Sample Submission Sample Clauses

Sample Submission. The Submitter will provide a completed Submission Form (the “Submission”) and the samples to be analyzed (the “Samples”). We reserve the right to decline a Submission. By making a Submission, the Submitter certifies that They are legally capable of entering into binding contracts on behalf of Themselves, Their supervisor, and/or Their Company.
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Sample Submission. Client shall ship Samples to SomaLogic on dry ice after submitting a completed electronic Sample Submission Form.
Sample Submission. Client agrees to submit all samples of goods produced or sold (“Sample”) for testing (each, an “Order”) in accordance with the guidelines and minimum sample size requirements (“Minimum Sample Requirement”) as provided on the Saguaro Testing website (the “Website”). Minimum Sample Requirements may change at the discretion of Saguaro Testing; therefore, Client is responsible for confirming that each submitted Sample conforms to the Minimum Sample Requirements as provided on the Website at the time of Sample submission.
Sample Submission. Samples Collected for Surface Soil Screening All samples collected for surface soil screening will be analyzed for Target Analyte List (TAL) metals, VOCs via USEPA Method 8260, semi-volatile organic compounds (SVOCs) via USEPA Method 8270, polychlorinated biphenyls (PCBs) via USEPA Method 8082 and pesticides via USEPA Method 8081. Samples Collected Adjacent to Electrical Transformer Samples collected from soil borings adjacent to the electrical transformers will be submitted for laboratory analysis of VOCs via USEPA Method 8260, SVOCs via USEPA Method 8270, PCBs via USEPA Method 8082 and total weight Resource Conservation and Recovery Act (RCRA) metals via USEPA Method 6010 and Method 7471. Fluid from inside the transformer, if accessible, will be submitted for laboratory analysis of PCBs via USEPA method 8082. Toxicity Characteristic Leaching Procedure (TCLP) analyses will be performed on a select number of samples, determined in consultation with the NYSDEC, for those compounds documented at concentrations greater than 20 times the maximum contaminant level as specified in 40 CFR Part 261. Samples Collected Adjacent to the Sub Station All soil samples collected from the area of the sub station will be submitted for laboratory analysis of VOCs via USEPA Method 8260, SVOCs via USEPA Method 8270, PCBs via USEPA Method 8082 and total weight RCRA metals via USEPA Method 6010 and Method 7471. Fluid from inside the sub station, if accessible, will be submitted for laboratory analysis of PCBs via USEPA method 8082. Toxicity Characteristic Leaching Procedure (TCLP) analyses will be performed on a select number of samples, determined in consultation with the NYSDEC, for those compounds documented at concentrations greater than 20 times the maximum contaminant level as specified in 40 CFR Part 261. Samples Collected within Building 5A and 5B Samples collected from soil borings within Building 5A and 5B will be submitted for laboratory analysis of VOCs via USEPA Method 8260, SVOCs via USEPA Method 8270, PCBs via USEPA Method 8082 and total weight RCRA metals via USEPA Method 6010 and Method 7471. Toxicity Characteristic Leaching Procedure (TCLP) analyses will be performed on a select number of samples, determined in consultation with the NYSDEC, for those compounds documented at concentrations greater than 20 times the maximum contaminant level as specified in 40 CFR Part 261. Samples Collected in Western Parking Area Soil samples collected in the Western Parking Ar...
Sample Submission. Samples will be submitted for laboratory analysis of VOCs via USEPA method TO-15.
Sample Submission. Samples collected from test pits will be submitted for laboratory analysis of VOCs via USEPA Method 8260, SVOCs via USEPA Method 8270, PCBs via USEPA Method 8082 and total weight RCRA metals via USEPA Method 6010 and Method 7471. Toxicity Characteristic Leaching Procedure (TCLP) analyses will be performed on a select number of samples, determined in consultation with the NYSDEC, for those compounds documented at concentrations greater than 20 times the maximum contaminant level as specified in 40 CFR Part 261.
Sample Submission. The participating Vendor shall submit samples (each cavity if applicable) as specified by the Buyer for the Vendor's incoming Quality Assurance approval. The First Article package shall comprise information provided by the Buyer on a separate email.
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Sample Submission. All samples must be delivered to BGI Tech Solutions in accordance with sample requirements listed above, find more information at BGI TechSolutions Sample Submission Instructions . Once you get a project number from your BGI service representative and get ready to submit samples, please submit sample information online by following the BGI Sample Submission Guide one or two days prior to shipping. When you complete the online submission, you may send samples and a hard copy of sample information form to the address showed on the form.

