Subscriber Units Sample Clauses

The 'Subscriber Units' clause defines the specific devices or equipment that are authorized to access and use a service under a subscription agreement. Typically, this clause outlines the number, type, or identity of units—such as mobile phones, computers, or other hardware—that may connect to the service, and may set limits or requirements for registration or activation. By clearly specifying which units are covered, the clause helps prevent unauthorized use, ensures compliance with licensing terms, and provides clarity for both the service provider and the subscriber regarding the scope of permitted access.
Subscriber Units. For the purposes of calculating Subscriber Fees, the number of "Subscriber Units" shall, in relation to any single Subscriber during any one month, be the number of End User Receptors on the Specified Date (or if the number is variable on that date, the maximum number of End User Receptors for that day) permitted to access the Information by means of Licensee-derived authorization. Such authorization shall include but shall not be limited to passwords, user ID logons, access codes or security codes or any more general means of authorization such as those granted ‘en bloc’ to a specified maximum number of individual users and/or regulated by remote on-line audit tools without using passwords or the like.
Subscriber Units. 6.1 For the purpose of calculating Subscriber Fees, the number of Subscriber Units shall, in relation to any single Subscriber during any one month, be the number of end user receptors on the Specified Date (or if the number is variable on that date, the maximum number) permitted to access the Information by means of Licensee-derived authorization. Such authorization shall include but shall not be limited to passwords, user ID logons, access codes or security codes or any more general means of authorization such as those granted 'en bloc' to a specified maximum number of individual users and/or regulated by remote on-line audit tools without using passwords or the like, 'End-user receptor' shall for this purpose mean any person or point. which Licensee-derived Information is imparted so that the Information may be perceived or processed otherwise than for the sole purpose of re-disseminating the Information and shall include, without limitation 6.1.1 any device by means of which the Information can be perceived by humans, including but not limited to dedicated terminals, portable computers, wallboards, paging devices and mobile phones; and 6.1.2 any other type of device by means of which the Information is processed; and. 6.1.3 any individual employed or otherwise directly controlled by the Subscriber who has authorization to access the Information otherwise than by means of an authorized device of the type described at 6. 1.1 or 6.1.2 above and each end-user receptor shall count as one Subscriber Unit. 6.2 For the purpose of 6.1, the Specified Date means the last day of the month (or such other date as SEIS may from time to time substitute by written notice on either a one-off, occasional or recurring basis). 7 Discounts and Delayed Data 7.1 Where there are more than 30 Subscriber Units (excluding unauthorized end-user receptors) in relation to any one Subscriber each of which units receives the same classification of service throughout a particular month, the Subscriber Fee for that month in respect of those Subscriber Units shall be discounted as follows:
Subscriber Units. A letter from Motorola to Iridium as to the supply of subscriber units in sufficient quantities to cover at least the projected level of subscribers for the first year of commercial operation for the Project and at a price consistent with achievement of the Financial Projections.
Subscriber Units. User is solely responsible for the costs of acquisition, programming, maintenance, and repair of the Subscriber Units.
Subscriber Units. Forney is responsible for purchasing, at its sole cost and expense, mobile, stationary or portable voice radio communication units (“Subscriber Units”) to be used in connection with the System and which must be compatible with the APCO P-25 Digital Phase II system. Forney shall also be responsible at its sole cost and expense for maintenance of its Subscriber Units and all dispatch equipment owned and/or operated by Forney. The number of Subscriber Units and Talk Groups that Forney will be authorized to use in connection with the System shall be determined by the Governance Board.
Subscriber Units. The subscriber units of User programmed to operate on the Local Government Radio System, including as identified in Exhibit A or otherwise approved in writing by County’s Contract Administrator.
Subscriber Units. The number of Subscriber Units on or after any date set forth below shall not be less than the number of Subscriber Units set forth opposite such date: Date Subscriber Units 3/31/99 12,500 6/30/99 14,700 9/30/99 23,000 12/31/99 30,000 3/31/00 45,000 6/30/00 72,000 9/30/00 95,000 12/31/00 120,000 3/31/01 140,000 6/30/01 170,000 9/30/01 200,000 12/31/01 235,000 3/31/02 270,000 6/30/02 300,000 9/30/02 345,000 12/31/02 382,000 3/31/03 420,000 Covered POPs. As of each date set forth below, the number of Covered POPs shall not be less than the number set forth opposite such date: Date Covered POPs 3/31/99 3,700,000 6/30/99 3,800,000 9/30/99 3,800,000 12/31/99 4,600,000 3/31/00 9,000,000 6/30/00 10,707,000 9/30/00 13,031,000 12/31/00 14,940,000 3/31/01 15,400,000 6/30/01 16,185,000 9/30/01 18,600,000 12/31/01 and thereafter 22,000,000
Subscriber Units. The number of Subscriber Units on or after any date set forth below shall not be less than the number of Subscriber Units set forth opposite such date: Date Subscriber Units ---- ---------------- 3/31/99 12,500 6/30/99 14,700 9/30/99 23,000 12/31/99 30,000 3/31/00 45,000 6/30/00 72,000 9/30/00 95,000 12/31/00 120,000 3/31/01 143,000 6/30/01 175,000 9/30/01 215,000 12/31/01 255,000 3/31/02 300,000 6/30/02 335,000 9/30/02 385,000 12/31/02 432,000 3/31/03 475,000

