ISDA Documentation
Fieldfisher-tls manages the entire process for their clients from on-boarding through to execution. We have experience in negotiating the full suite of ISDA documentation including, but not limited to:
- ISDA Master Agreements
- Credit Support Annexes and Deeds
- Initial Margin including Account Control Agreements and IM Credit Support Annexes/Deeds
- Clearing documents including Cleared Derivatives Execution Agreement and OTC Addendum
- Execution and reporting documentation
- Facility-linked documentation, and
- Supporting documentation e.g. guarantees
Other Master Agreements
Fieldfisher-tls adopts the same approach as we do with regards to ISDA documentation. We have experience in negotiating the full-suite of master agreements, including, but not limited to:
- Global Master Repurchase Agreements
- Master Repurchase Agreements
- Global Master Securities Lending Agreements
- Master Securities Lending Agreements
- Clearing Terms of Business
- Futures and Execution Agreements
- Master Give Up Agreements
- FX Prime Brokerage Agreements
- Switch Agreements
- MiFID Terms of Business
- Exchange Traded Documentation
Commodity Documentation
Fieldfisher-tls partners with in-house teams to draft, review, negotiate, and execute Commodity Master Agreements and related Credit Support Documents, including but not limited to:
- EFET Master Agreements (Power and Gas),
- ISDA Master Agreements,
- Emissions annexes (both EFET and ISDA)
- NBP Annex
- GTMA Annex
- ZBT Annex
- CPMA
- MNA
- EEI
- NAESB
Other Transactional Documentation
Fieldfisher-tls manages the entire process for their clients on an on-going basis or for specific periods of time to suite individual client’s needs, including but not limited to:
- Structured OTC derivatives confirmations covering all asset classes
- Novation agreements
- Amendment agreements
- Non-disclosure agreements
- Guarantees of origin