Media Plan Summary Sample Clauses

Media Plan Summary. (compilation of media portfolio and paid media statistics) (two months prior to Unified Annual Report) Community Impact Plan Summary (compilation and summary of monthly written outreach reports) (two months prior to the Unified Annual Report) Unified Annual Report Section 6 and ROWD Analyses (one month prior to the Unified Annual Report/ROWD) Task 6 – Permittee Support Contractor will provide progress updates to the Permittees and Public Education Sub-committee and respond to requests for input on administering effective jurisdictional education and outreach programs. The contractor will participate in regular Permittee meetings and provide written progress reports apprising Permittees of key activities.
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Media Plan Summary. Local Newspapers Insertions Circulation Distribution Space/Materials Close Unit Houston Chronicle 1x Sunday & 1x Weekday 275,992 Houston, TX 5 days prior to issue date 1/8 Page B&W National Trade Publications Format Circulation Distribution Space/Materials Close Unit Buildings Monthly 74,100 National 60 days prior to issue date 1/2 Page B&W Contractor Monthly 49,058 National 60 days prior to issue date 1/2 Page B&W PHC News Monthly 47,000 National 60 days prior to issue date 1/2 Page B&W Plumbing & Mechanical Monthly 49,005 National 60 days prior to issue date 1/2 Page B&W National Consumer Publications Format Circulation Distribution Space/Materials Close Unit People Weekly 3,400,000 National 30 days prior to issue date 1/3 Page B&W National Online Banners Duration Impressions* Distribution Space/Materials Close Unit Google Display Network 31 Days 100,000,000 National 10 days prior to live date 300x250, 300x600, 728x90 Local DMA Banners Duration Impressions* Distribution ‐ DMA Space/Materials Close Unit Google Display Network 31 Days 750,000 Austin, TX 7 days prior to live date 300x250, 728x90, 300x600 Facebook 31 Days 750,000 Austin, TX 7 days prior to live date 254x133 Google Display Network 31 Days 150,000 Baton Rouge, LA 7 days prior to live date 300x250, 728x90, 300x600 Facebook 31 Days 150,000 Baton Rouge, LA 7 days prior to live date 254x133 Google Display Network 31 Days 1,000,000 Dallas, TX 7 days prior to live date 300x250, 728x90, 300x600 Facebook 31 Days 1,000,000 Dallas, TX 7 days prior to live date 254x133 Google Display Network 31 Days 2,000,000 Houston, TX 7 days prior to live date 300x250, 728x90, 300x600 Facebook 31 Days 2,000,000 Houston, TX 7 days prior to live date 254x133 Google Display Network 31 Days 4,000,000 Los Angeles, CA 7 days prior to live date 300x250, 728x90, 300x600 Facebook 31 Days 4,000,000 Los Angeles, CA 7 days prior to live date 254x133 Google Display Network 31 Days 300,000 Orlando, FL 7 days prior to live date 300x250, 728x90, 300x600 Facebook 31 Days 300,000 Orlando, FL 7 days prior to live date 254x133 Google Display Network 31 Days 1,500,000 San Antonio, TX 7 days prior to live date 300x250, 728x90, 300x600 Facebook 31 Days 1,500,000 San Antonio, TX 7 days prior to live date 254x133 State‐Wide Banners Duration Impressions* Distribution ‐ State Space/Materials Close Unit Facebook 31 Days 2,000,000 Arizona 7 days prior to live date 254x133 Facebook 31 Days 1,000,000 Arkansas 7 days prior to live date 254x133 Faceb...
Media Plan Summary. (compilation of media portfolio and paid media statistics) (two months prior to Unified Annual Report)
Media Plan Summary. 9. The Media Plan includes various forms of notice including a digital/internet notice program (digital notice and social media), internet sponsored search listings, an informational release, and newspaper publication notice. The combined measurable reach of the overall proposed Notice Plan, including a comprehensive Media Plan (accounting for digital notice and social media only) is 70% of Adults, Aged 18+ in California, New York, and Massachusetts who have purchased Woolite laundry detergent, an average of 3.9 times each. “

