Gains and losses on sale transactions shall be calculated using the average cost of the currency position on the contract date, plus two or three working days, in accordance with the daily netting procedure of purchases and sales.
in odhodki od prodajnih transakcij se izračunajo z uporabo povprečne nabavne vrednosti valutne pozicije na datum sklenitve pogodbe, z dodatnima dvema ali tremi delovnimi dnevi, v skladu s postopkom dnevne neto izravnave za nakupe in prodaje.