Overall Strategy and General Description Sample Clauses

Overall Strategy and General Description. B.1.3.6 Timing of work packages and their components
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Overall Strategy and General Description. The xxxxxx xx of the work plan was prepared to suite the primary needs of SMEs involved: to develop and ge t the product to the market. In order to facilitate this process EFFiHEAT project is structured into three phases and broken down into individual work package s (WP), consisting of a number of tasks to be carried out by teams from within the total consortiu m:
Overall Strategy and General Description. The goal of ENVISAGE is a development framework for software-as-a-service in virtualized environments. This framework consists of coherent and integrated methods and tools to support a design-by-contract methodology for service-level agreements. The main technical contributions needed are (1) the integration of low-level deployment decisions reflecting the management of virtualized resources into high-level models; (2) validation techniques for service-level agreements at design time; (3) tool-supported analysis techniques for quality of service assurance; and
Overall Strategy and General Description. In order to achieve its ambitious goal, the project comprises a number of research and technical development activities organised as follows. WP2 will develop novel ontologies for representing multiple truths, rumours, and the temporal validity of facts, based on a qualitative social science analysis. WP2 will select and adapt multilingual tools for deriving document-intrinsic lexical, syntactic, and semantic features, coupled with spatio-temporal grounding. WP3 will focus on methods for contextual interpretation, to derive posteriori knowledge from the social networks and cross-media links: identifying new stories and conversations; information diffusion networks, and longitudinal models of trustworthiness and influence of users and information sources. WP4 will develop PHEME’s innovative, multilingual methods for cross-media detection of rumours. It will make use the document-intrinsic (WP2) and posteriori (WP3) knowledge, as well as integrate uncertain facts and reasoning with a priori, large-scale world knowledge from LOD resources. WP5 will create a visual analytics dashboard for interactive, geo-temporal rumour and impact analysis. WP6 will implement the PHEME veracity framework, which will integrate the veracity intelligence tools and services developed in WP2, WP3, WP4, and WP5. Emphasis will be on storing and processing large volumes of historical data, coupled with real-time analysis of incoming new content. A high-level architectural diagram of the Pheme framework appears below. WP6 will also evaluate the scalability and accuracy of all methods. The achievement of the project objectives will be validated in two case studies. WP7 will customise and integrate the PHEME veracity intelligence tools into a prototype for monitoring medical rumours and cross-relating them against electronic patient records. WP8 will create a digital journalism showcase, helping newsroom journalists to find emerging stories and assess their veracity. Performance evaluation and self-assessment in PHEME is a horizontal activity. T6.4 will evaluate the accuracy and scalability of the WP2, WP3, and WP4 algorithms. T5.4 will carry out usability evaluations of the visual analytics dashboard. WP6 and WP7 will evaluate the applicability of the PHEME technology by engaging end-users organised in user groups. While the key performance indicators in WP2, WP3, and WP4 focus primarily on quantitative measures, the case studies use qualitative performance measures. Dissemination an...
Overall Strategy and General Description. ‌ We present an overview of the JPA breakdown, and the way in which the different types of activities cooperate to achieve the overall objective. Overview ArtistDesign will act as a Virtual Centre of Excellence, composed of a set of virtual teams, called clusters. Each cluster gathers together selected teams from partners, to create the xxxxxxxx xxxx and expertise in one of the essential topics for embedded systems design. Each cluster acts as a scientific team, with a specific workplan, and it also participates in global Integration activities, as specified in the Joint Programme of Activities (JPA). Each cluster has one or more scientific leaders, who lead the team and coordinate the effort. A founding principle of the ArtistDesign XxX is integration around a common set of essential research topics, which may evolve over the lifetime of the XxX. This concept was initiated in the Artist2 XxX, and refined in ArtistDesign. An essential new structural feature is the Transversal Integration workpackage having far greater independence (separate leaders and independent budget). We expect this to lead to continued integration between the topics. Each cluster has affiliated partners, serving as relays to the community. These affiliated partners, as well as external parties sharing ArtistDesign’s objectives may receive funding and participate in the ArtistDesign activities according to rules to be defined. The Joint Programme of Activities is structured as follows: JPA Jointly-executed Programme of Activities JPIA Jointly-executed Programme of Integration Activities JPRA Jointly-executed Programme of Research Activities

Related to Overall Strategy and General Description

  • General Description Employer shall provide Employee with the compensation, incentives, benefits, and business expense reimbursement specified elsewhere in this agreement.

