Allocation Procedure Sample Clauses

Allocation Procedure. 9.1 Without prejudice to the provisions set forth in GC 10, the quantities allocated at the Delivery Point shall be the quantities of the Confirmed Daily Nominations. 9.2 Without prejudice to the provisions set forth in GC 10, the quantities at the Redelivery Point shall be the quantities of the Confirmed Daily Nominations. However, in case of Exceptional Events the Carrier may need to change to a measure-based system for specific days: in such case, the allocated quantities at the Redelivery Point will be based on measured quantities at the Redelivery Point pro rata the total FluxSwiss' shipper nominations, with daily credit/debit for difference between measure allocated and nominations, which differences will be settled at the end of each quarter, using the following reference price: - the monthly average of the ‘Italian PSV – Day-ahead’ prices published by Platts in the ‘EUROPEAN GAS DAILYreport in the table ‘Platts European Gas Midpoints’. 9.3 In the event the allocation process between Carrier and its adjacent pipeline operator(s) is changed so that the quantities at the Redelivery Point shall not be the quantities of the Confirmed Daily Nomination, such change may be notified to Shippers with a 30 (thirty) days notice, and shall apply as from the first day of the month indicated in such notification.
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Allocation Procedure. For the allocation of Available Intraday Capacity on the Austria-Slovenia Interconnection: a) APG mandates ELES to allocate available transmission intraday capacity rights from the direction Austria to Slovenia in the name and on behalf of APG. b) ELES performs intraday capacity allocations from the direction Slovenia to Austria in its own name and on its own behalf. In the scope of this Intraday Capacity Access Rules ELES acts as the Transmission Capacity Allocator for cross-border interconnections of both Parties. Proceedings related to this Intraday Capacity Access Rules may be discontinued or interrupted by ELES and/or APG at any time without prior notice - be it temporarily in case of technical failures, or permanently (e.g. change of capacity allocation method). All relevant information according to Article 2.2 is made available on the TSOs Websites: For direction Austria to Slovenia: xxx.xxx.xx For direction Slovenia to Austria: xxx.xxxx.xx
Allocation Procedure. The applicable Allocation Procedure has been described in the Stor- age Specification.
Allocation Procedure. 7.1. Allocation of Natural Gas shall become necessary in the event that Natural Gas of several Customers has been either injected or withdrawn (as the case may be) at the Delivery Point. 7.2. The Allocation of the Customer’s quantities of Natural Gas after injection or withdrawal (as the case may be) shall for each and every Hour be based on the Allocation Procedure which has been agreed upon between the Neighbouring Network Operator and the Provider for the Delivery Point. Such Allocation Procedure will for each and every Hour take into account the quantities of Natural Gas measured at the Delivery Point and the quantities of Natural Gas matched in accordance with the Operating Agreement hereunder. 7.3. The Allocation of the Customer’s Natural Gas shall for each and every Hour form the mutually agreed basis for all operational and billing purposes. The Allocation Procedure to be applied is stipulated in the Storage Specification.
Allocation Procedure. 1. The Allocation of Natural Gas will be necessary, if the Storage Cus- tomer’s Natural Gas at a Delivery Point is injected or withdrawn and therefore as well metered unseparated from Natural Gas of other Stor- age Customers.
Allocation Procedure. 10.1 With regard to the allocation of Plant Products, for each accounting period, the actual Plant Products will be allocated to each Gathering System Delivery Point based on the “Theoretical Plant Product Content of each Gathering System Delivery Point”. The Component attributable to the Plant Products will be determined by analysis at the Plant Products Delivery Point. The Theoretical Plant Product Content of each Gathering System Delivery Point will equal the product of the Gathering System Delivery Point’s share of plant inlet MCF multiplied by the GPM (Gallons per MCF) as determined by the chromatograph analysis of a sample of the Gathering System Delivery Point. The actual recovered liquids of each Plant Product during the accounting period shall be allocated to each Gathering System Delivery Point in the ratio that the theoretical content of each product in the Gas processed in the Plant from each Gathering System Delivery Point bears to the total theoretical content of each product in all the gas processed in the Plant during the accounting period. For purposes of allocation, the terms set forth below shall have the following meanings: GSDP = Gathering System Delivery Point PIDP = Plant Inlet Delivery Point by lease Products Delivery Point TCPP = Theoretical Component Plant Product GPM = Gallons Per Thousand Cubic Feet COMP = NGL Product Component (Ethane, Propane, Iso-Butane, N-Butane, Iso-Pentane and N-Pentane) a. The Plant Products allocation formula shall be as follows: 1. PIDP X COMP GPM = Lease TCPP b. The tank condensate and liquids allocation shall be based upon GSDP Hexane+ gas analysis and the formula shall be as follows: 10.2 With regard to the allocation of Residue Gas, for each accounting period, the actual metered residue gas at each Residue Gas Delivery Point shall be allocated to each Gathering System Delivery Point based on the calculated Theoretical Residue Remaining at the Plant Tailgate. “The Calculated Theoretical Residue Remaining” shall be determined as follows: Each Gathering System Delivery Point’s share of plant inlet volume MCF\MMBTU, minus each Gathering System Delivery Point Plant Product shrinkage (product shrinkage factors based on GPA 2145-03 bulletin), minus the allocated Plant Fuel, minus the line loss or plus the line gain. For purposes of allocation, the terms set forth below shall have the following meanings: GSDP = Gathering System Delivery Point PIV = PLANT INLET VOLUME MUV = MAKEUP GAS VOLUME PPS = PLANT PROD...
