactions;
- (ii) Net Paying Securities, this shall be specified in Annex I hereto and the provisions of Annex 1, paragraph 1(b) shall apply to Transactions involving Net Paying Securities.
1(d) If Transactions are to be effected under this Agreement by either party as an agent, this shall be specified in Annex I hereto, and the provisions of the Agency Annex shall apply to such Agency Transactions.
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Related agreements and comparisons
Related agreements: Click here for the same clause in the 1996 MRA, when we get round to finding out the first thing about it.
Comparison: Template:Gmradiff 1
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Kurtz: Are my methods unsound?
Willard: I don’t see any method at all, sir.
See also
Template:M sa GMRA 1
References
1 = code;
2 = year;
3 = ref;
4 = clause/section/para;
5 = comparison doc ref
6 = detail level
Code key
First digit: document type
- M = Master agreement
- C = standalone collateral or credit support arrangements even if confiigured as annexes or schedules to Master Agreements)
- D = definitions booklet
Second digit: Document type name identifier. So for example:
- I = ISDA Master Agreement
- A = Annex
- D = Deed
- E = Equity derivatives
M= Master
- MI = ISDA
- MC = Credit Support
- CAE = English law CSA
- CDE = English law CSD
- CAN = New York law CSA
- MS = Stocklending
- MSG = GMSLA
- MSGP = Pledge GMSLA
- MSM = MSLA
- MSO = OSLA
- MR = Repo
- MRG = GMRA
- MRM = MRA
D = Definitions
- DEQ = Equity Derivatives Definitions
P = Product
- PP = Prime brokerage
E = Egg