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Amwelladmin (talk | contribs) (Created page with "{{subst:2002 ISDA Equity Derivatives Definitions 2.4(c)}}") |
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:{{eqderivprov|2.4(c)}} “'''{{eqderivprov|Premium Payment Date}}'''” will be the date specified as such in the {{eqderivprov|Option Transaction}} {{eqderivprov|Confirmation}} or, if it is not a {{eqderivprov|Currency Business Day}} for the currency of the {{eqderivprov|Premium}}, the next following {{eqderivprov|Currency Business Day}}. If it is not specified, the {{eqderivprov|Premium Payment Date}} will fall one {{eqderivprov|Settlement Cycle}} following the {{eqderivprov|Trade Date}}, or if that is not a {{eqderivprov|Currency Business Day}}, the next following {{eqderivprov|Currency Business Day}}. <br> | |||
:{{eqderivprov|2.4(c)}} |