Baseline Adjustments Sample Clauses

The Baseline Adjustments clause defines how and when the initial agreed-upon standards, quantities, or metrics in a contract can be modified. Typically, this clause outlines specific circumstances—such as changes in project scope, unforeseen events, or regulatory updates—that justify altering the original baseline. For example, if a construction project encounters unexpected site conditions, the baseline for completion dates or costs may be adjusted accordingly. The core function of this clause is to provide a structured process for adapting contractual expectations to real-world changes, thereby reducing disputes and ensuring both parties have a clear method for handling necessary modifications.
Baseline Adjustments. The allocations of water and wastewater capacity set forth in Sections 3.1 and 4.1 shall constitute the “will serveobligation of City with respect to the New Facilities. For the first 24 months, the Initial Water Allocation and Initial Wastewater Allocation shall constitute the baseline (as defined in Municipal Code Section 13.16.060) for the New Facilities. Thereafter, the baseline shall be adjusted as provided for in Sections 3.6(b) and 4.6(b). Thereafter, any water and wastewater usage that exceeds established baselines must comply with applicable City codes, regulations and rates in effect at that time, including, but not limited to, surcharge fees per Calistoga Municipal Code Section 13.16.060.
Baseline Adjustments. (a) If the Participant implements any Baseline Adjustment ECM at the Facility after the commencement of the Baseline Period, a Baseline Adjustment shall be triggered for the calculation of the Implementation Incentive and the Persistence Incentive, as the case may be. (b) For clarity, during the Implementation Phase the Participant may implement additional ECMs not identified in the Investigation Report without triggering a Baseline Adjustment.
Baseline Adjustments. The following table illustrates the relationship of the initial baseline adjustments in the two contracts. Baseline Years As per HUD Guidance Baseline Period Utility Reporting Year – July 1st through June 30th. HDD Adjustments Allowed as per HUD Guidance Occupancy Adjustments Allowed as per HUD Guidance Unit Count Adjustments Allowed as per HUD Guidance Building Usage Adjustments Allowed as per HUD Guidance Data Correction Adjustments Allowed as per HUD Guidance Other Adjustments Allowed as per HUD Guidance The following table illustrates the relationship of the yearly adjustments in the two contracts. HDD Adjustments Adjustments to yearly utility consumption values are allowed for HDD changes. Utility consumption Occupancy Adjustments adjustments are allowed per Baseline adjustment(s) allowed with HUD approval. terms and conditions of ESCo contract. Unit Count Adjustments Building Usage Adjustments Other Adjustments With HUD Approval Note: The greater the variances between the two contract, the greater the risk to the PHA. ‌‌
Baseline Adjustments. Propose adjustments to the baseline for energy saving measures that will be implemented in the future, provided that baseline adjustments must be disclosed and may be made only with advance approval by CITY.
Baseline Adjustments. Baselines for a Resource Unit are adjustable in accordance with the Agreement. In accordance with the Policy and Procedures Manual, the Parties shall implement a planning process to facilitate additions or reductions to the Baselines.
Baseline Adjustments. FINANCIAL RESPONSIBILITIES MATRIX The Financial Responsibilities Matrix attached as Exhibit J-2 further defines the financial responsibilities of the Parties. In the event of a conflict between the terms of the Financial Responsibilities Matrix and this Agreement and its Schedules, the terms of the Agreement and its Schedules shall govern. ------------------------ * This confidential portion has been ommitted and filed separately with the Commission. EXHIBIT J-1 SUPPLEMENT NAME AND ADDRESS OF CUSTOMER: CUSTOMER NO.: OptiMark Technologies Inc. 10 E▇▇▇▇▇▇▇ ▇▇▇▇▇, ▇▇th flr. Jersey City, N.J. 07302 Commencement Date: December 1, 1997. End Date: March 31, 2003. TABLE 1 MONTHLY/ANNUAL SERVICES CHARGES ------------------------------------------------------------------------------------------------------ CONTRACT YEAR ------------------------------------------------------------------------------------------------------ 1997 1998 1999 2000 2001 2002 2003 TOTAL ------------------------------------------------------------------------------------------------------ ANNUAL * * * * * * * * SERVICE CHARGE ------------------------------------------------------------------------------------------------------ * ------------------------------------------------------------------------------------------------------ * ------------------------ * This confidential portion has been ommitted and filed separately with the Commission. Schedule 2 May 3, 1999 TABLE 2: RESOURCE UNIT BASELINES * TABLE 3: ADDITIONAL RESOURCE CHARGES TABLE 4: TERMINATION FOR CONVENIENCE --------------------------------------------------------------------------------------------------------------- CONTRACT YEAR --------------------------------------------------------------------------------------------------------------- BASE 1997 1998 1999 2000 2001 2002 2003 ------------------------------------------------------------------------------------------ TERMINATION CHARGE * * * * * * * --------------------------------------------------------------------------------------------------------------- * ------------------------ * This confidential portion has been ommitted and filed separately with the Commission. EXHIBIT J-2 FINANCIAL RESPONSIBILITIES MATRIX * ------------------------ * This confidential portion has been omitted and filed separately with the Commission. SCHEDULE K OPERATING ENVIRONMENT STANDARDS

Related to Baseline Adjustments

  • Cost Adjustments Both parties agree that contracted prices shall be fixed for the first 12 months of this Contract. Contractor must submit to District any proposed cost adjustments at least 60 days before the proposed effective date of such increases with a detailed explanation for each adjustment. District alone reserves the right to reject any changes to this Contract it deems unacceptable.

  • Wage Adjustments If the funding available to be used for wages provided by Government in any fiscal year increases, the Employer shall pass on such increases to employees consistent with the funding increase adjusted for any additional deficits that this contract incurs. This will be the case whether the funding increase is for the entire year or simply a portion of it, and wage increases shall be effective upon the effective date of the increased funding. Should there be no increase provided by Government, wages will be maintained at their present levels. Should there be a decrease in funding, then the Employer will maintain wages at present levels. The Employer will promptly provide the Union with any information it receives from the Government regarding funding available for wages, and the parties will meet as required to work towards cooperative resolution of any issues arising from this Government information.