Template:2016 VM CSA Section 10 TOC: Difference between revisions

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===Paragraph {{vmcsaprov|10}}. {{vmcsaprov|Definitions}}===
===Paragraph {{vmcsaprov|10}}. {{vmcsaprov|Definitions}}===
{{vmcsaprov|Base Currency}}<br>
{{vmcsaprov|Base Currency Equivalent}}<br>
{{vmcsaprov|Credit Support Balance (VM)}}<br>
{{vmcsaprov|Credit Support Eligibility Condition (VM)}}<br>
{{vmcsaprov|Delivery Amount (VM)}} has the meaning specified in Paragraph {{vmcsaprov|2(a)}}.<br>
{{vmcsaprov|Delivery Amount Reduction (VM)}} has the meaning specified in Paragraph {{vmcsaprov|5(c)(ii)(A)(II)}}.<br>
{{vmcsaprov|Disputing Party}} has the meaning specified in Paragraph {{vmcsaprov|4}}.<br>
{{vmcsaprov|Distributions}}<br>
{{vmcsaprov|Distributions Date}}<br>
{{vmcsaprov|Eligible Credit Support (VM)}}<br>
{{vmcsaprov|Eligible Currency}}<br>
{{vmcsaprov|Eligible Return Amount (VM)}}  has the meaning specified in Paragraph {{vmcsaprov|5(c)(ii)(A)(I)(a)}}.<br>
{{vmcsaprov|Equivalent Credit Support}}<br>
{{vmcsaprov|Equivalent Distributions}} has the meaning specified in Paragraph {{vmcsaprov|5(c)(i)}}.<br>
{{vmcsaprov|Exchange Date}} has the meaning specified in Paragraph {{vmcsaprov|11(d)}}.<br>
{{vmcsaprov|Exposure}}<br>
{{vmcsaprov|Fungible Credit Support Type}}<br>
{{vmcsaprov|FX Haircut Percentage}}<br>
{{vmcsaprov|Interest Adjustment Reduction Amount (VM)}}<br>
{{vmcsaprov|Interest Amount (VM)}}<br>
{{vmcsaprov|Interest Payee (VM)}}<br>
{{vmcsaprov|Interest Payer (VM)}}<br>
{{vmcsaprov|Interest Payment (VM)}}<br>
{{vmcsaprov|Interest Period}}<br>
{{vmcsaprov|Interest Rate (VM)}}<br>
{{vmcsaprov|Legal Eligibility Requirements}}  has the meaning specified in Paragraph {{vmcsaprov|9(e)}}<br>
{{vmcsaprov|Legal Ineligibility Notice}}  has the meaning specified in Paragraph {{vmcsaprov|9(e)}}<br>
{{vmcsaprov|Local Business Day}}<br>
{{vmcsaprov|Minimum Transfer Amount}}<br>
{{vmcsaprov|New Credit Support (VM)}} has the meaning specified in Paragraph {{vmcsaprov|3(c)(i)}}.<br>
{{vmcsaprov|Notification Time}} has the meaning specified in Paragraph {{vmcsaprov|11(c)(iv)}}.<br>
{{vmcsaprov|Original Credit Support (VM)}} has the meaning specified in Paragraph {{vmcsaprov|3(c)(i)}}.<br>
{{vmcsaprov|Other vmcsa}}<br>
{{vmcsaprov|Other vmcsa Excluded Credit Support}}<br>
{{vmcsaprov|Recalculation Date}}<br>
{{vmcsaprov|Regular Settlement Day}}<br>
{{vmcsaprov|Resolution Time}} has the meaning specified in Paragraph {{vmcsaprov|11(c)(i)}}.<br>
{{vmcsaprov|Return Amount (VM)}} has the meaning specified in Paragraph {{vmcsaprov|2(b)}}.<br>
{{vmcsaprov|return Amount Reduction (VM)}} has the meaning specified in Paragraph {{vmcsaprov|5(c)(ii)(A)(II)}}<br>
{{vmcsaprov|Settlement Day}}<br>
{{vmcsaprov|Total Ineligibility Date}} has the meaning specified in Paragraph {{vmcsaprov|9(e)}} unless otherwise specified in Paragraph {{vmcsaprov|11}}. <br>
{{vmcsaprov|Transferee}}<br>
{{vmcsaprov|Transferor}}<br>
{{vmcsaprov|Transfer Ineligibility Date}} has the meaning specified in Paragraph {{vmcsaprov|9(e)}} unless otherwise specified in Paragraph {{vmcsaprov|11}}. <br>
{{vmcsaprov|Valuation Agent}} has the meaning specified in Paragraph {{vmcsaprov|11(c)(i)}}.<br>
{{vmcsaprov|Valuation Date}}<br>
{{vmcsaprov|Valuation Date Location}} has the meaning specified in Paragraph {{vmcsaprov|11(d)(ii)}}<br>
{{vmcsaprov|Valuation Percentage}}<br>
{{vmcsaprov|Valuation Time}}.<br>
{{vmcsaprov|Value}}<br>