  • GENERAL DESCRIPTION AND LIMITATIONS Competitive Supplier is hereby granted the exclusive right to provide All-Requirements Power Supply to Participating Consumers pursuant to the terms of the Program and this ESA. For the avoidance of doubt, Competitive Supplier shall be authorized to supply All-Requirements Power Supply only to Participating Consumers, and the Local Distributor will continue to have the right and obligation to supply electricity to Eligible Consumers who opt-out of the Program and remain on, or return to, Basic Service, until changes in law, regulation or policy may allow otherwise. Competitive Supplier further recognizes that this ESA does not guarantee that any individual Eligible Consumer will be served by the Competitive Supplier. In accordance with Article 3 below, all Eligible Consumers shall be automatically enrolled in the Program unless they choose to opt-out. In the event the geographic boundaries of the Town change during the term of this ESA, Competitive Supplier shall only be obligated to supply All- Requirements Service to those Participating Consumers located within the Town as such boundaries existed on the Effective Date of this ESA. As between the Parties, the Competitive Supplier has the sole obligation of making appropriate arrangements with the Local Distributor, and any arrangements which may be necessary with the ISO-NE so that Participating Consumers receive the electricity supplies to be delivered pursuant to this ESA. The Town shall specifically authorize the Local Distributor to provide, and Competitive Supplier the right to obtain and utilize as required, all billing and energy consumption information for Participating Consumers as is reasonably available from the Local Distributor. Competitive Supplier shall request consumption data for individual Participating Consumers from the Local Distributor via EDI. If further action is required by the Local Distributor to authorize Competitive Supplier to receive such consumption and billing data, the Town agrees to use Commercially Reasonable efforts, at Competitive Supplier’s cost, to assist Competitive Supplier, if so requested by it, in obtaining such information for Participating Consumers, including, without limitation, assisting Competitive Supplier in obtaining permission from such Eligible Consumers and/or the Department, where necessary as a prerequisite to the provision of such information. Competitive Supplier shall not be responsible for any errors that Competitive Supplier makes in the provision of All-Requirements Power Supply to the extent such errors are caused by errors or omissions in the information provided to it by the Local Distributor.

