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Deposits
Deposits contract clause examples
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Euro-Dollar Business Day” means any Business Day on which dealings in Dollar deposits are carried out in the London interbank market.

London Banking Day” means any day on which dealings in Dollar deposits are conducted by and between banks in the London interbank eurodollar market.

London Banking Day” means any day on which dealings in Dollar deposits are conducted by and between [[Organization D:Organization]] in the London interbank eurodollar market.

London Banking Day” means any day on which dealings in Dollar deposits are conducted by and between banks in the London interbank market.

London Banking Day” means any day on which dealings in dollar deposits are conducted by and between banks in the London interbank market.

“London Banking Day” means any day on which dealings in Dollar or Alternative Currency, as applicable, deposits are conducted by and between banks in the London interbank Eurodollar market.

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