Floating Rate Option

Example Definitions of "Floating Rate Option"
Floating Rate Option. Shall mean USD-LIBOR-BBA (k) "Floating Rate Payer Payment Date" shall mean the 4th day of each November, February May and August, commencing on November 4, 2006 and ending on the Termination Date, subject to adjustment in accordance with the Modified Following Business Day Convention.
Floating Rate Option. The Eurodollar Rate as defined in the final paragraph of Part 4, clause (a), of the Schedule to the Master Agreement
Floating Rate Option. Shall mean USD-LIBOR-BBA
Floating Rate Option. USD-LIBOR-BBA
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