Allocation Procedure. 7.1. Allocation of Natural Gas shall become necessary in the event that Natural Gas of several Storage Customers has been either injected or withdrawn (as the case may be) at the Delivery Point. 7.2. The Allocation of the Storage Customer’s quantities of Natural Gas after injection or withdrawal (as the case may be) shall for each and every Hour be based on the Allocation Procedure which has been agreed upon between the Neighboring Network Operator and the Storage Service Provider in view of the Delivery Point. Such Allocation Procedure will for each and every Hour take into account the quantities of Natural Gas measured at the Delivery Point and the quantities of Natural Gas matched in accordance with Article 8.4 of the Storage Specification (Annex 3 of the Storage Service Agreement). 7.3. The Allocation of the Storage Customer’s Natural Gas shall for each and every Hour form the mutually agreed basis for all operational and billing purposes. 7.4. The Allocation Procedure to be applied is stipulated in the Storage Specification.
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Allocation Procedure. Beginning with the year 2000, for each rolling 12 month period during the term hereof, Supplier shall allocate, by quantity (expressed in pounds for each Product) and delivery date, its production capacity to provide the Products to Purchaser during each rolling 12 month period during the term hereof, as follows (the resulting allocations to Purchaser, Purchaser's "Annual Allocation" with respect to such Product): [Material omitted and filed separately with the SEC pursuant to a request for confidential treatment]
Allocation Procedure. (i) AFA acknowledges that other clients of Agricultural Sub-Adviser may be interested in acquiring real estate investments that may also be suitable for acquisition by the Company or the Partnership. Agricultural Sub-Adviser has established an allocation procedure, a copy of which is attached as Exhibit E to this Agreement (as amended from time to time, the “Allocation Procedure”) that seeks to allocate fairly investment opportunities among its advisory clients. Agricultural Sub-Adviser shall offer investment opportunities to AFA for the benefit of the Company or the Partnership in accordance with the Allocation Procedure. (ii) Agricultural Sub-Adviser agrees (A) to provide AFA with written confirmation and (B) to demonstrate to AFA on an annual basis (or upon reasonable request) that it is in compliance with the Allocation Procedure. Agricultural Sub-Adviser agrees to provide AFA upon written request with a list of the Accounts (as defined in the Allocation Procedure) by client type (i.e., REIT, pension plan, ERISA), size of available capital and any affiliations with Agricultural Sub-Adviser. (iii) Upon request by AFA, Agricultural Sub-Adviser shall inform AFA of its place in each Queue (as defined in the Allocation Procedure) and documentation of the allocations (with redacted client names) under the last 12 months under the Allocation Procedure for the Queues where AFA receives an allocation, and will inform AFA when its placement changes along with the reasoning behind the change of placement (i.e. property allocation or new Account). (iv) Agricultural Sub-Advisor shall comply with the Client Sourced Transactions Procedure attached as Exhibit F. (v) Within thirty (30) days after the date on which Agricultural Sub-Adviser executes a final written definitive agreement to provide advisory services with respect to the purchase of farmland (“Farmland Purchase Advisory Agreements”) to a third party, Agricultural Sub-Adviser agrees to provide notice (pursuant to Section 25(a) hereof) of such Farmland Purchase Advisory Agreement as well as the broad details as to the type of mandate, including client type (i.e., REIT, pension plan, ERISA), size of available capital, queues in which such account will be participating, and any affiliations with Agricultural Sub-Adviser, to AFA.
Allocation Procedure. (i) For purposes of subsection 15.3(A): (A) The amount allocated under any paragraph of Section 15.3 (A)(4) with respect to any benefit shall be properly adjusted for any allocation of assets with respect to that benefit under a prior paragraph of that subsection. (B) If the assets available for allocation under any paragraph of Section 15.3(A)(4) (other than paragraphs (c) and (d)) are insufficient to satisfy in full the benefits of all individuals which are described in that paragraph, the assets shall be allocated pro-rata among such individuals on the basis of the present value (as of the termination date) of their respective benefits described in that paragraph.
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