Case File
efta-01388313DOJ Data Set 10OtherEFTA01388313
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DOJ Data Set 10
Reference
efta-01388313
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Floating Rate Payer Payment Dates
[or Period End Dates, if Delayed
Payment or Early Payment applies]:
[Floating Rate for initial Calculation
Period:)
Floating Rate Option:
Designated Maturity:
Spread:
Floating Rate Day Count Fraction:
Reset Dates:
[ Rate Cut-off Dates:]
[Method of Averaging:]
Compounding:
[Compounding Dates:]
[Discounting:
Discount Rate:
Discount Rate Day Count Fraction:]
[Initial Exchange:
Initial Exchange Date:
Party A Initial Exchange Amount:
Party B Initial Exchange Amount]
1
6
[, subject to adjustment in
accordance with the [Following/Modified
Following/Preceding] Business Day
Convention ft
[
]
[Plus/Minus
%) [None)
] [, subject to adjustment in
accordance with the [Following/Modified
Following/Preceding] Business Day
Convention?
[Unweighted/Weighted Average]
[Applicable/Inapplicable]
] [, subject to adjustment in
accordance with the [Following/Modified
Following/Preceding] Business Day
Convention]6
Bracketed language is not necessary if Reset Dates are to be adjusted in accordance with the Business Day Convention applicable to
Payment Dates.
Bracketed language is not =essay it' this date is to be adjust's, in accordance with the Modified Following Business Day
Convention, as provided in the 2006 ISDA Definitions.
110
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
CONFIDENTIAL
SDNY GM_00237979
DB-SDNY-0091795
EFTA01388313
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