Related to Media Plan Summary

  • Budget Summary Other Sources (Page BudgetSum 2-3 - Acct 7000), must equal Other Uses (BudgetSum 2-3 - Acct. 8000). Estimated Beginning Fund Balance July,1 2020 for all Funds (Cells C3 - K3) (Line must have a number or zero. Do not leave blank.) OK Estimated Activity Fund Beginning Fund Balance July,1 2020 (Cell C83) (Cell must have a number or zero. Do not leave blank.) OK Transfer Among Funds (Funds 10, 20, 40 - Acct 7130 - Cells C29, D29, F29), must equal (Funds 10, 20 & 40 - Acct 8130 - Cells C52, D52, F52). OK Transfer of Interest (Funds 10 thru 90 - Acct 7140 - Cells C30:K30), must equal (Funds 10 thru 60, & 80 - Acct 8140 - Cells C53:H53, J53). OK Transfer to Debt Service to Pay Principal on Capital Leases (Fund 30 - Acct 7400 - Cell E39) must equal (Funds 10, 20 & 60 - Acct 8400 Cells C57:H60). OK Transfer to Debt Service to Pay Interest on Capital Leases (Fund 30 - Acct 7500 - Cell E40) must equal (Funds 10, 20 & 60 - Acct 8500 - Cells C61:H64). OK Transfer to Debt Service Fund to Pay Principal on Revenue Bonds (Fund 30 - Acct 7600 - Cell E41) must equal (Funds 10 & 20 - Acct 8600 - Cells C65:D68). OK Transfer to Debt Service to Pay Interest on Revenue Bonds (Fund 30 - Acct 7700 - Cell E42) must equal (Funds 10 & 20 - Acct 8700 - Cells C69:D72). OK Transfer to Capital Projects Fund (Fund 60 - Acct 7800 - Cell H43) must equal (Fund 10 & 20, Acct 8800 - Cells C73:D76). OK

  • Service Descriptions Available services for Transitional and Enhanced Supervision Services a. One (1) one-to-one meeting with the Contractor per week for case management services.

  • Executive Summary Based on the requirements and qualifications set forth in the Pooling and Servicing Agreement, as well as the items listed below, the Trust Advisor has undertaken a limited review of the Special Servicer’s operational activities to service the Specially Serviced Mortgage Loans in accordance with the Servicing Standard. Based on such review, the Trust Advisor [does, does not] believe there are material violations of the Special Servicer’s compliance with its obligations under the Pooling and Servicing Agreement. In addition, the Trust Advisor notes the following: [PROVIDE SUMMARY OF INFORMATION]. In connection with the assessment set forth in this report:

