FT MarketWatch

FRA

Forward Rate Agreement. A forward Contract that specifies an Interest rate to be Paid on an Obligation beginning on some future date. Any gain or loss on the Contract is treated as a similar gain or loss on a Futures or options Contract would be.

Related Terms: 9 Contract, ECI, Forward, Futures, Interest, Interest rate, Obligation, Option, Paid
Other Related Pages: Category: Lending_and_Credit Starting With: F
Semi Related Terms: 470 CLICK HERE TO VIEW
Allowance for depreciation, Adjustable rate, Accrued interest, At par, ABC agreement, All or any part, At best, At call, Adjustable rate preferred stock, Adjusted futures price, At risk, Add-on service, Action to quiet title, Adhesion contract, As is, Assignment to creditors, Attorney in fact, Adjustable Rate Mortgage, Adjustment date, Advance rate, Annual Percentage Rate, Applicable federal rate, A shares, American option, American-style option, Asian option, At the money, Average option, Absorption rate, Across the board, Additional paid-in capital, Against the box, At the bell, At the close, At the figure, At the full, At the market, At the opening order, Away from the market, Below the line, Burn rate, Banking Act of 1933, Benchmark interest rate, Bid-to-cover ratio, Bullet contract, Brought over the wall, Buying on margin, Buy on close, Buy on opening, Buy the book, Bank Rate, Base interest rate, Breaking the syndicate, By the book, Base rate, Blended rate, Broker loan rate, B shares, Break-even tax rate, Beat the gun, Capitalized interest, Capital loss, Contra account, Cleared date, Compound interest, Call date, Collateralized Bond Obligation, Collateralized Mortgage Obligation, Collaterized Loan Obligation, Committee on Uniform Securities Identification Procedures, Conversion option, Coupon rate, Current production rate, Call money rate, Contra broker, Contract broker, Capitalization rate, Cap rate, Civilian unemployment rate, Chasing the market, Cheapest to deliver, Commodities Exchange Act, Commodity futures, Commodity Futures Trading Commission, Contract grades, Contract market, Contract month, Casualty loss, Chicago Board Options Exchange, Confidentiality agreement, Contract, Contract for deed, Contract sale, Consumer interest, C shares, Call option, Class of options, Close to the money, Contract size, Covered option, Closing date, Cloud on title, Cash or Deferred Arrangement, Class A Shares, Class B Shares, Capital loss carryover, Close a position, Cornering the market, Curbs in, Date draft, Deposit in transit, Date of issue, Date of payment, Deferred interest bond, Distribution date, Due date, Date of record, Dividend in arrears, Dividend rate, Desk (the), Discount rate, Dated date, Doing business as, Date of maturity, Debtor in possession, Debtor-in-possession financing, Due-on-sale clause, Deep in the money, Deep out of the money, Dogs of the Dow, Effective annual interest rate, Exact interest, Embedded option, Escrowed to maturity, Either-or order, Exchange rate, ECI, Economic growth rate, Edge Act, E-mini, Exchange for futures, Exchange for physical, Effective date, Effective tax rate, Employee stock repurchase agreement, Equity option, Express agreement, Explicit interest, European-style option, Exchange-traded option, Expiration date, Employee Retirement Income Security Act of 1974, Ex-rights date, First In First Out, First call date, Flight to quality, Floating-rate bond, Forward, Fill or kill, Front-ending an order, Floating exchange rate, Foreign currency option, Foreign exchange rate, Forward deal, Forward exchange rate, Forward P/E, Federal Reserve Discount Rate, Financial futures, Forward cover, Forward price, Futures, Futures contract, Futures option, Futures price, Fee-for-service, Form S-1, Forward pricing, Fair Credit Reporting Act, Fair Debt Collection Practices Act, Fixed rate, Fixed-rate loan, Fixed-Rate Mortgage, Floating rate, Forward differential, Forward interest rate, Forward Rate Agreement, Forward sale, Far option, Federal Insurance Contributions Act, Federal ID Number, Forward commitment, Forward trade, General Obligation Bond, Guaranteed Investment Contract, Glass-Steagall Act, G-7, General Agreement on Tariffs and Trade, G-8, Grant date, Gather in the stops, Hart-Scott-Rodino Act of 1976, Hit the bid, Hypothecation agreement, Health Insurance Portability and Accountability Act, Holder in due course, Home Mortgage Disclosure Act, Hammering the market, Held at the opening, Holding the market, Interest-bearing, In escrow, Interest rate collar, Interest rate risk, Interest rate swap, Issue date, In-house, Investment Advisor Act of 1940, Investment Company Act of 1940, In