The Hub Clause Samples

The "Hub" clause defines a central platform or location through which parties to an agreement can communicate, share information, or manage transactions related to the contract. In practice, this clause may specify that all official notices, document exchanges, or updates must be made through a designated online portal or system, ensuring that all parties have a single, consistent point of reference. By establishing a clear and unified channel for contractual interactions, the clause helps prevent miscommunication, streamlines processes, and ensures that all parties have equal access to relevant information.
The Hub. The Hub is an online platform where entities can apply to be a verified Organisation and where Organisations can obtain API keys, configure the Products and view and manage Receipts. You may access the Hub at h ▇▇.▇▇▇▇.▇▇▇ or such other domain address as updated by Yoti and notified to you from time to time. You may use the Hub to create and administer Pages, Applications and Doc Scan Sessions to facilitate Transactions with your Customers.
The Hub. Located centrally along The Mall and at the end of the Heritage Park are two collections of buildings (hub north and south), providing the facilities and services required by the users of the site. These buildings are designed to interact at a key junction with the heritage park, having a ‘civic’ scale, will share a common architectural language, and create a sense of place akin to a village centre, including a significant central open space. These buildings include canteen facilities, sports provision based around a four court sports hall, a gym, supermarket, internet café, games area bar, hairdresser and offices. Additional support facilities which function as part of this community of buildings are the adjacent medical and Dental facility and the Learning Resource Centre. Members should note that these are ‘secure’ facilities being located within the wire. Their location at the eastern edge of the training college and forming a gateway to the Heritage Park (described below) and single living accommodation is considered entirely appropriate in creating a transition from training to living on a west to east axis.
The Hub. 1. Except as provided in subsection 3 below, at the Hub, Contractor, at its sole cost, shall be responsible for the gate operations of its passengers and aircraft, security screening charges, purchasing its equipment and leasing its facilities, including facilities improvement surcharges. Contractor, at its sole cost, shall enter into and maintain an operating agreement with AA for space adequate to perform its duties hereunder at ▇▇▇▇▇▇▇ - St. Louis International Airport. 2. At the Hub, AA, at its sole cost, shall be responsible for providing ticket counter services, skycap services, all passenger busing resulting from AA mandated remote parking of Contractor aircraft, remote de-icing service for regional jet aircraft (when such a remote de-icing operation is in effect for AA), and de-icing fluid for on-gate de-icing. Charges associated with the de-icing fluid for on-gate de-icing shall be handled in accordance with the provisions set forth in Exhibit E(1)(C)(3-4). 3. At AA's sole discretion, AA, and/or its Affiliate, or a third party may assume all gate and ramp handling duties at the Hub, as detailed in subsection 1 above, upon 120 days prior written notice. In such case and for this purpose only, the Hub would be considered a Covered Location. In such event, AA and Contractor shall modify the cost model to reflect such a change proportionately.
The Hub. 1. Except as provided in subsection 3 below, at the Hub, [*], shall be responsible for the gate operations of its passengers and aircraft, security screening charges, purchasing its equipment and leasing its facilities, including facilities improvement surcharges. [*] 2. At the Hub, [*], shall be responsible for providing ticket counter services, skycap services, all passenger busing resulting from AA mandated remote parking of Contractor aircraft, remote de-icing service for regional jet aircraft (when such a remote de-icing operation is in effect for AA), and de-icing fluid for on-gate de-icing. Charges associated with the de-icing fluid for on-gate de-icing shall be handled in accordance with the provisions set forth in Exhibit E(1)(C)(3-4). 3. At AA's sole discretion, AA, and/or its Affiliate, or a third party may assume all gate and ramp handling duties at the Hub, as detailed in subsection 1 above, upon 120 days prior written notice. In such case and for this purpose only, [*].
The Hub. Membership for The Hub is exclusive to Australian manufacturers of switchboard builders who have demonstrated commitment and continued loyalty to the ▇▇▇▇▇▇▇▇▇ Electric brand. To express an interest in joining and to obtain an application form, manufacturers must speak to their ▇▇▇▇▇▇▇▇▇ Electric Switchboard Manufacturer Sales Engineer. All applications must be assessed by a ▇▇▇▇▇▇▇▇▇ Electric Switchboard Manufacturer ▇▇▇ es Engineer and approved by the State General Manager.
The Hub. The Hub is intended for the sharing of fully anonymised and non-personal data only. The only personal data which may be placed on the Hub is the name of the provider, where that provider is an individual, or a partnership of individuals and where the information does being provided relates to the service being provided, rather than to the provider as an individual.
The Hub 

Related to The Hub

  • You will (a) provide us on request all information in your agent's possession or control of you or your agents as may be required to be filed or disclosed pursuant to Applicable Law, in each case regarding us, you, the Customer Documents or any Contract, Client Contract; (b) file (within any applicable time periods) such reports, letters and other communications as may be required from time to time by any Regulatory Body relating to you or us, you, the Customer Documents, or any Contract, Client Contract; and (c) send a copy of all such reports referred to in paragraph (b) above to us promptly upon such filing, and we may send a copy of the same to any relevant Exchange, Clearing House member or Broker.

  • When You Are Covered by More Than One Insurer A healthcare coverage plan is considered the primary plan and its benefits will be paid first if: • the plan does not use similar COB rules to determine coverage; or • the plan does not have a COB provision; or • The plan has similar the COB rules and is determined to be primary under the order of benefit determination rules described below. Benefits under another plan include all benefits that would be paid if claims had been initially submitted under that plan. The following factors are used to determine which plan is primary and which plan is • if you are the main subscriber or a dependent; • if you are married, which spouse was born earlier in the year; • the length of time each spouse has been covered under the plan; • if a parental custody or divorce decree applies; or • if Medicare is your other coverage then Medicare guidelines will apply. These factors make up the order of benefit determination rules, described in greater detail below:

  • The FTPS Unit Servicing Agent shall distribute to redeeming FTPS Unit holders of record on its books redemption proceeds it receives pursuant to Section 5.02 of the Standard Terms and Conditions of Trust from the Trustee as the sole record owner of FTPS Units on the Trustee's books.

  • You and Your Corporate Customers shall have the right to refer to Polar and its products to indicate interoperability between Your Software and Polar Ecosystem. When making such references, you agree to follow Polar’s applicable Brand Guidelines.

  • The Sub Custodian shall pay for securities purchased for the account of the Fund upon (i) receipt of advice from the Securities System that such securities have been transferred to the Account, and (ii) the making of an entry on the records of the Sub-Custodian to reflect such payment and transfer for the account of the Fund. The Sub-Custodian shall transfer securities sold for the account of the Fund upon (i) receipt of advice from the Securities System that payment for such securities has been transferred to the Account, and (ii) the making of an entry on the records of the Sub-Custodian to reflect such transfer and payment for the account of the Fund. Copies of all advices from the Securities System of transfers of securities for the account of the Fund shall be maintained for the Fund by the Sub-Custodian or such an agent and be provided to the Fund at its request. The Sub-Custodian shall furnish the Fund confirmation of each transfer to or from the account of the Fund in the form of a written advice or notice and shall furnish to the Fund copies of daily transaction sheets reflecting each day's transactions in the Securities System for the account of the Fund on the next business day;