Equity Notional Reset - Equity Derivatives Provision: Difference between revisions

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The swap will reset automatically on each [[Cash Settlement Payment Date - Equity Derivatives Provision|Cash Settlement Payment Date]], (i.e., usually a {{eqderivprov|Settlement Cycle}} after each {{eqderivprov|Valuation Date}}).
The swap will reset automatically on each [[Cash Settlement Payment Date - Equity Derivatives Provision|Cash Settlement Payment Date]], (i.e., usually a {{eqderivprov|Settlement Cycle}} after each {{eqderivprov|Valuation Date}}).
===Bullet swaps===
Remembering, of course that the “calculation period” for an {{eqderivprov|Equity Amount Payer}} is a function of the specified {{eqderivprov|Valuation Date}}s — there is no other concept of a “calculation period” in the {{equitydefs}} — If the only specified {{eqderivprov|Valuation Date}} is the Termination Date, then the whole {{isdaprov|Equity Notional Reset}} is moot, since no {{isdaprov|Equity Notional Reset}} will occur during the life the {{isdaprov|Transaction}} in any case.


{{how Equity Notional Reset works}}
{{how Equity Notional Reset works}}