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Security Loan Agreement
I need a Security Loan Agreement governed by Danish law for our pension fund to lend Danish equity securities to multiple approved borrowers, with specific provisions for collateral maintenance and corporate actions that will take effect from March 2025.
1. Parties: Identification of the lender and borrower, including full legal names, registration numbers, and addresses
2. Background: Context of the agreement and brief description of the parties' intentions regarding the securities lending arrangement
3. Definitions and Interpretation: Detailed definitions of terms used throughout the agreement and rules of interpretation
4. Loan of Securities: Core provisions regarding the lending of securities, including scope, purpose, and general terms
5. Delivery of Securities: Procedures and requirements for the delivery of securities between parties
6. Collateral Requirements: Details of required collateral, including type, value, maintenance, and margin requirements
7. Rights and Obligations: Specific rights and obligations of both parties during the loan period
8. Income and Corporate Actions: Treatment of dividends, interest, voting rights, and other corporate actions
9. Mark-to-Market: Procedures for daily valuation and margin calls
10. Representations and Warranties: Standard and specific representations and warranties from both parties
11. Events of Default: Definition of events of default and consequences
12. Termination: Conditions and procedures for termination of the agreement
13. Settlement and Redelivery: Procedures for returning securities and releasing collateral
14. Indemnification: Indemnification obligations of the parties
15. Notices: Communication requirements and contact details
16. Governing Law and Jurisdiction: Specification of Danish law as governing law and jurisdiction for disputes
1. Tax Provisions: Detailed tax considerations and obligations - include when parties are in different tax jurisdictions or specific tax implications need to be addressed
2. Regulatory Compliance: Specific regulatory requirements and compliance obligations - include when dealing with regulated entities or cross-border transactions
3. Agency Provisions: Provisions for when one or both parties act as agents - include when involving agency relationships
4. Set-off Rights: Detailed provisions for set-off rights - include when parties have multiple agreements or relationships
5. Electronic Trading Provisions: Provisions for electronic trading platforms and systems - include when using electronic trading systems
6. Custodian Provisions: Specific provisions relating to custodians - include when third-party custodians are involved
7. Force Majeure: Provisions for extraordinary events - include when specific market disruption concerns exist
1. Schedule 1 - Eligible Securities: List of securities eligible for lending under the agreement
2. Schedule 2 - Eligible Collateral: Types and characteristics of acceptable collateral
3. Schedule 3 - Margin Percentages: Detailed margin requirements for different types of securities and collateral
4. Schedule 4 - Fee Schedule: Lending fees, rates, and calculation methods
5. Schedule 5 - Operating Procedures: Detailed operational procedures for loans, returns, and corporate actions
6. Schedule 6 - Form of Loan Confirmation: Standard form for confirming individual loan transactions
7. Appendix A - Contact Details: List of authorized personnel and contact information
8. Appendix B - Standard Settlement Instructions: Settlement and payment instructions for both parties
Authors
Act of Insolvency
Affiliate
Agency Loan
Agreed Currency
Agreement
Applicable Law
Approved Market
Authorised Person
Base Currency
Borrower
Borrowing Request
Business Day
Buy-in
Cash Collateral
Close of Business
Collateral
Collateral Margin
Collateral Transfer
Confirmation
Contract Rate
Corporate Action
Credit Support
Currency Business Day
Custodian
Default Interest Rate
Default Market Value
Default Notice
Defaulting Party
Delivery Date
Dividend
Equivalent Collateral
Equivalent Securities
Event of Default
Exercise Date
Financial Instruments
Income
Income Payment Date
Interest Period
Interest Rate
Lender
Lending Fee
Loan
Loaned Securities
Margin Call
Margin Percentage
Margin Transfer
Market Value
Non-Cash Collateral
Non-Defaulting Party
Notice of Exclusive Control
Notification Time
Parties
Posted Collateral
Potential Event of Default
Recall Notice
Redelivery
Reference Price
Relevant Payment Date
Required Collateral Value
Securities
Securities Financing Transaction
Settlement Date
Standard Settlement Time
Termination Date
Transaction
Transfer Date
Valuation Date
Valuation Percentage
Valuation Time
Voting Rights
Securities Loan
Collateral
Delivery and Redelivery
Margin Maintenance
Income Payments
Corporate Actions
Voting Rights
Fees and Charges
Tax
Representations and Warranties
Covenants
Events of Default
Termination
Set-off Rights
Settlement
Payment Netting
Transfer and Assignment
Confidentiality
Force Majeure
Notices
Amendments
Severability
Entire Agreement
Counterparts
Agency
Indemnification
Further Assurance
Waiver
Recording
Data Protection
Anti-Money Laundering
Regulatory Compliance
Governing Law
Jurisdiction
Dispute Resolution
Banking
Investment Management
Insurance
Pension Funds
Asset Management
Securities Trading
Financial Services
Investment Banking
Fund Management
Wealth Management
Legal
Compliance
Risk Management
Trading Operations
Securities Lending
Collateral Management
Settlement
Portfolio Management
Treasury
Financial Control
Investment Operations
Product Control
Middle Office
Back Office
Securities Lending Manager
Collateral Manager
Trading Operations Director
Legal Counsel
Risk Manager
Portfolio Manager
Compliance Officer
Treasury Manager
Settlement Officer
Product Controller
Operations Manager
Financial Controller
Trading Desk Manager
Chief Investment Officer
Head of Securities Services
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