Information Support Sample Clauses

The Information Support clause establishes the obligation for one or both parties to provide necessary information, documents, or assistance relevant to the contract's subject matter. In practice, this may require a party to share technical data, progress reports, or other materials needed for the other party to fulfill their contractual duties. By ensuring timely and adequate information exchange, this clause helps prevent misunderstandings and delays, supporting smooth project execution and effective collaboration.
Information Support. Party A shall provide information/answers to questions reasonably raised by Party B, and shall deal with and make feedback to the information, report and claim needed by Party B to enable Party B to distribute the Products more efficiently.
Information Support. At any time while any of the Asset Manager Parties or their affiliates has one or more classes of securities registered pursuant to the Securities Exchange Act of 1934, as amended (the “Exchange Act”), and is the beneficial owner (within the meaning of the Exchange Act) of more than 5% of any class of outstanding securities of the Company, the Company shall use commercially reasonable efforts to deliver to such beneficial owner, at such beneficial owner’s reasonable request, such information or documentation as may be required, to satisfy or demonstrate compliance with any legal, regulatory or disclosure obligation such beneficial owner may have under the Exchange Act or other federal securities laws or otherwise.
Information Support. The Company Entities shall, in a manner consistent with past practice, comply with all reasonable requests of the Capital Entities for information with respect to the Company Entities' business plans and results and Products that are relevant to the activities contemplated under this Agreement (whether or not relating to the Active Service Areas). Without limiting the foregoing, the Company Entities shall keep the Capital Entities informed on a regular and timely basis of their Product development and marketing plans and results to the extent relevant to the activities contemplated under this Agreement. The Company Entities shall also provide the Capital Entities appropriate information within the possession or control of such Company Entities that is relevant to an analysis of the credit standing of any Customer or Authorized Dealer proposed to directly or indirectly receive Financing or Ancillary Services from the Capital Entities, and shall provide the Capital Entities such Product information as may be useful in connection with the pricing of Financings and Ancillary Services and the determination of appropriate residual values (such as information as to Product remarketing prices, Product pricing analyses, Product aging and replacement reports and analyses and Product migration strategies).
Information Support. 12.1. For questions unrelated to payment, the Foundation can be reached at: +▇ (▇▇▇) ▇▇▇-▇▇-▇▇; (from 10.00 to 19.00 daily) or by e-mail at: ▇▇▇▇▇▇▇@▇▇▇.▇▇

Related to Information Support

  • Information Supplied (i) None of the information supplied or to be supplied by PNU for inclusion or incorporation by reference in (A) the Form S-4 (as defined in Section 5.1) will, at the time the Form S-4 becomes effective under the Securities Act or at the time of any post-effective amendment thereto, contain any untrue statement of a material fact or omit to state any material fact required to be stated therein or necessary to make the statements therein not misleading and (B) the Joint Proxy Statement/Prospectus will, on the date it is first mailed to Monsanto stockholders or PNU stockholders or at the time of the Monsanto Stockholders Meeting or the PNU Stockholders Meeting (each as defined in Section 5.1), contain any untrue statement of a material fact or omit to state any material fact required to be stated therein or necessary in order to make the statements therein, in light of the circumstances under which they were made, not misleading. The Form S-4 and the Joint Proxy Statement/Prospectus will comply as to form in all material respects with the requirements of the Exchange Act and the Securities Act and the rules and regulations of the SEC thereunder. (ii) Notwithstanding the foregoing provisions of this Section 3.1(e), no representation or warranty is made by PNU with respect to statements made or incorporated by reference in the Form S-4 or the Joint Proxy Statement/Prospectus based on information supplied by Monsanto or Merger Sub for inclusion or incorporation by reference therein.

  • Production Support Each Software Subscription comes with Standard or Premium Production Support. Red Hat only provides Production Support for the Red Hat Products and does not provide any Production Support for any underlying infrastructure or for any third party products that may be running on any servers or virtual machines.

  • Litigation Support In the event and for so long as any Party actively is contesting or defending against any charge, complaint, action, suit, proceeding, hearing, investigation, claim, or demand in connection with (i) any transaction contemplated under this Agreement or (ii) any fact, situation, circumstance, status, condition, activity, practice, plan, occurrence, event, incident, action, failure to act, or transaction on or prior to the Closing Date involving the Seller, the other Party will cooperate with the contesting or defending Party and its counsel in the contest or defense, make available his or its personnel, and provide such testimony and access to its books and records as shall be necessary in connection with the contest or defense, all at the sole cost and expense of the contesting or defending Party (unless the contesting or defending Party is entitled to indemnification therefor under Section 7 below).

  • Information Supplementation Prior to the Commercial Operation Date, the Developer and Connecting Transmission Owner shall supplement their information submissions described above in this Article 24 with any and all “as-built” Large Generating Facility information or “as-tested” performance information that differs from the initial submissions or, alternatively, written confirmation that no such differences exist. The Developer shall conduct tests on the Large Generating Facility as required by Good Utility Practice such as an open circuit “step voltage” test on the Large Generating Facility to verify proper operation of the Large Generating Facility’s automatic voltage regulator. Unless otherwise agreed, the test conditions shall include: (1) Large Generating Facility at synchronous speed; (2) automatic voltage regulator on and in voltage control mode; and (3) a five percent change in Large Generating Facility terminal voltage initiated by a change in the voltage regulators reference voltage. Developer shall provide validated test recordings showing the responses of Large Generating Facility terminal and field voltages. In the event that direct recordings of these voltages is impractical, recordings of other voltages or currents that mirror the response of the Large Generating Facility’s terminal or field voltage are acceptable if information necessary to translate these alternate quantities to actual Large Generating Facility terminal or field voltages is provided. Large Generating Facility testing shall be conducted and results provided to the Connecting Transmission Owner and NYISO for each individual generating unit in a station. Subsequent to the Commercial Operation Date, the Developer shall provide Connecting Transmission Owner and NYISO any information changes due to equipment replacement, repair, or adjustment. Connecting Transmission Owner shall provide the Developer and NYISO any information changes due to equipment replacement, repair or adjustment in the directly connected substation or any adjacent Connecting Transmission Owner substation that may affect the Developer Attachment Facilities equipment ratings, protection or operating requirements. The Developer and Connecting Transmission Owner shall provide such information no later than thirty (30) Calendar Days after the date of the equipment replacement, repair or adjustment.

  • Listing Information Supply CBB shall provide to Verizon on a regularly scheduled basis, at no charge, and in a format required by Verizon or by a mutually agreed upon industry standard (e.g., Ordering and Billing Forum developed) all Listing Information and the service address for each CBB Customer whose service address location falls within the geographic area covered by the relevant Verizon directory. CBB shall also provide to Verizon on a daily basis: (a) information showing CBB Customers who have disconnected or terminated their service with CBB; and (b) delivery information for each non-listed or non-published CBB Customer to enable Verizon to perform its directory distribution responsibilities. Verizon shall promptly provide to CBB (normally within forty-eight (48) hours of receipt by Verizon, excluding non-business days) a query on any listing that is not acceptable.