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Reverse Repurchase Agreement
I need a Danish law Reverse Repurchase Agreement template for use between our investment bank and multiple pension funds, with specific provisions for electronic trading and centralized clearing, including SFTR reporting requirements.
1. Parties: Identification of the buyer and seller entering into the reverse repo agreement
2. Background: Context of the agreement and brief explanation of reverse repo transaction structure
3. Definitions and Interpretation: Definitions of key terms and interpretation rules used throughout the agreement
4. Purchase and Sale: Core provisions governing the initial sale and subsequent repurchase of securities
5. Pricing and Payment Terms: Provisions regarding purchase price, repo rate, price differential, and payment mechanics
6. Transfer and Settlement: Procedures and obligations for transferring securities and cash
7. Margin Maintenance: Requirements and procedures for maintaining agreed margin ratios and making margin transfers
8. Income Payments: Treatment of income on purchased securities during the transaction period
9. Representations and Warranties: Standard and transaction-specific representations and warranties of both parties
10. Events of Default: Definition of default events and consequences
11. Close-out and Set-off: Procedures and calculations for early termination and netting
12. Tax Provisions: Allocation of tax obligations and handling of tax-related events
13. Notices: Communication requirements and contact details
14. Governing Law and Jurisdiction: Choice of Danish law and jurisdiction provisions
1. Custody Arrangements: Required when a third-party custodian is involved in holding securities
2. Agency Provisions: Needed when one party acts as agent for undisclosed principals
3. Additional Regulatory Requirements: Specific provisions required for regulated entities or specific transaction types
4. Force Majeure: Provisions dealing with extraordinary events affecting performance
5. Electronic Trading and Settlement: Required when transactions will be executed through electronic platforms
6. Buy/Sell Back Provisions: Alternative provisions for transactions structured as buy/sell backs
7. Broker-Dealer Provisions: Special provisions when one party is a broker-dealer
8. Multiple Currency Provisions: Required when transactions may be conducted in different currencies
1. Form of Transaction Confirmation: Template for confirming individual reverse repo transactions
2. Eligible Securities: List and characteristics of securities acceptable for transactions
3. Margin Ratios and Haircuts: Specified margins and haircuts for different security types
4. Contact Details: Operational and legal contact information for both parties
5. Forms of Notices: Standard forms for various notices required under the agreement
6. Market Value Calculation: Methodology for calculating market value of securities
7. Electronic Messaging Procedures: Procedures and requirements for electronic communications
8. Broker-Dealer Annex: Special terms applicable to broker-dealer transactions
9. Tax Documentation: Required tax forms and certificates
Authors
Banking
Financial Services
Investment Management
Insurance
Asset Management
Securities Trading
Public Sector
Corporate Treasury
Investment Banking
Fund Management
Pension Management
Capital Markets
Financial Technology
Legal
Treasury
Trading
Operations
Risk Management
Compliance
Investment
Portfolio Management
Securities Operations
Collateral Management
Financial Control
Documentation
Regulatory Affairs
Middle Office
Settlement
Treasury Manager
Portfolio Manager
Legal Counsel
Compliance Officer
Risk Manager
Trading Manager
Operations Manager
Investment Director
Securities Operations Officer
Collateral Manager
Financial Controller
Head of Trading
Legal Director
Chief Investment Officer
Head of Treasury
Senior Trader
Documentation Specialist
Regulatory Compliance Manager
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