NOTA Sample Clauses

NOTA. The Parties acknowledge that NOTA prohibits the purchase and sale of human organs used in human transplantation, including bone and related tissue, for “valuable consideration.” The Parties acknowledge that NOTA permits reasonable payments associated with the removal, transportation, implantation, processing, preservation, quality control, and storage of human bone tissue and that Osiris provides services in some of these areas with respect to the Allografts. The Parties believe that NOTA permits payments in connection with the Stryker Services as reasonable payments associated with the processing, transportation, and implantation of the Allografts. The Parties acknowledge and agree that: (i) the Customer Fees to be paid by Customers to Osiris are in recognition of and are reasonable payment for the Allograft Service provided by Osiris and (ii) the fees to be paid by Osiris to Stryker are in recognition of and are reasonable payment for the Stryker Services.
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NOTA. If the Client refuses, the Architect should record the refusal and inform the Client in writing of the potential consequences due to the lack of technical studies.
NOTA. All revisions to the Timetable should be issued to Contractors and the Client. It can be an amendment to the provisions of clause10 of the Agreement should additional construction work ensue. Only Contractors are committed to the Timetable. The Architect can not guarantee the Construction Timetable (the reason why he/she can not incur penalties during this phase). Each Contractor is responsible for its own timetable and delays. Nota: Architect's Appointment Agreement provides for a single Commencement Notice of construction work on site. This Notice is issued to all Contractors at the commencement of construction. Contractor deposits Down payments for Contractors, at the signature of the Building Contract, are regulated and can not exceed 5% of the total Contract Sum (legislation of 16th July 1971). The Architect should take particular care and not accept down payments in excess of 30%, for example. Revision of the list of construction work undertaken or supplies provided by the Client If, during the performance of the Appointment, the Client revises the list of construction work the Client undertakes (either more or less), this is considered as a revision to the Design Brief which results in an amendment in compliance with clause 7.2 of the Agreement if this revision occurs during the Concept Design Work Stage, otherwise clause 10 if this revision occurs at a later stage. Revision of the list of construction work undertaken by the Client during the performance of the Appointment does not change the fee amount due to the Architect for Work Stages already completed. Under no circumstances should the list of construction work to be undertaken by the Client be revised subsequent to the commencement of construction.
NOTA. The following contract is the employment contract of Xx X. Nota, containing the terms of employment and other arrangements that apply with effect from March 31, 2011 as member of the Board of Management of Royal Philips Electronics (“Koninklijke Philips Electronics N.V.”, hereinafter also referred to as “the Company”).
NOTA. Xxxxx-xxxxx pembeli adalah dinasihatkan agar: (i) meminta nasihat bebas daripada pihak Xxxxxx mengenai Syarat-syarat Jualan di sini (ii) memeriksa hartanah tersebut (iii) membuat pertanyaan sekiranya hakmilik individu xxx hakmilik strata telah dikeluarkan (iv) membuat carian hakmilik secara rasmi di Pejabat Tanah xxx/atau xxxx-xxxx Pihak Berkuasa yang relevan (v) membuat pertanyaan yang diperlukan dengan pihak Pemaju xxx/atau Pemilik xxx/atau Pihak Berkuasa Negeri, xxx/atau badan-badan yang relevan mengenai pengesahan-pengesahan/ terma-terma kebenaran yang diperlukan untuk jualan sebelum jualan lelong (vi) membuat xxx bergantung pada carian sendiri, pertanyaan, penyiasatan xxx penentusahan mengenai ketepatan xxx kebenaran butir-butir xxx maklumat yang dikemukakan. Xxxxx-xxxxx pembeli adalah dinasihatkan bahawa pergantungan tidak boleh dibuat pada kenyataan-kenyataan atau representasi-representasi yang dibuat pada Perisytiharan Jualan ini atau oleh Pelelong pada masa lelongan berkenaan dengan hartanah yang diperihalkan xxx mana-mana bakal pembeli yang memilih untuk bergantung pada kenyataan-kenyataan atau representasi-representasi tersebut berbuat demikian atas risiko sendiri. Penawar yang berjaya (“Pembeli”) sebaik sahaja selepas jualan mengakujanji untuk memohon xxx mendapatkan pengesahan/ kebenaran yang diperlukan untuk pindahmilik atau xxxxx xxx (jika xxx) daripada Pemaju xxx/atau Pemilik xxx/atau Pihak Berkuasa Negeri xxx/atau badan-badan yang relevan. BUTIR-BUTIR HAKMILIK NO. HAKMILIK STRATA XXX NO. LOT: PN 94177/M1/1/3, Xxx 00000 XXXXXX / XXXXXX / XXXXXX: Bandar Baru Bangi / Ulu Langat / Selangor Darul Ehsan KELUASAN LANTAI: (Unit) lebih kurang 144.70 meter persegi (1,557.12 kaki persegi) PEGANGAN: Pajakan selama 99 tahun (tamat tempoh pada 25hb April, 2102) PEMAJU (PENJUAL): Perbadanan Kemajuan Negeri Selangor BEBANAN: Diserah hak kepada MBSB Bank Berhad SEKATAN KEPENTINGAN: Tanah ini boleh dipindahmilik, dipajak atau digadai setelah mendapat kebenaran Pihak Berkuasa Negeri. LOKASI XXX PERIHAL HARTANAH Harta tersebut adalah seunit runcit-pangsapuir tingkat bawah yang dikenali sebagai No. Parsel Pemaju: 6-GF, Jenis: Kedai B, Pangsapuri Perkasa xxx beralamat di Unit No. 6-GF, Tingkat Bawah, Perkasa Apartment, Xxxxx 00/0X, Xxxxxxx 00, 43650 Bandar Baru Bangi, Selangor Darul Ehsan. HARGA RIZAB Hartanah tersebut akan dijual dalam “keadaan sepertimana sediada” xxx tertakluk kepada satu harga rizab sebanyak RM860,000.00 (RINGGIT MALAYSIA XXXXX XXXXX XXX EN...
NOTA. Xxxxx-xxxxx pembeli adalah dinasihatkan agar: (i) meminta nasihat bebas daripada pihak Xxxxxx mengenai Syarat-syarat Jualan di sini (ii) memeriksa hartanah tersebut (iii) membuat pertanyaan sekiranya hakmilik individu xxx hakmilik strata telah dikeluarkan (iv) membuat carian hakmilik secara rasmi di Pejabat Tanah xxx/atau xxxx-xxxx Pihak Berkuasa yang relevan (v) membuat pertanyaan yang diperlukan dengan pihak Pemaju xxx/atau Pemilik xxx/atau Pihak Berkuasa Negeri, xxx/atau badan-badan yang relevan mengenai pengesahan-pengesahan/ terma-terma kebenaran yang diperlukan untuk jualan sebelum jualan lelong (vi) membuat xxx bergantung pada carian sendiri, pertanyaan, penyiasatan xxx penentusahan mengenai ketepatan xxx kebenaran butir-butir xxx maklumat yang dikemukakan. Xxxxx-xxxxx pembeli adalah dinasihatkan bahawa pergantungan tidak boleh dibuat pada kenyataan-kenyataan atau representasi-representasi yang dibuat pada Perisytiharan Jualan ini atau oleh Pelelong pada masa lelongan berkenaan dengan hartanah yang diperihalkan xxx mana-mana bakal pembeli yang memilih untuk bergantung pada kenyataan-kenyataan atau representasi-representasi tersebut berbuat demikian atas risiko sendiri. Penawar yang berjaya (“Pembeli”) sebaik sahaja selepas jualan mengakujanji untuk memohon xxx mendapatkan pengesahan/ kebenaran yang diperlukan untuk pindahmilik atau xxxxx xxx (jika xxx) daripada Pemaju xxx/atau Pemilik xxx/atau Pihak Berkuasa Negeri xxx/atau badan-badan yang relevan. BUTIR-BUTIR HAKMILIK

