Valuation Date - Equity Derivatives Provision: Difference between revisions

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{{eqderivanat|6.2}}
{{eqderivanat|6.2}}
===Where is the {{eqderivprov|Calculation Period}} under the {{eqderivdefs}}===
===The {{eqderivprov|Calculation Period}} that didn’t bark in the night-time===
Ok so this is a bit of a trick question. There is ''no'' “{{eqderivprov|Calculation Period}}” in the {{eqderivdefs}} — that is instead defined in the [[2006 ISDA Definitions]]. In the {{eqderivdefs}}, the periods for Equity calculations are handled by the “{{eqderivprov|Valuation Date}}” concept.  
Where, oh where, are the {{eqderivprov|Calculation Period}}s {{eqderivdefs}}? Ok so this is a bit of a trick question. There are ''no'' “{{eqderivprov|Calculation Period}}s” — that is instead defined in the [[2006 ISDA Definitions]]. In the {{eqderivdefs}}, the periods for Equity calculations are handled by the “{{eqderivprov|Valuation Date}}” concept.  


That in turn determines the “{{eqderivprov|Cash Settlement Payment Date}}” (for cash-settled {{eqderivprov|Equity Swap Transaction}}s) and “{{eqderivprov|Settlement Date}}” (for [[Physical settlement|physically settled]] ones).
That in turn determines the “{{eqderivprov|Cash Settlement Payment Date}}” (for cash-settled {{eqderivprov|Equity Swap Transaction}}s) and “{{eqderivprov|Settlement Date}}” (for [[Physical settlement|physically settled]] ones).

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