PRICES AND PAYMENT definition

PRICES AND PAYMENT. It is anticipated that, for period from January 1, 2012 through December 31, 2012, Distributor’s value of purchases of Products in USD, at the CIF Denver (Incoterms 2010) prices paid by Distributor, will be at least [***] excluding VAT. After the first Calendar Year of this Agreement, if this Agreement continues in effect and unless otherwise expressly agreed in writing, it is anticipated that each Calendar Year Distributor will increase Distributor value of purchases of Products in USD by at least [***] percent over the prior Calendar Year exclusive of any increases attributable to price increases. Payment Terms: Net sixty (60) days in USD from C&D invoice date. Bank Name: [***] [***] [***] Bank Account Number: [***] Bank Account Name: [***] All bank charges, local charges, taxes, assessments, tariffs occurring in the Territory, and insurance shall be borne by Distributor. If payment is not made within said time future purchase orders shall automatically be cancelled and any reorders shall be subject to the terms of any subsequent amended price list with full payment required at least five (5) days before the Products leave the C&D factory. Other Terms of Sale: X3 CODE DESCRIPTION Price CIF 532096 Xxxxxxx Dry Shampoo Original—Aerosol 150ml 2 x 3 pack $[***] 532095 Xxxxxxx Dry Shampoo Blush—Aerosol 150ml 2 x 3 pack $[***] 530329 Xxxxxxx Dry Shampoo Original 50ml $[***] 530330 Xxxxxxx Dry Shampoo Blush 50ml $[***] 530925 Xxxxxxx Dry Shampoo Diva 150ml $[***] 532529 Xxxxxxx Dry Shampoo Light 200ml $[***] 532530 Xxxxxxx Dry Shampoo Medium 200ml $[***] 532531 Xxxxxxx Dry Shampoo Dark 200ml $[***] 532413 Xxxxxxx Dry Shampoo Original 200ml $[***] 532415 Xxxxxxx Dry Shampoo Blush 200ml $[***] 532417 Xxxxxxx Dry Shampoo Diva 200ml $[***] 532415 Xxxxxxx Dry Shampoo Boho 200ml $[***] 532418 Xxxxxxx Dry Shampoo Fresh 200ml $[***] 532420 Xxxxxxx Dry Shampoo Brit 200ml $[***] 532798 Xxxxxxx Dry Shampoo Wild 200ml $[***] 502043 Xxxxxxx Dry Shampoo Cherry 200ml $[***] XXX Xxxxxxx Xxx Shampoo Lace 200ml $[***]

Examples of PRICES AND PAYMENT in a sentence

  • PRICES, AND PAYMENT We will specify to you in writing, our pricing for Eligible Programs and Upgrade Protection, which is based on the total Suggested Retail Price (SRP) value of the End User's Software Advantage Agreement being fulfilled.

  • H-1 PRICES AND PAYMENT SCHEDULE...............................................

Related to PRICES AND PAYMENT

  • Funding and Payment Office means (i) the office of Administrative Agent and Swing Line Lender located at Xxx Xxxxxxx Xxxxxx, Xxxxxx, Xxxxxxxxxxxxx or (ii) such other office of Administrative Agent and Swing Line Lender as may from time to time hereafter be designated as such in a written notice delivered by Administrative Agent and Swing Line Lender to Company and each Lender.

  • Bond Payment Date means any date on which principal of or interest on any Bond is payable.

  • Sinking Fund Payment means, with respect to a particular Series, as of any particular date of calculation, the amount required to be paid in all events by the Corporation on a single future date for the retirement of Outstanding Bonds which mature after said future date, but does not include any amount payable by the Corporation by reason of the maturity of a Bond or by call for redemption at the election of the Corporation.

  • Transaction Price means the final, publicly announced, price per share of Common Stock paid by an acquirer in connection with a Change in Control (other than a Non-Transactional Change in Control), provided, however, that the Administrator may, in its sole discretion, discount the value of any earn-out, escrow or other deferred or contingent consideration (in each case, to zero) as it deems appropriate.

  • Initial Dividend Payment Date means the Initial Dividend Payment Date as determined by the Board of Directors of the Corporation with respect to the AMPS or Other AMPS, as the case may be.

  • Redemption and Paying Agent means, with respect to any Series, State Street Bank and Trust Company and its successors or any other redemption and paying agent appointed by the Fund with respect to such Series.

  • Mandatory Redemption Price means $25,000 per share of AMPS plus an amount equal to accumulated but unpaid dividends (whether or not earned or declared) to the date fixed for redemption and excluding Additional Dividends.

  • Redemption Prices means, collectively, Event of Default Redemption Prices, and the Company Optional Redemption Prices and each of the foregoing, individually, a “Redemption Price.”

  • Special Mandatory Redemption Price means 100% of the principal amount of the Notes plus accrued and unpaid interest on the principal amount of the Notes to, but not including, the Special Redemption Date.

  • Real-time Prices means the Locational Marginal Prices resulting from the Office of the Interconnection’s dispatch of the PJM Interchange Energy Market in the Operating Day.

  • Dividend Payment means dividends (in cash, Property or obligations) on, or other payments or distributions on account of, or the setting apart of money for a sinking or other analogous fund for, or the purchase, redemption, retirement or other acquisition of, any shares of any class of stock of the Company or of any warrants, options or other rights to acquire the same, but excluding dividends payable solely in shares of common stock of the Company.

  • Tax Event Redemption Price means an amount equal to the unpaid principal amount of this Note to be redeemed, which shall be determined by multiplying (1) the Outstanding Principal Amount of this Note by (2) the quotient derived by dividing (A) the outstanding principal amount to be redeemed by Principal Life of the Funding Agreement by (B) the outstanding principal amount of the Funding Agreement.

  • Sinking Fund Redemption Date Has the meaning specified in Section 6.06 of the Indenture.

  • Redemption and Paying Agent Agreement means, with respect to any Series, the Redemption and Paying Agent Agreement or other similarly titled agreement by and among the Redemption and Paying Agent for such Series and the Fund with respect to such Series.

  • Dividend Payment Date means February 15, May 15, August 15 and November 15 of each year.

  • Optional Redemption Price shall have the meaning set forth in Section 3.2.

  • Sinking Fund Installment means, as of any particular date of calculation, the amount required, as of such date of calculation, to be paid by the Authority on a future date for the retirement of Outstanding Bonds which are stated to mature subsequent to such future date, but does not include any amount payable by the Authority by reason only of the maturity of a Bond.

  • Triggering Redemption Amount means, for each share of Preferred Stock, the sum of (a) the greater of (i) 130% of the Stated Value and (ii) the product of (y) the VWAP on the Trading Day immediately preceding the date of the Triggering Event and (z) the Stated Value divided by the then Conversion Price, (b) all accrued but unpaid dividends thereon and (c) all liquidated damages and other costs, expenses or amounts due in respect of the Preferred Stock.

  • Repayment Price means, when used with respect to any Security to be repaid at the option of the Holder, the price at which it is to be repaid by or pursuant to this Indenture.

  • Designated Payment Office means the Office of NYSERDA’s Controller, located at 00 Xxxxxxxx Xxxxxx, Xxxxxx, Xxx Xxxx 00000.

  • Series A Redemption Price has the meaning set forth in Section 16.6(a).

  • Sinking Fund means each Sinking Fund Subaccount under the Indenture. To the extent necessary for compliance with the Authority’s tax covenants and other provisions of the Indenture and the Act, the Authorized Officers of the Authority may subdivide each such subaccount in respect of separate categories or issues of Sinking Fund Bonds.