  • LOCATION AND DESCRIPTION The subject property is a 3-bedroom apartment and bearing postal address es Unit No. 11-8, 11th Floor, Pangsapuri Jati Selatan, Xx. 0, Xxxxx 0/000X, 00000 Xxxxx Xxxxxx. Accommodation:- Living area, dining area, master bedroom attached bathroom and dressing room, 2 bedrooms, bathroom, kitchen, yard and balcony. RESERVE PRICE:- The property will be sold on an “as is where is basis” subject to a reserve price of RM210,600.00 (RINGGIT MALAYSIA TWO HUNDRED TEN THOUSAND AND SIX HUNDRED ONLY) (subject to any others taxes implemented, whenever applicable) and to the Conditions of Sale by way of an As signment from the above Assignee and subject to the consent being obtained from the Developer and other relevant authorities, if any and all expenses incurred in obtaining the said consent shall be borne by the Purchaser. All intending bidders are required to deposit with the Bank’s Solicitor a sum equivalent to 10% of the reserve price by BANK DRAFT in favour of Citibank Berhad (Xxx Xxxx Xxxxx & Xxxxx Xx Mooi @ Xxxxx Xxxxx Mooi) prior to the commencement of the auction sale. The balance of the purchase money to be settled within ninety (90) days from the date of the sale to Messrs. YH Teh & Quek, Solicitors for the Assignee / Bank. FOR FURTHER PARTICULARS, please apply to Messrs. YH Teh & Quek, Solicitors for the Assignee/Lender, at Unit 15-02, Menara Centara, 000, Xxxxx Xxxxx Xxxxx Xxxxxx, 50100 Kuala Lumpur. (Ref No: CT/WCC/17296/18/LN/s, Tel No: 00-0000 0000 Fax No: 00-0000 0000) or the undermentioned Auctioneer: EHSAN AUCTIONEERS SDN. BHD. (Co. No. 617309-U) DATO’ XXXXX XXXXX BIN P.V. ABDU (D.I.M.P) Xxxxx X-00-0X, Xxxxx 00, Xxxxx X, Xxxxx Xxxxxx II, / XXXXX XXXXX BIN XXXXXX 00, Xxxxx Xxx Xxxx Xxxx, 50450 Kuala Lumpur (Licensed Auctioneers) Tel.: 00-00000000 Fax: 00-00000000 Ref.: HANA/CB1846/YHTQ Bank Code: E/T&Q/000-000-000000/3 E-mail: xxxxxx@xxxxxxxxxxxxxxxx.xxx Website: xxx.xxxxxxxxxxxxxxxx.xxx PERISYTIHARAN JUALAN DALAM PERKARA PERJANJIAN KEMUDAHAN, PENYERAHAN HAK (PIHAK PERTAMA) XXX SURAT KUASA WAKIL KESEMUANYA BERTARIKH 20HB OKTOBER, 2003 DI ANTARA CITIBANK BERHAD [No. Pendaftaran 199401011410 (297089-M)] Pihak Pemegang Serahhak / Bank XXX XXX XXXX XXXXX (NO. KP: 731201-09-5077/A2606771) XXXXX XX MOOI @ XXXXX XXXXX MOOI (NO. KP: 540210-06-5142/4566917) Pihak Penyerahhak / Peminjam Dalam perkara Perjanjian Kemudahan, Penyerahan Hak (Pihak Pertama) xxx Surat Kuasa Wakil kesemuanya bertarikh 20hb Oktober, 2003 di antara Pihak Pemegang Serahhak xxx Pihak Penyerahhak (“Perjanjian Kemudahan (Pihak Pertama) Penyerahan Hak (Pihak Pertama) xxx Surat Kuasa Wakil kesemuanya tersebut”) adalah dengan ini diperisytiharkan bahawa Pihak Pemegang Serahhak dengan dibantu oleh Pelelong yang tersebut dibawah ini akan menjual harta yang ters ebut dibawah secara:- LELONGAN AWAM PADA 26HB MAC, 2021 BERSAMAAN HARI JUMAAT, JAM 11.00 