Demonstration of Compliance Payments Sample Clauses

Demonstration of Compliance Payments. 4.1.1 In consideration of the demonstration of RoCoF compliance pursuant to this Agreement the Company shall pay the Service Provider the payments (“Demonstration of Compliance Payments”) as calculated in accordance with Schedule 2.
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Demonstration of Compliance Payments. 1.1. The Service Provider will receive a daily payment, determined in accordance with the following provisions of this paragraph 1.1. The payment to the Service Provider is determined as:
Demonstration of Compliance Payments. 1.1. The Service Provider will receive a daily payment, determined in accordance with the following provisions of this paragraph 1.1. The payment to the Service Provider is determined as: c = 1500 x d x e Where: c is the daily payment; d is a scalar associated with the size of the Generating Unit; e is a scalar associated the expiration of the defined generator study period which commenced on November 21st 2014; and 1500 is the monetary value. Based on the Regulatory Authority decision paper, the remuneration mechanism comes into effect on 1st March 2016 and runs until 28th February 2018. The daily rate decreases in each six month period as shown in Table 1. Scalar e is set to 100% for the period 1st June 2016 to 30th November 2016. The second six month period will then run from 1st December 2016 until 31st May 2017 with scalar e set to 75% and so on. The daily rates apply in accordance with the Generating Unit’s Registered Capacity. The relationship between Registered Capacity and scalar d are detailed in Table 1. Registered Capacity (MW) d 1st Mar 2016 to 31st May 2016 e = 125% 1st Jun 2016 to 30th Nov 2016 e = 100% 1st Dec 2016 to 31st May 2017 e = 75% 1st Jun 2017 to 30th Nov 2017 e=50% 1st Dec 2017 to 28th Feb 2018 e=25% >= 400 1 € 1,875.00 € 1,500.00 € 1,125.00 € 750.00 € 375.00 >= 300 0.75 € 1,406.25 € 1,125.00 € 843.75 € 562.50 € 281.25 >= 200 0.5 € 937.50 € 750.00 € 562.50 € 375.00 € 187.50 >=100 0.25 € 468.75 € 375.00 € 281.25 € 187.50 € 93.75 >=50 0.15 € 281.25 € 225.00 € 168.75 € 112.50 € 56.25 <50 0.05 € 93.75 € 75.00 € 56.25 € 37.50 € 18.75 Table 1
Demonstration of Compliance Payments. 4.1.1 In consideration of the demonstration of RoCoF compliance pursuant to this Agreement the Company shall pay the Service Provider the payments 3xxxxx://xxx.xxxxxx.xxx.xx/sites/xxxxxx.xxx.xx/files/media- files/Decision_Paper_on_the_Rate_of_Change_of_Frequency_Grid_Code_Modification.pdf (“Demonstration of Compliance Payments”) as calculated in accordance with Schedule 2.

Related to Demonstration of Compliance Payments

  • Certification of Compliance The Owner may permit the use, prior to sampling and testing, of certain materials or assemblies when accompanied by manufacturer's certificates of compliance stating that such materials or assemblies fully comply with the requirements of the contract. The certificate shall be signed by the manufacturer. Each lot of such materials or assemblies delivered to the work must be accompanied by a certificate of compliance in which the lot is clearly identified. Materials or assemblies used on the basis of certificates of compliance may be sampled and tested at any time and if found not to be in conformity with contract requirements will be subject to rejection whether in place or not. The form and distribution of certificates of compliance shall be as approved by the Owner. When a material or assembly is specified by "brand name or equal" and the Contractor elects to furnish the specified "brand name", the Contractor shall be required to furnish the manufacturer's certificate of compliance for each lot of such material or assembly delivered to the work. Such certificate of compliance shall clearly identify each lot delivered and shall certify as to:

