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efta-01353273DOJ Data Set 10Other

EFTA01353273

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DOJ Data Set 10
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efta-01353273
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EFTA Disclosure
Text extracted via OCR from the original document. May contain errors from the scanning process.
(Ids) "Purchase Date", with respect to any Transaction, the date on which Purchased Securities arc to he sold by Seller to Buyer in relation to that Transaction; (II) "Purchase Price-, on the Purchase Date, the price at which Purchased Securities are sold or arc to be sold by Seller to Buyer; (mm) "Purchased Securities", with respect to any Transaction, the Securities sold or to be sold by Seller to Buyer under that Transaction, and any New Purchased Securities transferred by Seller to Buyer under paragraph 8 in respect of that Transaction: (nn) "Receivable Securities", the meaning specified in paragraph In: (oo) "Repurchase Date", with respect to any Transaction, the date on which Buyer is to sell Equivalent Securities to Seller in relation to that Transaction: (pp) "Repurchase Price", with respect to any Transaction and as of any date, the sum of the Purchase Price and the Price Differential as of such date: (qq) "Special Default Notice". the meaning specified in paragraph 14; (rr) "Spot Raw". where an amount in one currency is to be converted into a second currency on any date. unless the panics otherwise agree. the spot rate of exchange quoted by Barclays Bank PLC in the London interbank market for the sale by it of such second currency against a purchase by it of such first cuffency: (ss) "TARGET', the Trans-huropean Automated Real-time Gross Settlement Express Transfer System: (to 'am". with respect to any Transaction. the interval of time commencing with the Purchase Date and ending with the Repurchase Date; (use) 'Termination", with respect to any Transaction. refers to the requirement with respect to such Transaction for Buyer to sell Equivalent Securities against payment by Seller of the Repurchase Price in accordance with paragraph 301 and reference to a Transaction having a "fixed term" or being "terminable upon demand" shall be construed accordingly; (vv) "Transaction Costs", the meaning specified in paragraph 10; (ww) ^Transaction Exposure". with respect to any Transaction at any time during the period from the Purchase Date to the Repurchase Date (or, if later, the date on which Equivalent Securities are delivered to Seller or the Transaction is terminated under paragraph 10(g) or 10(h)), the difference between (i) the Repurchase Price at such time multiplied by the applicable Margin Ratio (or, where the Transaction relates to Securities of more than one description to which different Margin Ratios apply, the amount produced by multiplying the Repurchase Price attributable to Equivalent Securities of each such description by the applicable Margin Ratio and aggregating the resulting amounts, the Repurchase Price being for this purpose attributed to Equivalent Securities of each such description in the seine proportions as those in which the Purchase Price was apponioncd among the Purchased Securities) and (ii) the Market Value of Equivalent Securities at such time. If (i) is greater than (ii), Buyer has a Transaction Exposure for that Transaction equal to that excess. If is greater than (i), Seller has a Transaction Exposure for that Transaction equal to that excess: and except in paragraphs 14(b)(i) and 18, references in this Agreement to "written" communications and communications "in writing" include communications made through any electronic system agreed between the parties which is capable of reproducing such communication in hard copy form. Initiation; Confirmation; Termination A Transaction may be entered into orally or in writing at the initiation of either Buyer or Seller. Upon agreeing to enter into a Transaction hereunder Buyer or Seller (or both). as shall have been agreed, shall promptly deliver to the other party written confirmation of such Transaction la "Confirmation"). 5 Confidential CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e) CONFIDENTIAL DB-SDNY-0037584 SDNY_GM 00183768 EFTA01353273

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