PAGI, XX XXXXX LELONGAN “EHSAN AUCTIONEERS SDN. BHD.” SUITE C-0-3A, TINGKAT UG, BLOK C, MEGAN AVENUE I I, 00, XXXXX XXX XXXX XXXX, 50450 KUALA LUMPUR NOTA:- Xxxxx -xxxxx pembeli adalah dinasihatkan agar: (1) memeriksa hartanah tersebut, (2) meminta nasihat daripada Pihak Xxxxxx mengenai Syarat-syarat Jualan, (3) membuat carian Hakmilik Xxxxx xxxxxx rasmi di Pejabat Tanah xxx Pihak-pihak Berkuasa yang berkenaan, xxx (4) membuat pertanyaan dengan Pihak Pemaju xxx/atau pihak-pihak xxxx xxxx berkenaan mengenai persetujuan untuk jualan ini sebelum jualan lelong. BUTIR-BUTIR HAKMILIK:- Hakmilik strata telah dikeluarkan. No. Hakmilik Strata / No. Lot : Pajakan Negeri 34768/M1/12/189, Lot 43744 berserta dengan Xxxxx Aksesori No. A42 Mukim / Daerah / Negeri : Petaling / Kuala Lumpur / Wilayah Persekutuan Kuala Lumpur No. Xxxxx Pemaju : No. Xxxxx C-11-08, No. Tingkat 11, No. Bangunan Blok C, Desa Seri Puteri – Xxxxx C Pegangan : Pajakan selama 88 tahun, tamat pada 16hb November 2093 Keluasan Lantai : 77 meter persegi (xxxx-xxxx 829 kaki persegi) Penjual / Pemaju : Dwitasik Sdn Bhd (176849-A) Pemilik Berdaftar : The Datuk Bandar Kuala Lumpur Pemilik Benefisial : Xxx Xxxx Xxxxx & Xxxxx Xx Mooi @ Xxxxx Xxxxx Mooi Bebanan : Diserahhak kepada Citibank Berhad [No. Pendaftaran 199401011410 (297089-M)] Kategori Kegunaan Tanah : Xxxxx Kediaman Selain Kos Rendah (Xxxxx) Syarat-Syarat Nyata : Pangsapuri Kos Sederhana Sekatan Kepentingan : Tanah ini tidak boleh dipindahmilik, dipajak, dicagar atau digadai tanpa kebenaran Jawatankuasa Kerja Tanah Wilayah Persekutuan Kuala Lumpur. LOKASI XXX KETERANGAN HARTANAH:- Hartanah tersebut merupakan satu unit apartmen 3-xxxxx tidur xxx beralamat pos di No. Unit 11-8, 11th Floor, Pangsapuri Jati Selatan, Xx. 0, Xxxxx 0/000X, 00000 Xxxxx Xxxxxx. Akomodasi:- Ruang tamu, ruang makan, xxxxx tidur utama berserta xxxxx xxxxx xxx xxxxx salinan, 0 xxxxx xxxxx, xxxxx xxxxx, dapur, xxxxx xxx balkoni. HARGA RIZAB:- Hartanah tersebut akan dijual “sepertimana xxxxx xxx” tertakluk kepada satu harga rizab sebanyak RM210,600.00 (RINGGIT MALAYSIA DUA RATUS SEPULUH XXXX XXX ENAM RATUS SAHAJA) (tertakluk kepada cukai xxxx xxxx dilaksanakan, yang berkenaan) syarat-syarat yang terkandung dalam Perisytiharan Jualan dalam Bahasa Inggeris. Harta ini juga akan dijual melalui Suratcara Pinjaman xxx Penyerahhakkan tertaklu k kepada memperolehi kebenaran daripada Pihak Pemaju/Pihak Berkuasa Negeri di mana semua perbelanjaan untuk memperolehi kebenaran tersebut akan ditanggung oleh pembeli/penawar yang berjaya. Kesemua penawar yang ingin membuat tawaran dikehendaki mendeposi tkan kepada Peguamcara bagi Pihak Bank suatu jumlah yang bersamaan 10% daripada harga rizab secara BANK DERAF di atas nama Citibank Berhad (Xxx Xxxx Xxxxx & Xxxxx Xx Mooi @ Xxxxx Xxxxx Mooi), sebelum lelongan bermula. Baki wang belian hendaklah dijelaskan dalam tempoh sembilan puluh

