settlement period


settlement period
расчетный период; период исполнения сделки; расчетный цикл
C&S стандартный период времени между датой закючения сделки (trade date, T) и датой ее исполнения (датой проведения расчетов по сделке - settlement date, S); продолжительность расчетного периода в США в настоящее время составляет три дня (T+3) для акций и один день (T+1) для государственных облигаций
SYN:

Англо-русский словарь терминов по депозитарному хранению и клирингу. . 2002-2009.

Смотреть что такое "settlement period" в других словарях:

  • Settlement Period — The period of time between the settlement date and the transaction date that is allotted to the parties of a transaction to satisfy the transaction s obligations. The buyer must make payment within the settlement period, while the seller must… …   Investment dictionary

  • Settlement of Great Britain and Ireland — The British Isles have a long history of migration from across Europe, starting in the Palaeolithic period. Over the millennia successive waves of immigrants have come to the Isles, a process that is continuing today. The ancient migrations have… …   Wikipedia

  • Settlement of the Americas — …   Wikipedia

  • Settlement of Iceland — The settlement of Iceland began in the second half of the 9th century AD, when Norse settlers migrated across the North Atlantic. Their reasons for migrating may be traced to a shortage of arable land in Scandinavia, and civil strife brought… …   Wikipedia

  • Settlement Price — The average price at which a contract trades, calculated at both the open and close of each trading day. Settlement prices are necessary for determining whether gains or losses were made on a contract held during a certain time period. Settlement …   Investment dictionary

  • Settlement method —   The way a transfer is settled by our customer which is either a beneficiary or a ordering party. See also reply period …   International financial encyclopaedia

  • settlement day — / set(ə)lmənt deɪ/ noun 1. the day on which shares which have been bought must be paid for (on the London Stock Exchange the account period is three business days from the day of trade) 2. in the USA, the day on which securities bought actually… …   Dictionary of banking and finance

  • Trading Account Settlement —   A system of settling exchange transactions where each trade has is paid into a trading account with the exchange. At the end of the settlement period only the balance of the account has to be settled. This balance can, of course be either… …   International financial encyclopaedia

  • Rolling Settlement —   A system of settling exchange transactions where each trade has to be paid for in full at the end of the settlement period. For example a trader buys a $100,000 block of shares on Monday and the exchange is trading on a 10 day settlement period …   International financial encyclopaedia

  • regular way settlement — Buyers and sellers can negotiate settlement periods; however, standard time periods are usually used. For U.S. Treasury and agency debt securities, the customary settlement time, called regular way settlement, is the next business day. For… …   Financial and business terms

  • regular-way settlement — Buyers and sellers can negotiate settlement periods; however, standard time periods are usually used. For U.S. Treasury and agency debt securities, the customary settlement time, called regular way settlement, is the next business day. For… …   Financial and business terms

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