line, Inflation rate, Interest rate futures, Interbank Rate, Insurable interest, Insider Trading sanctions Act of 1984, Interest, Interest expense, Internal Rate of Return, Indication of interest, In intestacy, Inter vivos trust, Imputed interest, Interest deduction, Interest-only loan, Interest rate, Interest rate cap, Interest rate ceiling, Interest rate floor, In play, In-process research and development, Index option, Interest rate option, I/O strip, Inchoate interest, Installment sales contract, Interest-only strip, In-service withdrawal, In and out, In sympathy, In the tank, Jumping the gun, Knock-out option, Last In First Out, Lending at a rate, Limit-on-close order, London International Financial Futures and Options Exchange, London Inter-Bank Offer Rate, Loan-to-cost, Loan-to-value, Lock-in, Lapsed option, Listed option, Land contract, Lease-purchase agreement, Leading the market, Locked in, Long-term gain or loss, Loss carryover, Level I quotes, Maturity date, Moral obligation bond, Make a market, Margin agreement, Margin rate, Market if touched order, Market on close order, Mark-to-market, Marginal propensity to consume, Market rate, Money at call, Mortgage interest deduction, Mortgage rate, Mill rate, Net interest margin, Nominal rate, Non-interest-bearing note, National Futures Association, New York Futures Exchange, Non-equity option, Non-compete agreement, Non-disclosure agreement, Naked option, Near option, Non-qualified stock option, Non-statutory stock option, Off the books, Ordinary interest, Obligation, Obligation bond, Over-the-Counter, On-floor order, On margin, Option account, Or better, Operating rate, Open interest, Option, Offering date, On account, On-the-spot loan, Option income fund, Option chain, Option contract, Option holder, Option margin, Option pool, Option premium, Option price, Option pricing curve, Options Clearing Corporation, Option series, Option spread, Options Prices Reporting Authority, Option writer, Out of the money, Occupancy agreement, Ordinary loss, On-balance volume, On close, On open, On the opening, Option exchange, Profit and loss statement, Pass-through coupon rate, Payment date, Payment-in-kind security, Price Value of a Basis Point, Payment for order flow, Payable date, P&L, Provision for income taxes, Paid, Paid up, Personal interest, Prepaid interest, Prime rate, Projected maturity date, Prime rate fund, Physical option, Put option, Passive loss, Purchase agreement, Prudent Expert Act, Paid-in capital, Paid-in surplus, Private Investment in Public Equity, Painting the tape, Paper loss, Retention rate, Return on Capital, Return on Invested Capital, Return on Total Assets, Run rate, Real interest rate, Rate covenant, Redemption date, Reading the tape, Regulation D, Regulation G, Regulation T, Regulation U, Rate of exchange, Record date, Real economic growth rate, Reduced paid-up insurance, Regulation A, Right to Know, Rate-improvement, Rate lock, Renegotiable rate, Registered options principal, Roll forward, Retirement Equity Act of 1984, Return on Capital Employed, Rate of return, Real rate of return, Repurchase agreement, Reverse repurchase agreement, SG&A, Simple interest, S&L, Series EE bond, Spot rate, Sell the book, Stop-loss, Savings rate, Swap rate, Single stock futures, Second-to-die insurance, Settlement options, Short interest, Short interest ratio, Stock option, Stock option plan, Supplemental agreement, Security interest, Start rate, Selling the spread, Single option, Spread option, Savings Incentive Match Plan for Employees, Selling short against the box, Shorting against the box, S Corporation, Short-term gain or loss, Standard mileage rate, Subchapter M, Subchapter S Corporation, Schedule C, Securities Act of 1933, Securities Exchange Act of 1934, Seek a market, Settlement date, S&P phenomenon, Times interest earned, T-Bill, Term to maturity, Take a position, Trailing P/E, Tenancy by the entirety, Teaser rate, TED spread, Truth in Lending, Tenancy at will, Top hat plan, The Street, Timing the market, Tax loss carryback, Tax loss carryforward, Taxpayer Relief Act of 1997, Tax Reform Act of 1986, Tax Reform Act of 1993, Take a bath, Trade date, U.S. Government Agency Security, U.S. Savings Bond, U.S. Treasury, U.S. Treasury Bill, U.S. Treasury Bond, U.S. Treasury Note, U.S. Treasury Securities, Underwriting agreement, Uniform Securities Act, Unemployment rate, Uniform submission agreement, Unearned interest, Uncovered option, Unrealized loss, Variable rate, With interest, Williams Act, War chest, W-2 Form, W formation, When, as, and if issued, X or XD, Year-To-Date, Yield to call, Yield to maturity, Yield to worst, Y shares