  • General Description of Services The A-E will be contacted by COUNTY Project Management staff on an “as-needed” basis as projects arise to provide A-E for professional services. Requirements will be discussed by both Parties and A-E shall prepare a written Scope Statement that will include the specific work to be performed, including the costs and time required to complete the project/task. Orange COUNTY Project Management staff will then review the A-E’s Scope Statement, proceed with negotiation of task costs and when satisfied, issue a Contract Task Order (CTO) against this CONTRACT. The A-E shall serve as lead of a design team that may include other construction design professionals working together to ensure that the original design is carried through to the finished product, with no alterations in materials or design that would lead to safety issues or compromise the quality of the building or building component. Other team members who may be retained by the lead to support a project as a consultant may include but are not limited to landscape architects, lighting designers, data consultants, security consultants, controls engineers, commissioning consultants, traffic engineers, surveyors, estimators, special inspection, etc. The A-E shall be responsible for the preparation of comprehensive building assessments, designs, drawings, specifications, cost estimates, and reports within the scope of the Contract Task Order (CTO). In the preparation of construction drawings and specification, the A-E shall also responsible for:

  • Topic Description Licensee Responsibilities Licensee must:  Take appropriate steps to ensure the security, integrity, and confidentiality of Confidential Information and must comply with all relevant applicable laws and regulations, including laws protecting borrower privacy.  Not disclose Confidential Information to third parties, without Xxxxxx Mae’s prior written approval, except on a need‐to‐know basis to Licensee’s partners, Topic Description affiliates, officers, employees, directors, contractors, counsels, agents or representatives, provided they are subject to confidentiality obligations at least as stringent as those set forth in this Section A3.  Not use Confidential Information in any way that could be viewed as a conflict of interest, a breach of confidentiality or privacy, or the gaining of an unfair advantage from the relationship with Xxxxxx Xxx.  Implement commercially reasonable measures meeting or exceeding industry standards to ensure the security, integrity, and confidentiality of Confidential Information, including using industry‐standard encryption for data in transit and virus checking programs designed to prevent the transmission and receipt of viruses and other malicious code, implementing appropriate disaster recovery and back‐up procedures, implementing appropriate procedures to prevent disclosure of data and other materials to a party other than the intended recipient, and employing methods for securely disposing or destroying such information.  These measures must meet, at least, the same level of protection that the Receiving Party seeks for its own information of a similar nature.  Licensee must collaborate with Xxxxxx Mae in assessing the sufficiency of these measures and Licensee’s information security program, upon reasonable request.  Instruct its Related Parties who may receive Confidential Information about the requirements of this Section A3, and the processes and procedures necessary to comply with them.  Comply with all reasonable security policies and procedures required by Xxxxxx Xxx related to the access and use of Xxxxxx Mae’s systems or any Licensed Materials.  Not transmit to Xxxxxx Mae’s systems any materials that contain bugs, viruses, worms or other functions, routines, devices or instructions which may create any unauthorized access or damage to, or interruption in the functioning of, the Licensed Application or Xxxxxx Mae’s systems. Restrictive Legends  Licensee must abide by and reproduce and include any restrictive legend or proprietary rights notice that appears in or on any Confidential Information of Xxxxxx Xxx or any Third‐Party Licensor (or other third‐party owner) that it is authorized to reproduce.  Licensee also agrees that it will not remove, alter, cover or distort any trademark, trade name, copyright or other proprietary rights notices, legends, symbols or labels appearing on or in any Confidential Information of Xxxxxx Mae or any Third‐Party Licensor (or other third‐party owner). Required Actions in Case of Data Breach  Licensee must address any Data Breach with prompt and effective corrective action, including cooperation with Xxxxxx Xxx in the investigation and remediation of such Data Breach, as well as prompt disclosure and notification where legally required; and  Licensee must promptly notify Xxxxxx Mae of any Data Breach in writing ‐‐ at xxxxxxx_xxxxxxxxxxxx@xxxxxxxxx.xxx ‐‐ and must take all steps reasonably requested by Xxxxxx Xxx to mitigate the consequences of such Data Breach.

  • Long Description (If Applicable Training to provide the knowledge, skills and abilities needed as a result of agency mission, policies, or procedures. . Training to acquire the knowledge, skills and abilities needed as a result of assignment to new duties and responsibilities when such training is not part of a planned, career development program (e.g., training provided to a staffing specialist who has been newly assigned to a position involving classification duties).