Related to NOTA

  • Transfert A. Le Logiciel Apple obtenu via le Mac App Store n’est pas transmissible. Si vous vendez votre matériel de marque Apple à un tiers, vous êtes tenu de supprimer le Logiciel Apple dudit matériel avant de le remettre à l’acheteur.

  • CESSION 23.1 Upon written notice to the Supplier/Service Provider, Transnet shall be entitled:

  • Record Owner The Company may deem the Optionee as the absolute owner of this Option for all purposes. This Option is exercisable only by the Optionee, or by the Optionee's duly designated appointed representative. This Option is not assignable.

  • Gewährleistungsverzicht A. Wenn Sie Xxxxx sind, der die Apple Software für private Zwecke verwendet (Verbraucher, der die Apple Software außerhalb seiner Branche, seines Unternehmens oder seines Berufs einsetzt), haben Sie möglicherweise in dem Land, in dem Sie wohnhaft sind, gesetzmäßige Rechte, die verhindern, dass die folgenden Einschränkungen für Sie gelten, und im Falle einer solchen Verhinderung haben sie für Sie keine Gültigkeit. Wenn Sie mehr über Ihre Rechte erfahren möchten, wenden Sie sich bitte an eine lokale Beratungsstelle für Verbraucher.

  • Record Retention The Company will, pursuant to reasonable procedures developed in good faith, retain copies of each Issuer Free Writing Prospectus that is not filed with the Commission in accordance with Rule 433 under the Securities Act.

