This image shows the Credit Default Swap Pre-Settlement Input - Credit Event Exercise Details Tab screen. The screen has contract reference and option with optional fields terminate and exercise. The other category field is counterparty, description, contract currency, buy/sell. The other category field is termination details, credit event exercise details, underlying, instrument ID, basket%, maturity date, market price, par value and quantity. The other category field is default parameters, default, instrument, credit event code, credit event description, recovery factor, recovery price, premium to be settled optional field settlement includes premium, settlement currency, exercise value, exercise date, exercise settlement date, delivery type with optional field cash, physical and external.