Settlement Date. For any Option, the third Business Day immediately following the final Valid Day of the Settlement Averaging Period for such Option.
Appears in 151 contracts
Sources: Base Call Option Transaction (Fiverr International Ltd.), Call Option Transaction (Fiverr International Ltd.), Call Option Transaction (Fiverr International Ltd.)
Settlement Date. For any Option, the third Business Day immediately following the final last Valid Day of the Settlement Averaging Period for such Option.
Appears in 45 contracts
Sources: Call Option Transaction (ServiceNow, Inc.), Base Call Option Transaction (ServiceNow, Inc.), Additional Call Option Transaction (INPHI Corp)
Settlement Date. For any Exercisable Option, the third Business Day immediately following the final Valid Day of the Settlement Averaging Period for such Exercisable Option.
Appears in 12 contracts
Sources: Additional Call Option Transaction (TTM Technologies Inc), Call Option Transaction (TTM Technologies Inc), Base Call Option Transaction (TTM Technologies Inc)
Settlement Date. For any Option, the third Business Day immediately following the final Valid Trading Day of the Settlement Averaging applicable Conversion Period for such Option.
Appears in 5 contracts
Sources: Base Call Option Transaction (Hornbeck Offshore Services Inc /La), Additional Bond Hedge Transaction (DealerTrack Holdings, Inc.), Additional Bond Hedge Transaction (DealerTrack Holdings, Inc.)
Settlement Date. For any Option, the third Business Day immediately following the final Valid Day of the Settlement Averaging Period for such Option.. Settlement Currency: USD
Appears in 3 contracts
Sources: Base Call Option Transaction (Fiverr International Ltd.), Base Call Option Transaction (Fiverr International Ltd.), Base Call Option Transaction (Novavax Inc)
Settlement Date. For any OptionOption exercised or deemed exercised hereunder, the third Business Day immediately following the final Valid Day of the Settlement Averaging Period for such Option.
Appears in 2 contracts
Sources: Base Capped Call Option Transaction (Cowen Group, Inc.), Confirmation of Call Option Transaction (Cowen Group, Inc.)
Settlement Date. For any Option, the third Business Day immediately following the final last Valid Day of the Settlement Averaging Period for such OptionPeriod.
Appears in 2 contracts
Sources: Base Call Option Transaction (Spansion Inc.), Base Call Option Transaction (Spansion Inc.)