  • EXECUTION COPY (b) Each Lender shall make available all amounts it is to fund to the Borrower under any Borrowing in immediately available funds to the Administrative Agent at the Administrative Agent’s Office and the Administrative Agent will (except in the case of Mandatory Borrowings and Borrowings to repay Unpaid Drawings under Letters of Credit) make available to the Borrower, by depositing to an account designated by the Borrower to the Administrative Agent in writing, the aggregate of the amounts so made available in Dollars. Unless the Administrative Agent shall have been notified by any Lender prior to the date of any such Borrowing that such Lender does not intend to make available to the Administrative Agent its portion of the Borrowing or Borrowings to be made on such date, the Administrative Agent may assume that such Lender has made such amount available to the Administrative Agent on such date of Borrowing, and the Administrative Agent, in reliance upon such assumption, may (in its sole discretion and without any obligation to do so) make available to the Borrower a corresponding amount. If such corresponding amount is not in fact made available to the Administrative Agent by such Lender and the Administrative Agent has made available same to the Borrower, the Administrative Agent shall be entitled to recover such corresponding amount from such Lender. If such Lender does not pay such corresponding amount forthwith upon the Administrative Agent’s demand therefor, the Administrative Agent shall promptly notify the Borrower and the Borrower shall immediately pay such corresponding amount to the Administrative Agent. The Administrative Agent shall also be entitled to recover from such Lender or the Borrower, as the case may be, interest on such corresponding amount in respect of each day from the date such corresponding amount was made available by the Administrative Agent to the Borrower, to the date such corresponding amount is recovered by the Administrative Agent, at a rate per annum equal to (i) if paid by such Lender, the Federal Funds Effective Rate or (ii) if paid by the Borrower, the then-applicable rate of interest, calculated in accordance with Section 2.8, for the respective Loans.

  • Evidence of Ownership The Company, the Trustee and any agent of the Company or the Trustee may deem and treat the Holder of any Unregistered Security and the Holder of any coupon as the absolute owner of such Unregistered Security or coupon (whether or not such Unregistered Security or coupon shall be overdue) for the purpose of receiving payment thereof or on account thereof and for all other purposes, and neither the Company, the Trustee, nor any agent of the Company or the Trustee shall be affected by any notice to the contrary. The fact of the holding by any Holder of an Unregistered Security, and the identifying number of such Security and the date of his holding the same, may be proved by the production of such Security or by a certificate executed by any trust company, bank, banker or recognized securities dealer wherever situated satisfactory to the Trustee, if such certificate shall be deemed by the Trustee to be satisfactory. Each such certificate shall be dated and shall state that on the date thereof a Security bearing a specified identifying number was deposited with or exhibited to such trust company, bank, banker or recognized securities dealer by the person named in such certificate. Any such certificate may be issued in respect of one or more Unregistered Securities specified therein. The holding by the person named in any such certificate of any Unregistered Securities specified therein shall be presumed to continue for a period of one year from the date of such certificate unless at the time of any determination of such holding (1) another certificate bearing a later date issued in respect of the same Securities shall be produced or (2) the Security specified in such certificate shall be produced by some other Person, or (3) the Security specified in such certificate shall have ceased to be outstanding. Subject to Article 7, the fact and date of the execution of any such instrument and the amount and numbers of Securities held by the Person so executing such instrument may also be proven in accordance with such reasonable rules and regulations as may be prescribed by the Trustee or in any other manner which the Trustee may deem sufficient. The Company, the Trustee and any agent of the Company or the Trustee may deem and treat the person in whose name any Registered Security shall be registered upon the Security Register for such series as the absolute owner of such Registered Security (whether or not such Registered Security shall be overdue and notwithstanding any notation of ownership or other writing thereon) for the purpose of receiving payment of or on account of the Principal of and, subject to the provisions of this Indenture, interest on such Registered Security and for all other purposes; and neither the Company nor the Trustee nor any agent of the Company or the Trustee shall be affected by any notice to the contrary.

  • RECORDAL 2.1. The SCC is the Fund’s standard terms and conditions of contract and constitutes part of the Service Provider Agreement between the Fund and the Service Provider, or in lieu of a Service Provider Agreement, constitutes part of the Purchase Order issued by the Fund to the Service Provider (whichever is applicable)

  • S.A 59:1-1 et seq.), the New Jersey Contractual Liability Act (N.J.

  • Record Ownership The Company, or its attorney, shall maintain a register of the Holder of the Debentures (the "Register") showing their names and addresses and the serial numbers and principal amounts of Debentures issued to them. The Register may be maintained in electronic, magnetic or other computerized form. The Company may treat the person named as the Holder of this Debenture in the Register as the sole owner of this Debenture. The Holder of this Debenture is the person exclusively entitled to receive payments of interest on this Debenture, receive notifications with respect to this Debenture, convert it into Common Stock and otherwise exercise all of the rights and powers as the absolute owner hereof.

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