Bank Guarantee. England & Wales Collateral Agreement 2. [Insert name of Clearing Member]Insert name of Clearing Member] Nord Pool AS

Similar documents
Collateral Security Deed

DATED 20 HSBC BANK PLC. and [FUNDER] and [COMPANY] DEED OF PRIORITY

THE COMPANIES NAMED IN THIS GUARANTEE

Pledged Settlement Account Agreement

Guarantee. THIS DEED is dated. 1. Definitions and Interpretation. 1.1 Definitions. In this Deed:

U.S.$40,000,000,000 Global Medium Term Note Programme

GUARANTEE AND INDEMNITY

made in favour of the Bank for the account of the Customer, no other forms of payments are acceptable for placement.

To participate in the Local Government Pension Scheme

SCHEDULE 2 to Collateral Annex (with Optional Changes)

SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C FORM 8-K CURRENT REPORT

SECURITY SHARING AGREEMENT. THIS SECURITY SHARING AGREEMENT (this Agreement) is made as of June 25, 2014.

BRITISH COLUMBIA UTILITIES COMMISSION. Rules for Gas Marketers

EXHIBIT F-1 (I) FORM OF DESIGN-BUILD LETTER OF CREDIT VIRGINIA DEPARTMENT OF TRANSPORTATION 1401 EAST BROAD STREET RICHMOND, VA ATTN: [ ]

[PARTICIPANT], a company incorporated in [England and Wales] (registered number [])

SCHEDULE 21 PARENT COMPANY GUARANTEE

Whilst in global form the Notes will have the benefit of deed of covenant to be dated..(the "Deed of Covenant").

International Swaps and Derivatives Association, Inc. ISDA RESOLUTION STAY JURISDICTIONAL MODULAR PROTOCOL

PERFORMANCE GUARANTEE

UNITED STATES SECURITIES AND EXCHANGE COMMISSION. Washington, D.C FORM 8-K

APPLICATION FOR IRREVOCABLE STANDBY LETTER OF CREDIT To: Dominion Bank and Trust Customers

NOTE- All drafts must be pre-approved by Vectren before final execution. Please contact Vectren Credit Risk for assignment of document number.

Agreement to UOB Banker s Guarantee Terms and Conditions

Credit Policy (Northern States Power Company, a Minnesota Corporation)

ICE CLEAR EUROPE LIMITED. - and - COMPANY NAME

Deed of Guarantee and Indemnity

Schedule 3.1. Form of Luxembourg law securities pledge agreement SECURITIES PLEDGE AGREEMENT 1

THE LOCAL AUTHORITIES LISTED IN SCHEDULE 1 Initial Guarantors. TEL SECURITY TRUSTEE (LGFA) LIMITED Security Trustee GUARANTEE AND INDEMNITY

ACCENTURE SCA, ACCENTURE INTERNATIONAL SARL AND ACCENTURE INC. PERFORMANCE GUARANTEE AND UNDERTAKING OF ACCENTURE SCA

NALCOR ENERGY MUSKRAT FALLS CORPORATION THE TORONTO-DOMINION BANK. as Collateral Agent MF EQUITY SUPPORT AGREEMENT

AGENCY AGREEMENT. made on. 25 January between. FIRST FLEXIBLE (NO.7) PLC as the Issuer

EMIR PORTFOLIO RECONCILIATION, DISPUTE RESOLUTION AND DISCLOSURE. (2) (full legal name of company) (the Counterparty).

Delmarva Power and Light Maryland TPS Financial Information

BANK ACCOUNT AGREEMENT. by and among. NBC COVERED BOND (LEGISLATIVE) GUARANTOR LIMITED PARTNERSHIP as Guarantor. and

PRELIMINARY STATEMENT

Guaranty Agreement. 2. Guaranty Absolute. The liability of Guarantor under this Guaranty shall be absolute and unconditional irrespective of:

EQUIPMENT LEASE ORIGINATION AGREEMENT

THIRD AMENDED AND RESTATED BANK ACCOUNT AGREEMENT

APPLICATION FOR BANK GUARANTEE/BOND ( Guarantee ) Name of Instructing Party / Applicant / Principal / Secured Party (Customer)

including existing and future fixtures, fittings, alterations and additions.

