Template:1995 CSA Section 10 TOC

Revision as of 15:00, 17 October 2012 by Amwelladmin (talk | contribs)

Paragraph 10. Definitions

Base Currency
Base Currency Equivalent
Credit Support Amount
Credit Support Balance
Delivery Amount has the meaning specified in Paragraph 2(a).
Disputing Party has the meaning specified in Paragraph 4.
Distributions
Distributions Date
Eligible Credit Support
Eligible Currency
Equivalent Credit Support
Equivalent Distributions has the meaning specified in Paragraph 5(c)(i).
Exchange Date has the meaning specified in Paragraph 11(d).
Exposure
Independent Amount
Interest Amount
Interest Period
Interest Rate
Local Business Day
Minimum Transfer Amount
New Credit Support has the meaning specified in Paragraph 3(c)(i).
Notification Time has the meaning specified in Paragraph 11(c)(iv).
Recalculation Date
Resolution Time has the meaning specified in Paragraph 11(c)(i).
Return Amount has the meaning specified in Paragraph 2(b).
Settlement Day
Threshold
Transferee
Transferor
Valuation Agent has the meaning specified in Paragraph 11(c)(i).
Valuation Date
Valuation Percentage
Valuation Time has the meaning specified in Paragraph 11(c)(iii).
Value