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Reverse Repurchase Agreement
"I need a Reverse Repurchase Agreement template for use between our Qatar-based bank and international financial institutions, with specific provisions for USD-denominated sovereign bonds as eligible securities and electronic trading capabilities."
1. Parties: Identification of the seller and buyer, including their legal status and authority
2. Background: Context of the agreement and relationship between parties
3. Definitions: Key terms used throughout the agreement, including financial and technical terms
4. Purchase and Sale: Core provisions detailing the initial sale of securities and agreement to repurchase
5. Repurchase Terms: Specific terms for the repurchase, including price, date, and mechanics
6. Payment and Transfer: Procedures for payment and transfer of securities
7. Margin Maintenance: Requirements for maintaining collateral value and margin calls
8. Income Payments: Treatment of income on the securities during the transaction period
9. Representations and Warranties: Standard and transaction-specific representations by both parties
10. Events of Default: Circumstances constituting default and consequences
11. Close-out and Set-off: Procedures for early termination and calculation of amounts due
12. Taxes: Treatment of taxes and responsibility for payments
13. Notices: Communication procedures between parties
14. Governing Law and Jurisdiction: Qatar law as governing law and jurisdiction provisions
1. Sharia Compliance: Additional provisions for Sharia compliance, required if transaction needs to be Sharia-compliant
2. Agency Provisions: Required if any party is acting as agent for undisclosed principals
3. Custodian Provisions: Required if a third-party custodian is involved in holding securities
4. Electronic Trading: Required if transactions will be executed through electronic platforms
5. Multiple Currencies: Required if transactions may be conducted in different currencies
6. Buy/Sell Back Annex: Optional provisions for buy/sell back transactions if applicable
1. Schedule 1 - Form of Confirmation: Standard form for confirming individual transactions
2. Schedule 2 - Eligible Securities: List and characteristics of securities eligible for the transactions
3. Schedule 3 - Margin Ratios: Detailed margin requirements and calculations
4. Schedule 4 - Contact Details: Contact information for notices and margin calls
5. Schedule 5 - Systems and Operations: Operational procedures and systems for executing transactions
6. Appendix A - Standard Settlement Instructions: Payment and securities transfer instructions
7. Appendix B - Forms of Power of Attorney: If required for securities transfer or other actions
Authors
Applicable Law
Business Day
Buyer
Buy-Back Date
Buy-Back Price
Confirmation
Default Notice
Eligible Securities
Event of Default
Income
Initial Purchase Date
Initial Purchase Price
Margin Ratio
Margin Transfer
Market Value
Net Exposure
Pricing Rate
Purchase Date
Purchase Price
QCB
QFMA
QFC
Repurchase Date
Repurchase Price
Securities
Seller
Settlement Date
Sharia Compliant Securities
Sukuk
System
Term
Transaction
Transaction Exposure
Transfer Date
Valuation Date
Valuation Percentage
Income Payment Date
Margin Notice
Net Default Amount
Close-out Amount
Equivalent Securities
Material Adverse Effect
Potential Event of Default
Specified Condition
Transaction Documents
Repurchase Obligations
Payment Terms
Securities Transfer
Margin Maintenance
Pricing
Income Payments
Substitution
Events of Default
Close-out and Netting
Set-off Rights
Representations and Warranties
Covenants
Tax Provisions
Regulatory Compliance
Sharia Compliance
Assignment and Transfer
Confidentiality
Notices
Force Majeure
Indemnification
Termination
Governing Law
Dispute Resolution
Entire Agreement
Amendments
Severability
Calculation and Determination
Market Disruption
Agency Provisions
Communications
Settlement Instructions
Custodian Provisions
Electronic Trading
Currency Provisions
Banking
Financial Services
Investment Management
Securities Trading
Capital Markets
Treasury
Islamic Finance
Asset Management
Financial Technology
Treasury
Trading
Legal
Compliance
Operations
Risk Management
Settlement
Credit
Investment
Islamic Banking
Finance
Portfolio Management
Collateral Management
Treasury Manager
Repo Trader
Securities Trading Manager
Risk Manager
Legal Counsel
Compliance Officer
Operations Manager
Settlement Officer
Credit Risk Officer
Investment Manager
Islamic Finance Specialist
Financial Controller
Portfolio Manager
Collateral Manager
Chief Investment Officer
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