AFFINITY WATER FINANCE (2004) LIMITED AS ISSUER AND AFFINITY WATER LIMITED AS ORIGINAL GUARANTOR AND

GOODMAN HK FINANCE (Incorporated with limited liability in the Cayman Islands) Company Stock Code: 5763

Schedule 3.2. Form of Luxembourg law pledge of cash account agreement PLEDGE OF CASH ACCOUNT AGREEMENT 1

GUARANTY OF PERFORMANCE AND COMPLETION

CALCULATION AGENT AGREEMENT W I T N E S S E T H:

PLEDGE AGREEMENT. between. E. STANLEY KROENKE, as PLEDGOR. and. DEUTSCHE BANK AG NEW YORK BRANCH as PLEDGEE. Dated as of August 2, 2018

CARTOGRAM, INC. VOTING AGREEMENT RECITALS

MASTER REPURCHASE AGREEMENT. entered into between. THE SOUTH AFRICAN RESERVE BANK (the Bank) and. (the Counterparty)

IRREVOCABLE BANK GUARANTEE. THIS IRREVOCABLE BANK GUARANTEE is made and executed on this day.

Note Deed Poll. Dated 22 August 2013

It should be used in conjunction with the PPF Precedent Shareholders' Agreement (master version) and the PPF Precedent Articles of Association.

DATED 18 AUGUST THE PARTIES LISTED IN SCHEDULE 1 as Original Obligors. DEUTSCHE TRUSTEE COMPANY LIMITED as Borrower Security Trustee

Model Commercial Paper Dealer Agreement

ISDA AUGUST 2012 DF TERMS AGREEMENT

INTERNATIONAL CHAMBER OF COMMERCE INTERNATIONAL STANDBY PRACTICES (ISP98) (ICC publication No. 590)

New issuance Renewal for BG Number : Amendment for BG Number : Bank to perform stamping

VOTING AGREEMENT RECITALS

ASSIGNMENT OF RENTAL PROCEEDS. A DEED OF ASSIGNMENT dated the

SLM STUDENT LOAN TRUST SUPPLEMENTAL INDENTURE NO. 1B OF 2016, dated as of December 12, 2016, INDENTURE dated as of August 1, 2006.

NOBLE ENERGY, INC. Pursuant to the Offer to Purchase dated August 8, 2017

[INSERT NAME OF DEPOSIT PLACING ENTITY/PARTY A] as Principal. and. [INSERT NAME OF DEPOSIT TAKING ENTITY/PARTY B] as Agent

Guarantor additionally represents and warrants to Obligee as

UNITED STATES SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C FORM 8-K

Content Provider Agreement

IMPORTANT: You must read the following disclaimer before continuing

SECOND SUPPLEMENTAL TRUST INDENTURE

MINOR SERVICES AGREEMENT FORM

FINAL SUPPLY CHAIN SOLUTION LTD TERMS AND CONDITIONS FOR THE SUPPLY OF LOGISTICS SERVICES

General Terms of Business

ICB System Standard Terms and Conditions

SCHEDULE 10 LENDERS REMEDIES AGREEMENT

AVOCA CLO V PLC (the Issuer )

DEED OF GUARANTEE AND INDEMNITY. To: A Bank Limited (hereinafter called "the Bank")

Participant Agreement

ISDA International Swaps and Derivatives Association, Inc.

Model Commercial Paper Dealer Agreement

CHARGE OF CASH AND SECURITY AGREEMENT (FIRST PARTY)

REGISTRATION AND PAYING AGENT AGREEMENT. between CITY AND COUNTY OF BROOMFIELD, COLORADO. and. UMB BANK, n.a. DENVER, COLORADO

International Swaps and Derivatives Association, Inc. ISDA 2018 U.S. RESOLUTION STAY PROTOCOL

RIP-IT SPORTS TERMS FOR NEW ACCOUNTS. All first orders are credit card pre-pay only. Card will be charged upon ship.

