Template:Ieta TOC
1 Subject of Agreement
2 Interpretation and Construction
3 Confirmation Procedure
4 General Obligations, Representations and Warranties
5 Allowance Transfers
6 Effecting Transfers
7 Option Transactions
8 Effect of Option Exercise
9 Billing and Payment
10 Euros
11 Taxes
12 Transfer or Acceptance Failure
13 Force Majeure and Suspension Event
14 Termination
15 Confidentiality
16 Assignment
17 Liabilities
18 Miscellaneous
Schedule 1 Definitions
- Account Pair
- Administrator Event
- Affected Allowance
- Affected Party
- Affected Tax Party
- Affiliate
- Aircraft Operator
- Allowance
- Allowance Price
- Allowance Type
- American Option
- Appropriate Source
- Automatic Exercise
- Aviation EU Allowance
- Banking Day
- Base Rate
- Bermudan Option
- Buyer
- Buy-In
- Buy-In Period
- Call Option
- Central Administrator
- Central European Time
- Change in Tax Law
- Confidential Information
- Confirmation
- Contract Amount
- Contract Value
- Control and Profit Transfer Agreement
- Controlling Party
- Cost of Carry Amount
- Cost of Carry Calculation Period
- Cost of Carry Rate
- Credit Rating
- Credit Support Document
- Credit Support Provider
- Cross default threshold
- Default Quantity
- Defaulting Party
- Delayed Delivery Date
- Delayed Payment Due Date
- Delivered Allowance Volume
- Delivered Allowances
- Delivering Party
- Delivering Party’s Delivery Banking Day Location
- Delivering Party’s Holding Account
- Delivering Party’s Replacement Cost
- Delivery Banking Day
- Delivery Date
- Directive
- Early Termination Date
- EEP Amount
- EEP Status
- Encumbrance Loss
- Entity
- EU Allowance
- EU ETS Rules
- EU ETS
- EU
- EURIBOR
- Euro
- European Option
- EUTL
- Event of Default
- Excess Emissions Penalty
- Exercise Period
- Expert
- Expiration Date
- Expiration Time
- Final Delivery Date
- FM Affected Party
- FM Affected Transaction
- Fourth Validity Period
- Force Majeure
- GHG Reductions
- GHG
- Holding Account
- Illegality Affected Transactions
- Illegality Affected Party
- Illegality
- Indebtedness
- Letter of Credit
- Long Stop Date
- Loss
- Market Amount
- Market Quotation
- Agreement
- Material Adverse Change
- Member State
- Member State Registry
- Monthly Billing Cycle
- National Administrator
- No Encumbrances Obligation
- Non-Defaulting Party
- Operator
- Option Transaction
- Option
- Original Affected Party
- Participation Agreement
- Party
- Payment Due Date
- Performance Assurance Provider
- Performance Assurance
- Period Traded Allowance
- Physically Netted Allowances
- Positive Mark to Market Amount
- Potential Exercise Day
- Premium
- Premium Payment Date
- PTA Quantity
- Put Option
- Receiving Party
- Receiving Party’s Delivery Banking Day Location
- Receiving Party’s Holding Account
- Receiving Party’s Replacement Cost
- Reconciliation Deadline
- Reference Market Maker
- Reference Price
- Registries Regulation
- Registry
- Registry Operation
- Registry Pair
- Relevant Authority
- Relevant Change in Tax
- Relevant Entity
- Relevant Registry
- Relevant Tax
- Replacement Allowances
- Replacement Transactions
- Requesting Party
- Required Authorisations
- Schedule
- System
- Seller
- Shortfall
- Specified Period
- Specified Transaction
- Statement Amount
- Statement
- Strike Price
- Suspension Event
- Tangible Net Worth
- Termination Currency
- Termination Payment Date
- Termination Payment
- Total Debt
- Trade Date
- Transaction
- Transfer Request
- Transfer
- Unauthorised Transfer
- Undelivered Allowances
- UNFCCC
- Union Registry
- Unpaid Amounts
- Validity Period
- Validity Period Reconciliation Deadline
- Value Added Tax or VAT
Schedule 2 Agreement Information (Elections)
Schedule 3A Form of Confirmation for Spot/Forward Transactions
Schedule 3B Form of Confirmation for Option Transactions