ADJUSTMENTS FOR PCS SERVICE OUTAGES Sample Clauses

ADJUSTMENTS FOR PCS SERVICE OUTAGES. If the Alliances' Network suffers a service outage (other than for customary planned outages for maintenance) which affects at least a Minimum Number of cell sites and such outage continues for more than six hours, the Alliances will provide a credit on Horizon's billing invoice for PCS Services for the month of the outage (an "Outage Credit"). For purposes of this Section 6.5, a Minimum Number of cell sites shall be equal to (a) [***] of the number of cell sites which are being used to provide the PCS Services as of the date of the outage, with respect to an outage which occurs during the first year after the Effective Date, (b) [***] of the number of cell sites which are being used to provide the PCS Services as of the date of the outage, with respect to an outage which occurs during the second year after the Effective Date, and (c) [***] of the number of cell sites which are being used to provide the PCS Services as of the date of the outage, with respect to an outage which occurs during the third year after the Effective Date and thereafter. The Outage Credit will be equal to [***]. No adjustments will be processed unless they aggregate to more than $1,000 during any single monthly billing cycle; provided that such minimum amount will increase on each anniversary date of this Agreement by the percentage increase in the Consumer Price Index for the previous twelve months. As used herein, the phrase "
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ADJUSTMENTS FOR PCS SERVICE OUTAGES. Outages of PCS Service will be identified in Sprint PCS’ reports and based on Sprint PCS’ standard network monitoring and operations procedures. Sprint PCS will not provide adjustments on VMU’s invoice for PCS Service outages.

Related to ADJUSTMENTS FOR PCS SERVICE OUTAGES

  • Service Levels (1) DTI shall perform the Services in accordance with the service levels (the "Service Levels") as may be agreed to from time to time in writing by DTI and the Funds (the "Service Level Agreement"). Failure to perform in a manner which equals or exceeds the Service Levels shall result in fee credits ("Fee Credits") or the Funds' right to terminate this Agreement, as set forth in the Service Level Agreement.

  • Service Level Service Provider will classify incidents at its own discretion. Such classifications shall be consistent with the priorities Service Provider set for itself as a recipient of services. Incidents classified using this methodology will be triaged as documented in Attachment A.

  • ADJUSTMENT OF CONTRACT PRICE The Contract Price shall be subject to adjustment, as hereinafter set forth, in the event of the following contingencies (it being understood by both parties that any reduction of the Contract Price is by way of liquidated damages and not by way of penalty):

  • Other Service Contracts The Trustees may authorize the engagement of a principal underwriter, transfer agent, administrator, custodian, and similar service providers.

  • Performance Adjustment One-twelfth of the annual Performance Adjustment Rate will be applied to the average of the net assets of the Portfolio (computed in the manner set forth in the Fund's Declaration of Trust or other organizational document) determined as of the close of business on each business day throughout the month and the performance period.

  • Quality Service Standards/NAV Errors Price Associates and the Fund may, from time to time, agree to certain quality service standards, with respect to the Services hereunder. In the event Price Associates is the party responsible for causing an error in the computation of the net asset value for a Fund or share class of a Fund (“NAV Error”), the actions that are required to be taken as to such NAV Error shall be made in accordance with the Fund’s Net Asset Value Error Correction Policy and Procedures (“NAV Error Policy”) attached hereto as Schedule II.

  • Adjustment, etc Any adjustment, indulgence, forbearance or compromise that might be granted or given by any of the Lenders to Borrower or Guarantor or any Person liable on the Liabilities;

  • Adjustments for Stock Splits The parties acknowledge and agree that all share-related numbers contained in this Agreement shall be adjusted to take into account any stock split, stock dividend or similar event effected with respect to the Placement Shares.

  • Service Level Agreement Subject to the terms and conditions of this Agreement, Bank agrees to perform the custody services provided for under this Agreement in a manner that meets or exceeds any service levels as may be agreed upon by the parties from time to time in a written document that is executed by both parties on or after the date of this Agreement, unless that written document specifically states that it is not contractually binding. For the avoidance of doubt, Bank’s Service Directory shall not be deemed to be such a written document.

  • Service Providing Methodology 1.3.1 Party A and Party B agree that during the term of this Agreement, where necessary, Party B may enter into further service agreements with Party A or any other party designated by Party A, which shall provide the specific contents, manner, personnel, and fees for the specific services.

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