Related to Subscriber Units

  • Subscription for Units I hereby irrevocably subscribe for the amount of Units (and partial Units rounded to four decimal places) of Limited Partnership Interest (“Units”) of Abingdon Futures Fund L.P. (the “Partnership”) as indicated on page B-7 hereof and as described in the Private Placement Offering Memorandum and Disclosure Document dated August 1, 2009, as amended or supplemented from time to time (the “Memorandum”). I understand that each Unit will be offered at Net Asset Value per Unit on the date of sale. Simultaneous with my delivery of this subscription agreement to Credit Suisse Securities (USA) LLC (the “Placement Agent”), I will either (a) complete and deliver to the Placement Agent the letter in the form attached hereto as Exhibit II, to authorize the Placement Agent to transfer by wire from my brokerage account with the Placement Agent, to the Partnership, monies sufficient to purchase the Units for which I am subscribing, or (b) deliver a check to the Placement Agent payable to the Partnership in an amount sufficient to purchase the Units for which I am subscribing for delivery by the Placement Agent to the General Partner. I understand that all capitalized terms used in this subscription agreement (“Subscription Agreement”) that are not separately defined herein shall have the respective meanings set forth in the Memorandum. I am aware that this subscription is not binding on the Partnership unless and until it is accepted by Ceres Managed Futures LLC, a limited liability company organized under the laws of the State of Delaware and the Partnership’s general partner (the “General Partner”), which may reject this subscription in whole or in part for any reason whatsoever. I understand that the General Partner will advise me within five business days of receipt of my funds and this Subscription Agreement if my subscription has been rejected. I further understand that if this subscription is not accepted, the full amount of my subscription will be promptly returned to me without deduction.

  • Units Interests in the Partnership shall be represented by Units. The Units initially are comprised of one Class: Class A Units. The General Partner may establish, from time to time in accordance with such procedures as the General Partner shall determine from time to time, other Classes, one or more series of any such Classes, or other Partnership securities with such designations, preferences, rights, powers and duties (which may be senior to existing Classes and series of Units or other Partnership securities), as shall be determined by the General Partner, including (i) the right to share in Profits and Losses or items thereof; (ii) the right to share in Partnership distributions; (iii) the rights upon dissolution and liquidation of the Partnership; (iv) whether, and the terms and conditions upon which, the Partnership may or shall be required to redeem the Units or other Partnership securities (including sinking fund provisions); (v) whether such Unit or other Partnership security is issued with the privilege of conversion or exchange and, if so, the terms and conditions of such conversion or exchange; (vi) the terms and conditions upon which each Unit or other Partnership security will be issued, evidenced by certificates and assigned or transferred; (vii) the method for determining the Total Percentage Interest as to such Units or other Partnership securities; and (viii) the right, if any, of the holder of each such Unit or other Partnership security to vote on Partnership matters, including matters relating to the relative designations, preferences, rights, powers and duties of such Units or other Partnership securities. Except as expressly provided in this Agreement to the contrary, any reference to “Units” shall include the Class A Units and any other Classes that may be established in accordance with this Agreement. All Units of a particular Class shall have identical rights in all respects as all other Units of such Class, except in each case as otherwise specified in this Agreement.

  • Purchase and Sale of Shares and Warrants Subject to the satisfaction (or waiver) of the conditions to Closing set forth in this Agreement and the Escrow Agreement, each Subscriber shall purchase the Shares and Warrants for the portion of the Purchase Price indicated on the signature page hereto, and the Company shall sell such Shares and Warrants to the Subscriber. The Purchase Price for the Shares and Warrants shall be paid in cash. The entire Purchase Price shall be allocated to the Shares.

  • Placement Units On the Closing Date and the Option Closing Date, as applicable, the Placement Units have been purchased as provided for in the Sponsor Unit Purchase Agreement and the requisite portion of the purchase price for such securities specified herein and therein shall be deposited into the Trust Account.

  • Subscribers identification and contact data (name, date of birth, gender, general, occupation or other demographic information, address, title, contact details, including email address), personal interests or preferences (including purchase history, marketing preferences and publically available social media profile information); IT information (IP addresses, usage data, cookies data, online navigation data, location data, browser data); financial information (credit card details, account details, payment information).