Guarantee Agreement INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT DATED APRIL 28, 1950 LOAN NUMBER 24 ME. Public Disclosure Authorized

Now come. Section 1. Guaranty

Gross Bidding Agreement

OCBC 5.6% Subordinated Notes due 2019 Callable with Step-up in 2014:

DISTRIBUTION TERMS. In Relation To Structured Products

Client Order Routing Agreement Standard Terms and Conditions

(01/31/13) Principal Name /PIA No. PAYMENT AND INDEMNITY AGREEMENT No.

Collateral Custodial Agreement

The Temporary Global Note and the Permanent Global Note will be delivered to a common depositary for.. (".") and. (.").

AMERICAN EXPRESS ISSUANCE TRUST

Dated [ ] NORFOLK COUNTY COUNCIL AND [ ] MEMBERS ACCESS AGREEMENT RE LGPS FRAMEWORK ARRANGEMENTS

AMENDED AND RESTATED LIQUIDITY AGREEMENT. between TEXAS PUBLIC FINANCE AUTHORITY. and TEXAS COMPTROLLER OF PUBLIC ACCOUNTS

Dated 21 April 2016 STEINHOFF FINANCE HOLDING GMBH. and STEINHOFF INTERNATIONAL HOLDINGS N.V. and BNY MELLON CORPORATE TRUSTEE SERVICES LIMITED

Form of Foreign Guaranty # v.1 GUARANTY

Custodian Agreement. as Client. and. Butterfield Bank (Cayman) Limited as Custodian. Butterfield Bank (Cayman) Limited IS4-12

PROMISSORY NOTE SECURED BY DEED OF TRUST Condominium Conversion BMR Program

This booklet relates to the Application Form for Business Revolving Credit / Business Instalment Loan Business Card Programme

STANDBY BANK ACCOUNT AGREEMENT. NBC COVERED BOND (LEGISLATIVE) GUARANTOR LIMITED PARTNERSHIP as Guarantor. and

THE CO-OPERATIVE BANK P.L.C. AND BALLOON STREET HOLDINGS LIMITED AND LUCID ISSUER SERVICES LIMITED HOLDING PERIOD TRUST DEED

MEMORANDUM OF DEPOSIT

Transcription:

Bank Guarantee England & Wales Collateral Agreement 2 [Insert name of Clearing Member]Insert name of Clearing Member] Nord Pool AS

ON-DEMAND BANK GUARANTEE Date of Issuance : [ ] Reference Number 1 : [ ] Currency : [ insert currency symbol] ([ insert currency in words]) Maximum Amount Recoverable : [ insert number] ([ insert amount in words] or such other amount if varied pursuant to clause 2 below) Expiry Date : [ ] or such later date if this deed of guarantee is extended pursuant to clause 2 below Applicant 2 : [ insert full name] address: attention: The Beneficiary may from time to time assign any or all or its rights (including any proceeds of the Beneficiary's drawing) under this deed of guarantee and/or transfer all of this deed of guarantee to (i) any Affiliate or (ii) any bank or financial institution which provides the Beneficiary with any services under or in connection with the CCP Service and/or any credit, liquidity or other banking facilities, in each case without the necessity of the Issuer's consent. Bank Guarantor : [ insert name of issuing bank] address: [ ] attention: [ ] telephone no: [ ] SWIFT no: [ ] Beneficiary : Nord Pool AS (company number 984 058 098 in the Norwegian Register of Business Enterprises) visiting address: mail address: Vollsveien 17 B, 1366 Lysaker, Norway PO BOX 121, 1325 Lysaker, Norway attention: Agreements telephone no: +47 67 10 91 00/+47 67 10 91 63 SWIFT no: NDEAGB2LXXX 1 Drafting note: This is the unique reference number which the issuing bank may assign to this bank deed of guarantee. Please delete if the issuer does not use reference numbers. 2 Drafting note: This is the relevant Applicant/Clearing Member.

