Template:Nutshell Equity Derivatives 8.2
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8.2. “Option Cash Settlement Amount” means, for each Valuation Date:
- (a) Index Option Transaction and Index Basket Option Transactions: For any Exercise Date, the number of exercised Options x Strike Price Differential x one unit of the Settlement Currency x any Multiplier; and
- (b) Share Option Transaction and Share Basket Option Transactions: for any Exercise Date, the number of exercised Options x Option Entitlement x Strike Price Differential.