INFORMATION FLOWS Sample Clauses

INFORMATION FLOWS. 6.1 In that “la Caixa”, in accordance with Article 5 of Royal Decree-Act 5/2010, of 3 August, and Article 3.4 of the reworded text of the Savings Banks of Catalonia Act, of 11 March 2008, carries on its financial activities indirectly through CaixaBank, the latter shall make available to “la Caixa” all its information, in its entirety and without restriction, so that it may have complete awareness of its situation and activities and the manner in which the latter are being carried on.
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INFORMATION FLOWS. Notwithstanding Clause 3.2, information from the Depositary to the Fund Manager and from the Fund Manager to the Depositary shall be provided in accordance with the requirements of the Service Level Description. The Fund Manager and, as the case may be, the Fund, may review the performance of the Depositary in respect of the Depositary’s obligations under this Agreement and the Service Level Description. The Depositary shall at all times in respect of its duties be entitled (i) to make such enquiries as may reasonably be required to enable it to assess the conduct of the Fund Manager and the Fund and the Fund Manager and the Fund shall be required to cooperate with such enquiries, and (ii) to assess the quality of information transmitted, including by way of having access to the relevant parts of the books and records of the Fund and the Fund Manager, as the case may be, or by way of on-site visits.
INFORMATION FLOWS. 9.1 Each Party undertakes to continue to diligently provide the other Party with any information which may be requested by it and which may be necessary to enable Banco Financiero y de Ahorros to comply with its legal, accounting and tax obligations and those relating to its own funds, as well as for any other purposes which may be in Bankia’s and Banco Financiero y de Ahorros’ common interest and benefit including, among others and by way of example and in any event without limitation, for the following purposes:
INFORMATION FLOWS. Summary: The technical platform for practices and for Frimley ICS community services providers is EMISweb. EMISweb is a HSCN/N3 cloud-based system that allows secure recording and processing of patient data together with controlled access to patient information held in other organisations’ records. The sharing process is as follows: 1. Where Frimley ICS community services provider staff are managing a patient’s care the patient’s details and any referral to Frimley ICS community services providers and subsequent care, treatment and outcomes are recorded in the Frimley ICS community services provider’s respective EMISweb solutions; 2. Practices’ EMISweb data is made available to and accessed by Frimley ICS community services providers’ practitioners with a legitimate relationship with the individual, using the EMISweb Viewer solution within the constraints set by the practice’s opt-in/opt-out model and the patient’s preferences as communicated to the practice; 3. Frimley ICS community services providers’ EMISweb data is made available to and accessed by practices with a legitimate relationship with the individual, using the EMISweb Viewer solution; and 4. Subject to a legitimate relationship being established the data is made available through the EMISweb Viewer for viewing by the users in the user organisations identified in the Schedule K documents reliant on this document and in accordance with the User Service Profiles identified in the Schedule K documents reliant on this document. What information will be collected: No new information is collected as part of this sharing arrangement. Why is information being collected: No new information is collected as part of this sharing arrangement. Where information will be stored (including back-ups and copies): No new information is collected as part of this sharing arrangement. How information is to be edited or deleted: No information is to be edited or deleted as part of this sharing arrangement. How data is to be quality checked: The normal Frimley ICS and East Berkshire GP policies for data quality apply. Who is responsible for the information: Each signatory to a Schedule K document reliant on this document is data controller for data processed in and sourced from the signatory’s EMISweb clinical system. The signatories are joint controllers in the context of GDPR art.26 and Frimley Health NHS Foundation Trust is the lead controller in respect of s.25 and Annex 2 of the Regional Health and Social Care Inf...
INFORMATION FLOWS. 9.1 Each Party covenants to continue diligently providing the other Party with the information it requests and is necessary in order for Banco Financiero y de Ahorros to comply with its legal, accounting, tax and capital obligations, as well as for such other purposes as redound to the benefit and common interest of Bankia and the Entity, by way of example and not limitation including the following purposes:
INFORMATION FLOWS. From DBS to NCTL
INFORMATION FLOWS. The information flows have been mapped to ensure that there is an overview of what information is being gathered, created, its origin, the location of the information, where information is being exchanged and for what purpose. This has been considered as part of the Privacy Impact Assessment arrangements of the Data Controller.
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INFORMATION FLOWS 

Related to INFORMATION FLOWS

  • Information The Buyer and its advisors, if any, have been, and for so long as the Note remain outstanding will continue to be, furnished with all materials relating to the business, finances and operations of the Company and materials relating to the offer and sale of the Securities which have been requested by the Buyer or its advisors. The Buyer and its advisors, if any, have been, and for so long as the Note remain outstanding will continue to be, afforded the opportunity to ask questions of the Company. Notwithstanding the foregoing, the Company has not disclosed to the Buyer any material nonpublic information and will not disclose such information unless such information is disclosed to the public prior to or promptly following such disclosure to the Buyer. Neither such inquiries nor any other due diligence investigation conducted by Buyer or any of its advisors or representatives shall modify, amend or affect Buyer’s right to rely on the Company’s representations and warranties contained in Section 3 below. The Buyer understands that its investment in the Securities involves a significant degree of risk. The Buyer is not aware of any facts that may constitute a breach of any of the Company's representations and warranties made herein.

  • Information about us We, Daiwa Capital Markets Europe Limited, are authorised and regulated by the Financial Conduct Authority ("FCA"). Our registered office is 0 Xxxx Xxxxxxx Xxxxxx, London EC4N 7AX. Our Financial Services Register no. is 124490. The FCA's registered office is at 00 Xxxxxxxxx Xxxxxx, Xxxxxx, X00 0XX. Our LEI number is MIM2K09LFYD4IB163W58.

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  • Information Access Each Party (“Disclosing Party”) shall make available to another Party (“Requesting Party”) information that is in the possession of the Disclosing Party and is necessary in order for the Requesting Party to: (i) verify the costs incurred by the Disclosing Party for which the Requesting Party is responsible under this Agreement; and (ii) carry out its obligations and responsibilities under this Agreement. The Parties shall not use such information for purposes other than those set forth in this Article 25.1 of this Agreement and to enforce their rights under this Agreement.

  • Information Reporting (a) The Fund agrees that, during the Current Special Rate Period and so long as BANA or any Affiliate thereof is the beneficial owner of any Outstanding VRDP Shares, it will deliver, or direct the Tender and Paying Agent to deliver, to BANA and any such Affiliate:

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