Dataset
Sort DOJ Status 1 result for “"the SETTLEMENT PAYMENT"”
Settlement
Payment
Date(s)
Floating Rate Option: USD-LIBOR-BBA
Designated Maturity: One (1) month
Spread ... Calculation Agent shall perform such conversion In good faith
using commercially reasonable procedures.
Cash
Settlement
Payment
Date: Three (3) Currency Business Days following each Valuation
Date.
Dividends:
Ordinary Dividend Terms
https://www.justice.gov/epstein/files/DataSet%209/EFTA00615092.pdf
February 2015