Related to Sample Submission

  • Regulatory Submissions From and after the Effective Date, NVS will[***] be responsible for (a) preparing, filing, and submitting, directly or through its Affiliates and permitted Sublicensees, all Regulatory Submissions for all Products in the Territory, and each material amendment or update thereto, in its name other than Jointly-Agreed Regulatory Submissions; and (b) interfacing, corresponding and meeting with Regulatory Authorities relating to Regulatory Submissions in the Territory for such Products; provided, that Regulatory Submissions and correspondence made to, and meetings held with, the FDA and EMA with respect to (i) [***] or (ii) [***] in each of (i) and (ii), will be prepared or conducted, as applicable, in collaboration with a representative from HMI’s regulatory team in accordance with this Article 7 (Regulatory Affairs); provided further that in all cases, such rights shall expressly exclude and not apply with Confidential Portions of this Exhibit marked as [***] have been omitted pursuant to a request for confidential treatment and have been filed separately with the Securities and Exchange Commission. Confidential Treatment Requested by Homology Medicines, Inc. respect to any data in Regulatory Submissions, correspondence, or meetings relating to any Other Components. Subject to Section 7.6 (Transfer of U.S. BLA for In-Vivo [***] Products), all Regulatory Approvals and Pricing Approvals for Products will be [***] owned by [***]. For all Products, NVS will timely inform HMI regarding the submission, receipt or denial of Regulatory Approval for such Product obtained or denied; provided, however, that NVS will inform HMI of such event prior to public disclosure of such event by NVS.

  • FINRA Submissions For a period of 60 days following the effective date of the Registration Statement, in the event any person or entity (regardless of any FINRA affiliation or association) is engaged to assist the Company in its search for a merger candidate or to provide any other merger and acquisition services, or has provided or will provide any investment banking, financial, advisory and/or consulting services to the Company, the Company agrees that it shall promptly provide to FINRA (via a FINRA submission), the Representative and its counsel a notification prior to entering into the agreement or transaction relating to a potential Business Combination: (i) the identity of the person or entity providing any such services; (ii) complete details of all such services and copies of all agreements governing such services prior to entering into the agreement or transaction; and (iii) justification as to why the value received by any person or entity for such services is not underwriting compensation for the Offering. The Company also agrees that proper disclosure of such arrangement or potential arrangement will be made in the tender offer materials or proxy statement, as applicable, which the Company may file in connection with the Business Combination for purposes of offering redemption of shares held by its stockholders or for soliciting stockholder approval, as applicable.

  • Submission In the event any Party has a dispute, or asserts a claim, that arises out of or in connection with this Agreement or its performance (a “Dispute”), such Party shall provide the other Parties with written notice of the Dispute (“Notice of Dispute”). Such Dispute shall be referred to a designated senior representative of each Party for resolution on an informal basis as promptly as practicable after receipt of the Notice of Dispute by the other Parties. In the event the designated representatives are unable to resolve the Dispute through unassisted or assisted negotiations within thirty (30) Calendar Days of the other Parties’ receipt of the Notice of Dispute, such Dispute may, upon mutual agreement of the Parties, be submitted to arbitration and resolved in accordance with the arbitration procedures set forth below. In the event the Parties do not agree to submit such Dispute to arbitration, each Party may exercise whatever rights and remedies it may have in equity or at law consistent with the terms of this Agreement.

  • Commercialization Reports Throughout the term of this Agreement and during the Sell-Off Period, and within thirty (30) days of December 31st of each year, Company will deliver to University written reports of Company’s and Sublicensees’ efforts and plans to develop and commercialize the innovations covered by the Licensed Rights and to make and sell Licensed Products. Company will have no obligation to prepare commercialization reports in years where (a) Company delivers to University a written Sales Report with active sales, and (b) Company has fulfilled all Performance Milestones. In relation to each of the Performance Milestones each commercialization report will include sufficient information to demonstrate achievement of those Performance Milestones and will set out timeframes and plans for achieving those Performance Milestones which have not yet been met.