  • General Description of Facilities Subject to and upon the terms and conditions herein set forth, (i) the Lenders hereby establish in favor of the Borrower a revolving credit facility pursuant to which each Lender severally agrees (to the extent of such Lender’s Revolving Commitment) to make Revolving Loans to the Borrower in accordance with Section 2.2, (ii) the Issuing Bank agrees to issue Letters of Credit in accordance with Section 2.22, (iii) the Swingline Lender agrees to make Swingline Loans in accordance with Section 2.4, and (iv) each Lender agrees to purchase a participation interest in the Letters of Credit and the Swingline Loans pursuant to the terms and conditions hereof; provided, that in no event shall the aggregate principal amount of all outstanding Revolving Loans, Swingline Loans and outstanding LC Exposure exceed at any time the Aggregate Revolving Commitment Amount from time to time in effect.

  • Project Description In two or three brief sentences, provide a concise description of your exhibition. Include the subject matter, type of objects to be included (paintings, sculpture, manuscripts, etc.), those responsible for organizing the exhibition, and catalogue author(s).

  • GENERAL SERVICE DESCRIPTION Service Provider currently provides active medical, pharmacy(Rx) and dental administration for coverages provided through Empire and Anthem (medical), Medco(Rx), MetLife(dental) and SHPS (FSA) (Empire, Anthem, Medco, MetLife and SHPS collectively, the “Vendors”) for its U.S. Active, Salaried, Eligible Employees (“Covered Employees”). Service Provider shall keep the current contracts with the Vendors and the ITT CORPORATION SALARIED MEDICAL AND DENTAL PLAN (PLAN NUMBER 502 EIN 00-0000000) and the ITT Salaried Medical Plan and Salaried Dental Plan General Plan Terms (collectively, the “Plans”) and all coverage thereunder in full force through December 31, 2011 for Service Recipient’s Covered Employees. All claims of Service Recipient’s Covered Employees made under the Plans and incurred on or prior to December 31, 2011 the (“2011 Plan Year”) will be adjudicated in accordance with the current contract and Service Provider will continue to take such actions on behalf of Service Recipient’s Covered Employees as if such employees are employees of Service Provider. All medical, dental, pharmacy and FSA claims of Service Recipient’s Covered Employees made under the Plans (the “Claims”) will be paid by the Vendors on behalf of the Service Provider. Service Recipient will pay Service Provider for coverage based on 2011 budget premium rates previously set for the calendar year 2011 and described in the “Pricing” section below. Service Recipient will pay Service Provider monthly premium payments for this service, for any full or partial months, based on actual enrollment for the months covered post-spin using enrollments as of the first (1st) calendar day of the month, commencing on the day after the Distribution Date. Service Recipient will prepare and deliver to Service Provider a monthly self xxxx containing cost breakdown by business unit and plan tier as set forth on Attachment A, within five (5) Business Days after the beginning of each calendar month. The Service Recipient will be required to pay the Service Provider the monthly premium payments within ten (10) Business Days after the beginning of each calendar month. A detailed listing of Service Recipient’s employees covered, including the Plans and enrollment tier in which they are enrolled, will be made available to Service Provider upon its reasonable request. Service Provider will retain responsibility for executing funding of Claim payments and eligibility management with Vendors through December 31, 2013. Service Provider will conduct a Headcount True-Up (as defined below) of the monthly premiums and establish an Incurred But Not Reported (“IBNR”) claims reserve for Claims incurred prior to December 31, 2011 date, but paid after that date, and conduct a reconciliation of such reserve. See “Headcount True-Up” and “IBNR Reconciliation” sections under Additional Pricing for details.

  • Allocation and use of scarce resources Any procedures for the allocation and use of scarce resources, including frequencies, numbers and rights of way, will be carried out in an objective, timely, transparent and non-discriminatory manner. The current state of allocated frequency bands will be made publicly available, but detailed identification of frequencies allocated for specific government uses is not required.

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