Transaction Details Sample Clauses

Transaction Details. Current deposits (toza yokin) in Japanese yen and in certain foreign currencies approved by the Bank will be handled in the Current Account.
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Transaction Details. JPMorgan Deal Number(s): 0500086000263 Notional Amount: For each Calculation Period the Notional Amount shall equal the lesser of: (i) the Notional Amount for the applicable Calculation Period, as detailed in Exhibit A attached hereto, and
Transaction Details. In the interpretation of this agreement and unless the subject or context otherwise requires the following words and expressions shall have the following meanings assigned to them below R 1.4 1.5
Transaction Details. Prior to entering into any Murabaha Contract, Party A shall, after it has purchased the Commodities and has physical or constructive possession of such Commodities, provide Party B with details of the relevant transaction, including details of the Commodities to be sold and the terms of sale attached thereto by sending an Offer Notice to Party B no later than the Specified Time (or such other time as Party A and Party B may agree). The Offer Notice shall include the following details:
Transaction Details. A. Client appoints Broker to execute the orders specified in the Plan pursuant to the terms and conditions set forth below under ordinary principles of best execution. Broker hereby accepts such appointment.
Transaction Details. The Business agrees to provide and the Client agrees to retain, the following Public Speaking Coaching services (the “Services”) to be performed by Business in accordance of the terms and conditions of this Contract.
Transaction Details. JPMorgan Deal Number(s): 0500085001167 Notional Amount: USD 50,000,000.00 Trade Date: 19 December 2002 Effective Date: 21 January 2003 Termination Date: 21 January 2008 subject to adjustment in accordance with the Modified Following Business Day Convention. Floating Amounts: Floating Rate Payer: JPMorgan Floating Rate Payer Payment Dates: Each 21 July and 21 January, starting with 21 July 2003, to and including the Termination Date, subject to adjustment in accordance with the Modified Following Business Day Convention, and there will be an adjustment to the Calculation Period. Floating Rate Option: USD-LIBOR-BBA Designated Maturity: 6 Month Floating Rate Day Count Fraction: Actual/360 Reset Dates: The first day in each Calculation Period Compounding: Inapplicable Business Days: Target Settlement Day Floating Amounts: Floating Rate Payer: Counterparty Floating Rate Payer Payment Dates: Each 21 July and 21 January, starting with 21 July 2003, to and including the Termination Date, subject to adjustment in accordance with the Modified Following Business Day Convention, and there will be an adjustment to the Calculation Period. Floating Rate Option: See Additional Rate Formula Designated Maturity: 6 Month Floating Rate Day Count Fraction: Actual/360 Reset Dates: The first day in each Calculation Period Compounding: Inapplicable Business Days: Target Settlement Day Additional Rate Formula: The Floating Rate payable shall be calculated in accordance with the following:
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Transaction Details. JPMorgan Deal Number(s): 2000005088265 / 2000005088266 Notional Amount: Per attached schedule in Exhibit A Trade Date: 02 March 2007 Effective Date: 25 March 2007 subject to adjustment in accordance with the Modified Following Business Day Convention Termination Date: 25 November 2008 subject to adjustment in accordance with the Modified Following Business Day Convention
Transaction Details. In the Yen Savings Account, savings (futsu yokin) in Japanese Yen will be handled.
Transaction Details. 1. In order to use the Service, the Customer shall submit the application, in the form prescribed by the Bank, affi xed with the seal or signature registered with the Bank.
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