Managed LAN Exclusions Sample Clauses

Managed LAN Exclusions. The calculation of credits for Managed LAN excludes any incident that is caused by (a) faulty internal wiring for which Verizon is not responsible, or (b) Customer Equipment, Customer wiring or any other LAN device for which Verizon is not responsible. A LAN Switch is available if (i) no alarm events have occurred on the Network Operations Center’s (NOC) Network Management System and (ii) no Trouble Ticket has been opened. If multiple LAN Switches are unavailable because of a LAN Switch issue, then Verizon will only consider the outage of the affected LAN Switch in its calculation of Availability (and LAN Switches attached logically or physically to that LAN Switch will not be considered unavailable). LAN Switches are not considered unavailable during incidents resulting in whole or in part from Managed LAN degradation, such as slow data transmission, but may be in scope for other service level standards. The Availability service level standard does not apply to LAN Switches installed for less than one full calendar month or to LAN Switches under Cloud-Controlled Switching.

Related to Managed LAN Exclusions

  • Vulnerability Management BNY Mellon will maintain a documented process to identify and remediate security vulnerabilities affecting its systems used to provide the services. BNY Mellon will classify security vulnerabilities using industry recognized standards and conduct continuous monitoring and testing of its networks, hardware and software including regular penetration testing and ethical hack assessments. BNY Mellon will remediate identified security vulnerabilities in accordance with its process.

  • Particular Methods of Procurement of Goods Works and Services (other than Consultants’ Services)

  • Investment Analysis and Implementation In carrying out its obligations under Section 1 hereof, the Advisor shall: (a) supervise all aspects of the operations of the Funds; (b) obtain and evaluate pertinent information about significant developments and economic, statistical and financial data, domestic, foreign or otherwise, whether affecting the economy generally or the Funds, and whether concerning the individual issuers whose securities are included in the assets of the Funds or the activities in which such issuers engage, or with respect to securities which the Advisor considers desirable for inclusion in the Funds' assets; (c) determine which issuers and securities shall be represented in the Funds' investment portfolios and regularly report thereon to the Board of Trustees; (d) formulate and implement continuing programs for the purchases and sales of the securities of such issuers and regularly report thereon to the Board of Trustees; and (e) take, on behalf of the Trust and the Funds, all actions which appear to the Trust and the Funds necessary to carry into effect such purchase and sale programs and supervisory functions as aforesaid, including but not limited to the placing of orders for the purchase and sale of securities for the Funds.

  • Infrastructure Vulnerability Scanning Supplier will scan its internal environments (e.g., servers, network devices, etc.) related to Deliverables monthly and external environments related to Deliverables weekly. Supplier will have a defined process to address any findings but will ensure that any high-risk vulnerabilities are addressed within 30 days.

  • Originating Switched Access Detail Usage Data A category 1101XX record as defined in the EMI Telcordia Practice BR-010-200- 010.