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Swaps and Other Derivatives in 1994
Chair(s):
William P. Rogers, Jr.
Practice Area:
Corporate & Securities
Published:
May 1994
ISBN:
N/A
PLI Item #:
204341
CHB Spine #:
B848
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Table of Contents
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Front Matter
Table of Contents
Chapter 1. INTEREST RATE RISK MANAGEMENT
Chapter 2. ISDA MASTER AGREEMENTS: 1992 AND 1987 VERSIONS DESCRIBED AND COMPARED, AND 1994 PENDING ISSUES
Chapter 3. THE BASICS OF COLLATERALIZATION OF DERIVATIVES (WITH REFERENCE TO ISDA'S MARCH 24, 1994 DRAFT MARK-TO-MARKET CREDIT SUPPORT ANNEX)
Chapter 4. AN INTRODUCTION TO OTC DERIVATIVES
Chapter 5. DOCUMENTATION ISSUES IN SWAPS AND OTHER OVER-THE-COUNTER DERIVATIVES
Chapter 6. STATUTE OF FRAUDS
Chapter 7. DERIVATIVES TRANSACTIONS WITH CANADIAN COUNTERPARTIES: ENFORCEABILITY ISSUES--CANADIAN ASPECTS OF THE GROUP OF THIRTY ENFORCEABILITY SURVEY
Chapter 8. THE GROUP OF THIRTY GLOBAL DERIVATIVES STUDY: ENFORCEABILITY SURVEY-ENGLAND
Chapter 9. SWAPS WITH PENSION FUNDS AND INVESTMENTS COMPANIES
Chapter 10. REGULATORY AND LEGISLATIVE DEVELOPMENTS FOR DERIVATIVES
Chapter 11. BANK REGULATORY ISSUES
Chapter 12. INTEREST RATE, EQUITY AND COMMODITY SWAPS, AND OTHER NOTIONAL PRINCIPAL CONTRACTS
Chapter 13. REGULATION OF EQUITY DERIVATIVES
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