{"component": "definition", "props": {"groups": [{"snippet_links": [{"key": "any-person", "type": "definition", "offset": [6, 16]}, {"key": "in-the-business", "type": "definition", "offset": [29, 44]}, {"key": "effecting-transactions", "type": "clause", "offset": [48, 70]}, {"key": "contracts-for", "type": "clause", "offset": [84, 97]}, {"key": "the-account", "type": "clause", "offset": [98, 109]}, {"key": "for-his-or-her-own-account", "type": "definition", "offset": [123, 149]}], "size": 85, "snippet": "means any person who engages in the business of effecting transactions in Commodity Contracts for the account of others or for his or her own account.", "samples": [{"hash": "7rYXq7ouSRB", "uri": "/contracts/7rYXq7ouSRB#commodity-broker", "label": "Trust Agreement", "score": 31.3408622742, "published": true}, {"hash": "fBhfHg6XVQr", "uri": "/contracts/fBhfHg6XVQr#commodity-broker", "label": "Declaration of Trust and Trust Agreement (World Monitor Trust Ii Series D)", "score": 21.0, 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reasonably believes was not executed in accordance with its instructions to any <strong>Commodity Broker</strong> or such other <strong>commodity broker</strong> utilized to execute orders for the Trading Company.", "No <strong>Commodity Broker</strong> for the Partnership may pay, directly or indirectly, rebates or \u201cgive-ups\u201d to the General Partner or any Trading Advisor, and such prohibitions may not be circumvented by any reciprocal business arrangements.", "Margin deposits and deposits of assets with a <strong>Commodity Broker</strong> shall not constitute commingling.", "Each Fund shall pay to the <strong>Commodity Broker</strong> all brokerage commissions, including applicable exchange fees, NFA fees, give-up fees, pit brokerage fees and other transaction related fees and expenses charged in connection with its trading activities.", "The Partnership\u2019s assets held by any <strong>Commodity Broker</strong>, as provided in Section 7(i), may be used as margin solely for the Partnership\u2019s trading.", "The Trading Advisor shall have an affirmative obligation to promptly notify the Managing Owner upon discovery of its own errors with respect to the account, and the Trading Advisor shall use its best efforts to identify and promptly notify the Managing Owner of any order or trade which the Trading Advisor reasonably believes was not executed in accordance with its instructions to any <strong>Commodity Broker</strong> or such other <strong>commodity broker</strong> utilized to execute orders for the Fund.", "The 10:00 a.m. time requirement is contingent upon the Clearing <strong>Commodity Broker</strong> fulfilling its balancing obligations on an equally timely basis.", "The Trust shall pay to the <strong>Commodity Broker</strong> all brokerage commissions, including applicable exchange fees, NFA fees, give-up fees, pit brokerage fees and other transaction related fees and expenses charged in connection with its trading activities.", "Subject to 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