|
Exchange Delivery Settlement Price |
|
|
|
Home Site Map Add Term Search About Us Contributors |
Exchange Delivery Settlement PriceThe price which determines the price for physical delivery of the underlying instrument or the price at which contracts are cash settled.Similar MatchesContinuous net settlement (CNS)Continuous net settlement (CNS)Method of securities clearing and settlement using a clearing house, which matches transactions to securities available, resulting in one net receive or deliver position at the end of the day. Bank for International SettlementsBank for International SettlementsThe central bankers' bank, based in Basle, Switzerland. SettlementSettlementWhen payment is made for a trade. Settlement daySettlement dayThe day on which purchased securities are due for delivery to the buyer and payment is due to be made to the seller. For nominee accounts, the standard settlement day is three days after the dealing day - known as T+3. For certificated accounts (where shareholders hold share certificates) settlement times are longer. Cash settlementCash settlementDeals on an exchange where investors are obliged to settle immediately rather than on account.An expression used in futures and options trading which applies when physical delivery is impractical and contracts are settled by attaching a monetary value. Further SuggestionsNext day settlementCash settlement contracts Cash sale or settlement Real Estate Settlement Procedures Act (RESPA) Settlement risk Cash Settlement rolling settlement Dispute Settlement Body Settlement date Insurance settlement Settlement options Uniform Settlement Statement Settlement rate Dispute settlement Immediate settlement Bank for International Settlements (BIS) Settlement price Good delivery and settlement procedures settlement Skip day settlement Same Day Funds Settlement (SDFS) Regular way settlement Regular settlement Short settlement Dispute settlement mechanism |
|
|
|