  • SUMMARY As provided in the Fifth Amended and Restated Declaration of Trust and Trust Agreement of the Trust, as amended from time to time (the “Trust Agreement”) as currently in effect and described in the applicable Prospectus (defined below), units of fractional undivided beneficial interest in and ownership of each Fund (individually and collectively, the “Shares”) may be created or redeemed by the Managing Owner for an Authorized Participant in aggregations of two hundred thousand (200,000) Shares (each aggregation, a “Basket”). Baskets are offered only pursuant to the applicable registration statement of the Trust, with respect to all the Funds, excluding the DBA Fund and the DBS Fund, on Form S-3, with respect to the DBA Fund on Form S-3ASR, and with respect to the DBS Fund on Form S-1, as amended (Registration Nos.: 333-203008 et seq. with respect to all the Funds, excluding the DBA Fund and the DBS Fund; Registration Nos.: 333-185865 et seq. with respect to the DBA Fund only; Registration Nos.: 333-193222 et seq. with respect to the DBS Fund only), as currently effective and on file with the Securities and Exchange Commission (“SEC”) and as the same may be amended from time to time thereafter or any successor registration statement in respect of Shares of each Fund (each, a “Registration Statement,” collectively, the “Registration Statements”) together with the prospectuses of the Trust in the form filed with the SEC under Rule 424(b) under the Securities Act of 1933, as amended (the “1933 Act”), after the effectiveness of the Registration Statements (each, a “Prospectus,” collectively, the “Prospectuses”). Under the Trust Agreement, the Managing Owner is authorized to issue Baskets to, and redeem Baskets from, Authorized Participants, (i) through the Continuous Net Settlement (“CNS”) clearing processes of the National Securities Clearing Corporation (the “NSCC”) as such processes have been enhanced to effect purchases and redemptions of Creation Baskets and Redemption Baskets (the “CNS Clearing Process”), or (ii) if outside the CNS Clearing Process, only through the facilities of The Depository Trust Company (“DTC” or the “Depository”) (the “DTC Process”), or a successor depository, and only in exchange for cash. This Agreement sets forth the specific procedures by which an Authorized Participant may create or redeem Baskets. For the avoidance of doubt, the term “Prospectus” shall mean the Prospectus for the DBA Fund, the Prospectus for the DBS Fund or the Prospectus for all of the Funds, excluding the DBA Fund and the DBS Fund, as the context requires. Because new Shares for each Fund can be created and issued by the Trust on an ongoing basis, at any point during the life of each respective Fund, a “distribution,” as such term is used in the 1933 Act, may be occurring. The Authorized Participant is cautioned that some of its activities may result in its being deemed a participant in a distribution in a manner that would render it a statutory underwriter and subject it to the prospectus delivery and liability provisions of the 1933 Act. The Authorized Participant should review the “Plan of Distribution” section of the applicable Prospectus and consult with its own counsel in connection with entering into this Agreement and submitting a Purchase Order Subscription Agreement (defined below). Capitalized terms used but not defined in this Agreement shall have the meanings assigned to such terms in the Trust Agreement. To the extent there is a conflict between any provision of this Agreement and the provisions of the Trust Agreement, the provisions of the Trust Agreement shall control. To the extent there is a conflict between any provision of this Agreement and the provisions of the applicable Prospectus, the applicable Prospectus shall control. For the avoidance of doubt, any action which is an action being taken by the Managing Owner may be taken by a party whom the Managing Owner has duly authorized to take such action. To give effect to the foregoing premises and in consideration of the mutual covenants and agreements set forth below, the parties hereto agree as follows:

  • Description of Vendor Entity and Vendor's Goods & Services If awarded, this description of Vendor and Vendor's goods and services will appear on the TIPS website for customer/public viewing. Full service mechanical and electrical contractors offering professional solutions and services in HVAC, Refrigeration, Piping, Plumbing, Electrical, Controls and Engineering. Primary Contact Name Please identify the individual who will be primarily responsible for all TIPS matters and inquiries for the duration of the contract. Xxxx Xxxxx Primary Contact Title Primary Contact Title Project Manager Primary Contact Email Please enter a valid email address that will definitely reach the Primary Contact. xxxxxx@xxxxxxxxxxxxxx.xxx Primary Contact Phone Numbers only, no symbols or spaces (Ex. 8668398477). The system will auto-populate your entry with commas once submitted which is appropriate and expected (Ex. 8,668,398,477). Please provide the accurate and current phone number where the individual who will be primarily responsible for all TIPS matters and inquiries for the duration of the contract can be reached directly. 0000000000 Primary Contact Fax Numbers only, no symbols or spaces (Ex. 8668398477). The system will auto-populate your entry with commas once submitted which is appropriate and expected (Ex. 8,668,398,477). 1 0 0000000000 Primary Contact Mobile Numbers only, no symbols or spaces (Ex. 8668398477). The system will auto-populate your entry with commas once submitted which is appropriate and expected (Ex. 8,668,398,477). 1 0000000000 Secondary Contact Name Please identify the individual who will be secondarily responsible for all TIPS matters and inquiries for the duration of the contract. Xxxx Xxxxx Secondary Contact Title Secondary Contact Title

  • Service Description The Parties will provide Common Channel Signaling (CCS) to one another via Signaling System 7 (SS7) network Interconnection, in accordance with prevailing industry standards. Use of a third party provider of SS7 trunks is permitted.

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