We, the undersigned, [insert name of bank guarantor], a company incorporated in [insert country] (registered number [ ]), with its registered office at [insert address] (hereinafter we, us, our ) hereby provide the Beneficiary with this deed of guarantee (the Guarantee ), subject to the terms and conditions set out below, in connection with the application of [insert name of Applicant], a company incorporated in [insert country] (registered number [registered number [ ]]), with its registered office at [insert address]) (the "Clearing Member") to become and remain an Clearing Member in the Settlement System: 1. We guarantee the due payment to the Beneficiary of all money and liabilities for the time being due, owing or incurred by the Clearing Member to the Beneficiary under or in connection with Clearing Transactions (as defined below) together with all interest, commission, fees and all other charges and expenses for which the Clearing Member is or becomes liable to the Beneficiary (the "Guaranteed Amounts"), provided that: (a) the total amount recoverable from us hereunder shall not exceed the Maximum Amount Recoverable set out at the beginning of this Guarantee; and (b) no demand under this Guarantee shall be valid and result in any liability on our part unless it is made on us before 6pm on the Expiry Date set out at the beginning of this Guarantee. After such time we shall have no further liability under this Guarantee save to the extent of any demand(s) validly made prior to such time. 2. We may from time to time deliver a written notice (in materially the same form as set out in Schedule 2 of this Guarantee) to the Beneficiary requesting (i) a change in the limit specified in clause 1(a) above, and/or (ii) an extension of the Expiry Date, or (iii) the revocation of this Guarantee (a "Request") to take effect on a Business Day clearly specified in that Request (the "Specified Date"). A Request will not be valid and will have no effect unless it is received by the Beneficiary before the Specified Date. The Beneficiary may, in its absolute discretion, accept or reject a Request. If the Beneficiary has not notified its decision to us in writing before 6pm on the Specified Date, the Request shall lapse and the Beneficiary shall be deemed to have rejected the Request. If the Beneficiary accepts the Request in writing, the relevant change, extension or revocation (as the case may be) shall take effect automatically at 6pm on the Specified Date and (in the case of a change or extension) this Guarantee shall continue in effect subject to that change or extension. In the case of revocation, this Guarantee shall terminate at 6pm on the Specified Date provided that such termination shall not affect any rights or obligations which may have accrued on or prior to such time (save that nothing in this clause 2 shall permit the Beneficiary to deliver a demand after 6pm on the Specified Date). 3. If any Guaranteed Amount is not paid in full by the Clearing Member to the Beneficiary by the specified deadline on the due date for payment in accordance with the Clearing Rules (as defined below), we shall on first written demand from the Beneficiary pay the amount so demanded to the Beneficiary as soon as operationally possible and in any event within three (3) Business Days after (but not counting) the day of demand. 4. Every demand for payment under this Guarantee should be made to us materially in the same form as set out in Schedule 1 to this Guarantee and, if delivered by hand or courier (but not if

delivered by SWIFT), signed by at least one authorised signatory of the Beneficiary (whose signature must be confirmed as authentic by the Beneficiary s bankers). 5. A demand may be delivered in one or more of the following ways: (a) by hand or courier to our address set out at the beginning of this Guarantee; and/or (b) by authenticated SWIFT from the Beneficiary 's bankers to us at our SWIFT number set out at the beginning of this Guarantee. A demand does not need to be accompanied by a copy or the original of this Guarantee. The making of one demand shall not preclude the Beneficiary from making any further demands. 6. All payments by us to the Beneficiary under this Guarantee shall be made (by electronic transfer for same day value in cleared funds) to the bank account set out below (or such other bank account in London as the Beneficiary may notify to us in writing from time to time, provided that such notice shall not take effect until the fifth (5 th ) Business Day after (but not counting) the date on which such notice is given): Bank: Nordea Bank AB (publ) Branch: London Branch SWIFT: NDEAGB2LXXX Account name: Nord Pool AS Account number: 46905511 (IBAN Number GB47NDEA40487846905511) Payment reference: [ insert name of Clearing Member]. 7. This Guarantee is irrevocable and unconditional and constitutes our direct primary obligation to make payment hereunder to the Beneficiary without the necessity of any reference to or consent from the Clearing Member and without examination of the Clearing Member's liability under the Clearing Rules. Any amount due hereunder will be paid without reference to any rights of set-off or counterclaim that the Clearing Member or we may have against the Beneficiary or any rights of set-off that we may have against the Clearing Member and whether or not the Clearing Member disputes its liability to pay the amount demanded by the Beneficiary. 8. We agree that the amount stated in any demand made by the Beneficiary under this Guarantee as being payable by the Clearing Member to the Beneficiary shall, as between the Beneficiary and ourselves, be conclusive evidence that our liability hereunder has accrued in respect of the amount demanded.