  • Regulatory Materials (a) Alvogen shall have the sole right to control filing or submission of Regulatory Materials with the Regulatory Agencies in the Territory with respect to Product including the MAA Approval for Product and Regulatory Approvals in the Territory, subject to Section 3.2 and the oversight of and in consultation with the Executive Steering Committee, and [***]Certain confidential information contained in this document, marked by brackets, has been omitted because it is both (i) not material and (ii) would be competitively harmful if publicly disclosed. shall be responsible for managing all communications and interactions with the Regulatory Agencies in the Territory with respect to Product in the Territory. In all cases, prior to the filing of any Regulatory Materials (including the MAA for Product) for Product with the applicable Regulatory Agency, Alvogen shall provide a copy thereof to Pfenex (through the Executive Steering Committee) for its review and comment. Pfenex shall have fifteen (15) Business Days from the date it receives a copy of any Regulatory Materials with respect to the Product to provide Alvogen with comments regarding such Regulatory Materials, unless the Regulatory Agencies in the Territory or Applicable Law requires that such Regulatory Material(s) be filed on a timeline that does not reasonably permit such advanced notice, in which case Pfenex shall have as much time as is reasonably practicable to provide Alvogen with comments. Alvogen shall consider all such comments in good faith. Alvogen shall, to the extent permitted by Applicable Law, provide Pfenex with (i) reasonable advanced notice (and in no event less than fifteen (15) Business Days’ advance notice whenever feasible) of substantive meetings with any Regulatory Agency in the Territory that are either scheduled with or initiated by or on behalf of Alvogen or its Affiliates, (ii) an opportunity to have a reasonable number (but at least two (2)) representatives participate in all substantive meetings with the Regulatory Agencies in the Territory with respect to Product, and in any case keep Pfenex informed as to all material interactions with the Regulatory Agencies in the Territory with respect to Product, and (iii) a copy of any material documents, information and correspondence submitted to or received from the Regulatory Agencies in the Territory with respect to Product as soon as reasonably practicable.

  • Regulatory Filings NYISO and Connecting Transmission Owner shall file this Agreement (and any amendment hereto) with the appropriate Governmental Authority, if required. Any information related to studies for interconnection asserted by Developer to contain Confidential Information shall be treated in accordance with Article 22 of this Agreement and Attachment F to the ISO OATT. If the Developer has executed this Agreement, or any amendment thereto, the Developer shall reasonably cooperate with NYISO and Connecting Transmission Owner with respect to such filing and to provide any information reasonably requested by NYISO and Connecting Transmission Owner needed to comply with Applicable Laws and Regulations.

  • Tests and Preclinical and Clinical Trials The studies, tests and preclinical and clinical trials conducted by or, to the Company’s knowledge, on behalf of the Company were and, if still ongoing, are being conducted in all material respects in accordance with experimental protocols, procedures and controls pursuant to accepted professional scientific standards and all Authorizations and Applicable Laws, including, without limitation, the Federal Food, Drug and Cosmetic Act and the rules and regulations promulgated thereunder (collectively, “FFDCA”); the descriptions of the results of such studies, tests and trials contained in the Registration Statement, the General Disclosure Package and the Prospectus are, to the Company’s knowledge, accurate in all material respects and fairly present the data derived from such studies, tests and trials; except to the extent disclosed in the Registration Statement, the General Disclosure Package and the Prospectus, the Company is not aware of any studies, tests or trials, the results of which the Company believes reasonably call into question the study, test, or trial results described or referred to in the Registration Statement, the General Disclosure Package and the Prospectus when viewed in the context in which such results are described and the clinical state of development; and, except to the extent disclosed in the Registration Statement, the General Disclosure Package or the Prospectus, neither the Company nor any Subsidiary has received any notices or correspondence from the FDA or any Governmental Entity requiring the termination or suspension of any studies, tests or preclinical or clinical trials conducted by or on behalf of the Company, other than ordinary course communications with respect to modifications in connection with the design and implementation of such trials, copies of which communications have been made available to you.

  • Review The practitioner reviews the treatment plan and discusses, when appropriate, case circumstances and management options with the attending (or referring) physician. The reviewer consults with the requesting physician when more clarity is needed to make an informed coverage decision. The reviewer may consult with board certified physicians from appropriate specialty areas to assist in making determinations of coverage and/or appropriateness. All such consultations will be documented in the review text. If the reviewer determines that the admission, continued stay or service requested is not a covered service, a notice of non-coverage is issued. Only a physician, behavioral health practitioner (such as a psychiatrist, doctoral-level clinical psychologist, certified addiction medicine specialist), dentist or pharmacist who has the clinical expertise appropriate to the request under review with an unrestricted license may deny coverage based on medical necessity.

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