Air Quality Impact Assessment Sample Clauses

Air Quality Impact Assessment. An assessment in accordance with the Design Manual for Roads and Bridges Advice Note HA 207/07 Air Quality A contractor or sub-contractor demonstrated by the Combined Authority and agreed by the Council to meet the Council’s criteria for competency and solvency for the Highway Works. The drawings described in and pursuant of the Second Schedule The Combined Authority The Combined Authority and its successors in title and assigns CA Road A road listed in Schedule 1 of the West Midlands Combined (Functions and Amendments) Order 2017)
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Air Quality Impact Assessment. (a) The Consultants shall follow technical requirements of the air quality impact assessment as in Para. (b) The Consultants shall propose and adopt suitable assessment methodology and criteria for carrying out the assessment with computational modelling as agreed with the DR and relevant government departments.
Air Quality Impact Assessment. CONSULTANT will prepare an Air Quality Impact Assessment to address criteria pollutants and the project’s conformity with the assumptions in the 2009/2013 Regional Transportation Plans (RTPs) and 2011/2013 Transportation Improvement Programs (TIPs). The Air Quality Impact Assessment will describe regional meteorology and climate, relevant regulations, existing air quality attainment status and local trends, and potential project-related air quality impacts. The report will include quantitative analyses of daily and annual carbon monoxide (CO) levels, construction-related emissions (including comparison with Bay Area Air Quality Management District CEQA thresholds for construction emissions), and greenhouse gas emissions (both from project construction and operation) for existing conditions and for the project opening year and horizon year for the No Build and two Build alternatives. Air quality modeling will be performed using CALINE4 for CO, the Sacramento Metropolitan Air Quality Management District’s Roadway Construction Emissions Model1 for construction emissions, and EMFAC2011 for carbon dioxide/greenhouse gases.
Air Quality Impact Assessment.  The proposed project will include mobile and area sources of emissions of criteria pollutants. In addition, construction activities would also generate emissions of criteria pollutants and toxic air contaminants (TACs). Based on our review of the project vicinity, sensitive receptors (residences) are located within 1,000 feet of the project site boundary.  To evaluate air quality impacts from implementation of the proposed project, we will use the methodologies described in the Bay Area Air Quality Management District’s (BAAQMD) CEQA Air Quality Guidelines, updated in May 2011,1 and will complete the following tasks.

Related to Air Quality Impact Assessment

  • Data Protection Impact Assessment If, pursuant to Data Protection Law, Customer (or its Controllers) are required to perform a data protection impact assessment or prior consultation with a regulator, at Customer’s request, SAP will provide such documents as are generally available for the Cloud Service (for example, this DPA, the Agreement, audit reports or certifications). Any additional assistance shall be mutually agreed between the Parties.

  • Risk Assessment An assessment of any risks inherent in the work requirements and actions to mitigate these risks.

  • Data Protection Impact Assessment and Prior Consultation Processor shall provide reasonable assistance to the Company with any data protection impact assessments, and prior consultations with Supervising Authorities or other competent data privacy authorities, which Company reasonably considers to be required by article 35 or 36 of the GDPR or equivalent provisions of any other Data Protection Law, in each case solely in relation to Processing of Company Personal Data by, and taking into account the nature of the Processing and information available to, the Contracted Processors.

  • Drug-Free Workplace Certification As required by Executive Order No. 90-5 dated April 12, 1990, issued by the Governor of Indiana, the Company hereby covenants and agrees to make a good faith effort to provide and maintain a drug-free workplace at the Project Location. The Company will give written notice to the IEDC within ten (10) days after receiving actual notice that the Company, or an employee of the Company in the State of Indiana, has been convicted of a criminal drug violation occurring in the workplace. False certification or violation of this certification may result in sanctions including, but not limited to, suspension of payments under the Agreement, termination of the Agreement and/or debarment of contracting opportunities with the State for up to three (3) years. In addition to the provisions of the above paragraph, if the total amount set forth in the Agreement is in excess of $25,000.00, the Company agrees that it will provide a drug-free workplace by: A. Publishing and providing to all of its employees a statement notifying them that the unlawful manufacture, distribution, dispensing, possession or use of a controlled substance is prohibited in the Company’s workplace, and specifying the actions that will be taken against employees for violations of such prohibition;

  • Research Analyst Independence The Company acknowledges that the Underwriters’ research analysts and research departments are required to be independent from their respective investment banking divisions and are subject to certain regulations and internal policies, and that such Underwriters’ research analysts may hold views and make statements or investment recommendations and/or publish research reports with respect to the Company and/or the offering that differ from the views of their respective investment banking divisions. The Company hereby waives and releases, to the fullest extent permitted by law, any claims that the Company may have against the Underwriters with respect to any conflict of interest that may arise from the fact that the views expressed by their independent research analysts and research departments may be different from or inconsistent with the views or advice communicated to the Company by such Underwriters’ investment banking divisions. The Company acknowledges that each of the Underwriters is a full service securities firm and as such from time to time, subject to applicable securities laws, may effect transactions for its own account or the account of its customers and hold long or short positions in debt or equity securities of the companies that may be the subject of the transactions contemplated by this Agreement.

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