9. This Guarantee is a continuing guarantee and shall remain in force notwithstanding the liquidation or dissolution of the Clearing Member or the appointment of an administrator, receiver or similar office-holder of the Clearing Member or in relation to all or any part of its assets. Our liability hereunder shall not be discharged or impaired by reason of any change (substantive or otherwise) made now or in the future by the Beneficiary to the Clearing Rules or any act or matter whatsoever which (but for this provision) might have discharged or impaired our liability. 10. This Guarantee is in addition to and not in substitution for any guarantee, indemnity or security which the Beneficiary may at any time hold and may be enforced by the Beneficiary without first having recourse to the same or taking any proceedings against the Clearing Member. 11. No failure to exercise and no delay on the part of the Beneficiary in exercising any right under this Guarantee and no course of dealing between the parties shall be construed or operate as a waiver of that right, nor shall any single or partial exercise of any right preclude any other or further exercise of it or the exercise of any other right. 12. No variation, supplement, deletion or replacement of or from this Guarantee or any of its terms shall be effective unless made in writing and signed by or on behalf of the Beneficiary and ourselves. 13. Any notice, letter or other written communication between us and the Beneficiary must be in materially the same form as set out in Schedule 2 of this Guarantee and may be delivered to the recipient by hand or courier or by authenticated SWIFT (through the Beneficiary 's bankers) at the address or SWIFT number of the recipient set out at the beginning of this Guarantee. We or the Beneficiary may at any time notify the other in writing (in materially the same form as set out in Schedule 2 of this Guarantee) of any change to its address and/or SWIFT number, provided that such change shall not take effect until the fifth (5th) Business Day after (but not counting) the date on which such notice is given, provided that our address must be located in England or Scotland. We shall ensure that it is able at all times to receive communications by authenticated SWIFT message. 14. The Beneficiary may assign any or all of its rights (including its right to receive any amounts becoming payable by us) under this Guarantee to (i) any Affiliate or (ii) any bank or financial institution which provides the Beneficiary with any settlement services under Settlement System and/or any credit, liquidity or other banking facilities, in each case without the necessity of our consent. If we receive written notice of assignment, we shall within five Business Days after (but not counting) the date of delivery acknowledge receipt of the notice of assignment and confirm to the assignee the balance then capable of being demanded under this Guarantee (after deduction of any demand(s) previously received and paid by us under this Guarantee). We will promptly take any steps reasonably requested by the Beneficiary to effect any assignment permitted by this clause 14. 15. Unless the context otherwise requires or unless re-defined herein, words and phrases and principles of interpretation provided for in Appendix 1 of the Clearing Rules (as defined below) have the same meanings in this Guarantee and, in addition, the following expressions shall have the following meanings:

(a) "Affiliate" means any legal entity which is directly or indirectly controlled (whether through any shareholding or voting rights, rights provided for in any document or otherwise) by the Beneficiary (or any successor); (b) "Business Day" means any day (other than a Saturday or Sunday) on which banks are generally open in London for business of the kind contemplated in this Guarantee; (c) "Clearing Rules" means the rules and procedures established by the Beneficiary which are, from time to time, in force in relation to Clearing Members with respect to Clearing; (d) "Clearing Transaction" means a Transaction that is registered for Clearing by the Beneficiary as contemplated by the Clearing Rules; (e) "person" includes any individual, firm, company, corporation, government, state or agency of a state or any association, trust, joint venture, consortium or partnership (whether or not having separate legal personality), or two or more of the foregoing; (f) "Settlement System" means the system operated by the Beneficiary as a central counterparty for the clearing of electricity contracts in the Beneficiary s GB markets, and the services provided by it in connection with such arrangements; (g) "SWIFT" means the Society for Worldwide Interbank Financial Telecommunication (or any successor provider of such telecommunication services). References to any type of message transmitted through SWIFT shall include such type of message as modified, replaced and/or renumbered by SWIFT from time to time; and (i) references to time shall be references to London time. 16. This Guarantee and all non-contractual obligations arising out of or in connection with it shall be governed by, and construed in accordance with, English law. Subject to clause 17, the English courts shall have exclusive jurisdiction to settle any claim, dispute or difference which may arise out of or in connection with this Guarantee. 17. Nothing in clause 16 shall limit the right of the Beneficiary to take proceedings against us in any other court of competent jurisdiction, nor shall the taking of any such proceedings in one or more jurisdictions preclude the taking of proceedings in any other jurisdiction, whether concurrently or not (unless precluded by applicable law). We irrevocably waive any objections on the ground of venue or inconvenient forum or any similar grounds and irrevocably agree that any judgment in any proceedings brought in any court referred to in this clause shall be conclusive and binding and may be enforced in any other jurisdiction. 18. As soon as our liability under this Guarantee has ceased or been fully satisfied, please return this document to us for cancellation.

THIS GUARANTEE has been executed as a deed and shall take effect on the date stated in the beginning of this Guarantee 34. [Option 1 Execution by one director in the presence of a witness] Executed as a deed by [insert full name of bank guarantor] acting by [insert name of director] in the presence of [insert name of witness] Director... Director/Secretary [Option 2 Execution by two authorised signatories] Executed as a deed by [insert full name of bank guarantor] acting by [insert name of director] and [insert name of director / secretary] Director... Director/Secretary [Option 3 Affixing common seal] Executed as a deed by the affixing of the common seal of [insert full name of bank guarantor] in the presence of [insert name of director] and [insert name of director / secretary]... Director... Director/Secretary 3 In relation to an English Company entering into this deed, one of the three execution blocks should be used and the method of execution used should be in accordance with that English Company's articles. 4 In relation to a non-english company entering into this deed, the method of execution should be in the manner permitted by the laws of the territory in which the non-english company is incorporated for the execution of deeds by such a company. If there is no specified manner under the laws of the territory in which the non-english company is incorporated, then Option 2 should be used, i.e. execution by two authorised signatories.

SCHEDULE 1 Form of Demand To: [Insert name and address of bank guarantor] For the attention of [insert details] Dated [ ] [By courier/registered post] Dear Sirs Deed of guarantee dated [ ***] issued under reference number [***] (the "Guarantee") by [insert name of bank guarantor] to Nord Pool AS in relation to [insert the Clearing Member's name] (the "Clearing Member") 1. We hereby demand the immediate payment to us of [insert words] pounds sterling ( [insert figures]) under the Guarantee. 2. We confirm that the sum demanded is due and payable by the Clearing Member and that the Clearing Member has failed to pay the sum demanded to us. 3. Payment under this demand should be made by you to our bank account specified in clause 6 of the Guarantee. Signed for and on behalf of Nord Pool AS... Authorised Officer

SPECIMEN COLLATERAL AGREEMENT 2 BANK GUARANTEE (ENGLAND &WALES) SCHEDULE 2 SCHEDULE 2 Form of communication Date: To: From: [insert the date on which the letter is signed or delivered] [Nord Pool AS] OR [ insert name of bank guarantor] [ insert name of bank guarantor] OR [Nord Pool AS] Deed of guarantee dated [***] issued under reference number [***] (the "Guarantee") by [insert name of bank guarantor] to Nord Pool AS in relation to [insert the Clearing Member's name] (the "Clearing Member") This notice is given in accordance with the Guarantee. [insert text here] For and on behalf of [Nord Pool AS] OR [ insert name of issuing bank] (signed) 5 Authorised signatory 5 No signature is required for a communication delivered by SWIFT.