Template:Nutshell Equity Derivatives 5.10

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5.10 Equity Notional Reset: if "Equity Notional Reset" applies:

(a) the Equity Notional Amount for the first Cash Settlement Payment Date will be specified in the Confirmation and thereafter it will be the sum of the Equity Notional Amount and the Equity Amount in respect of the prior Cash Settlement Payment Date.

isdaprov|There's some crap about the notional amount for the other payer, but it doesn't seem to add much to the above.