  • Performance or Compliance Audits The Department may conduct or have conducted performance and/or compliance audits of the Contractor and subcontractors as determined by the Department. The Department may conduct an audit and review all the Contractor’s and subcontractors’ data and records that directly relate to the Contract. To the extent necessary to verify the Contractor’s fees and claims for payment under the Contract, the Contractor’s agreements or contracts with subcontractors, partners, or agents of the Contractor, pertaining to the Contract, may be inspected by the Department upon fifteen (15) calendar days’ notice, during normal working hours and in accordance with the Contractor’s facility access procedures where facility access is required. Release statements from its subcontractors, partners, or agents are not required for the Department or its designee to conduct compliance and performance audits on any of the Contractor’s contracts relating to this Contract. The Inspector General, in accordance with section 5.6, the State of Florida’s Chief Financial Officer, the Office of the Auditor General also have authority to perform audits and inspections.

  • Payment of Non-compliance Penalties j) Subject to Clause (i) above, the Service Provider shall pay the Non-compliance Penalty indicated in the Non-compliance Penalty Certificate within 10 (ten) Business Days of Transnet issuing a valid Tax Invoice to the Service Provider for the amount set out in that certificate. If Transnet does not issue a valid Tax Invoice to the Service Provider for Non-compliance Penalties accrued during any relevant period, those Non-compliance Penalties shall be carried forward to the next period.

  • CONTRACT COMPLIANCE REQUIREMENT The HUB requirement on this Contract is 0%. The student engagement requirement of this Contract is 0 hours. The Career Education requirement for this Contract is 0 hours. Failure to achieve these requirements may result in the application of some or all of the sanctions set forth in Administrative Policy 3.10, which is hereby incorporated by reference.

  • Compliance Audit LEA shall have the right but shall be under no obligation to conduct audit(s), from time to time, of Provider’s records concerning its compliance obligations as set forth in this Article V. Provider shall make such records and other documents available to LEA upon request.

  • CEQA Compliance The District has complied with all assessment requirements imposed upon it by the California Environmental Quality Act (Public Resource Code Section 21000 et seq. (“CEQA”) in connection with the Project, and no further environmental review of the Project is necessary pursuant to CEQA before the construction of the Project may commence.

  • STATEMENT OF COMPLIANCE Contractor has, unless exempted, complied with the nondiscrimination program requirements. (Gov. Code §12990 (a-f) and CCR, Title 2, Section 11102) (Not applicable to public entities.)

  • Assessments of Compliance and Attestation Reports SECTION 3.22 Access to Certain Documentation.

  • Notification of Breach / Compliance Reports The Adviser shall notify the Trust immediately upon detection of (i) any material failure to manage any Fund in accordance with its investment objectives and policies or any applicable law; or (ii) any material breach of any of the Funds’ or the Adviser’s policies, guidelines or procedures. In addition, the Adviser shall provide a quarterly report regarding each Fund’s compliance with its investment objectives and policies, applicable law, including, but not limited to the 1940 Act and Subchapter M of the Code, as applicable, and the Fund’s policies, guidelines or procedures as applicable to the Adviser’s obligations under this Agreement. The Adviser agrees to correct any such failure promptly and to take any action that the Board may reasonably request in connection with any such breach. Upon request, the Adviser shall also provide the officers of the Trust with supporting certifications in connection with such certifications of Fund financial statements and disclosure controls pursuant to the Xxxxxxxx-Xxxxx Act. The Adviser will promptly notify the Trust in the event (i) the Adviser is served or otherwise receives notice of any action, suit, proceeding, inquiry or investigation, at law or in equity, before or by any court, public board, or body, involving the affairs of the Trust (excluding class action suits in which a Fund is a member of the plaintiff class by reason of the Fund’s ownership of shares in the defendant) or the compliance by the Adviser with the federal or state securities laws or (ii) an actual change in control of the Adviser resulting in an “assignment” (as defined in the 0000 Xxx) has occurred or is otherwise proposed to occur.

  • Compliance Requirements K. If using volunteers as provided for in this Contract during FY19, which encompasses the Contract term of July 1, 2019 to June 30, 2020, then the Grantee must either:

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