Base Payments for HSAC Services Sample Clauses

Base Payments for HSAC Services. During the Term of this Agreement as to a particular Committed System, if Operator designates HSAC to handle billing of Data Subscribers, HSAC shall pay to the Operator an amount (i.e., "Operator's Share") equal to the percentages, by service category, as shown in TABLE A, of Gross Revenues. If Operator decides to handle billing of Data Subscribers, it shall pay to HSAC an amount (i.e., "HSAC's Share") equal to 100% of Gross Revenues minus the percentage Operator's Share, by service category, of Gross Revenues as shown in TABLE A. TABLE A ------- SERVICE OPERATOR'S SHARE ------- ---------------- Dial Up Express 15% One-Way Cable Express 50% Two-Way Cable Express 50% Other Optional Services 50%
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Base Payments for HSAC Services. During the term of this Agreement, HSAC will pay to the Operator an amount (i.e., the "Operator's Share"), equal to the percentages, by service category of Gross Revenues, Gross Profits or Net Revenues, as shown in TABLE A below. TABLE A ---------------------------------------------------------------------------------------------- SERVICE OPERATOR'S SHARE ---------------------------------------------------------------------------------------------- One/Two Way Cable Modem 50% of Gross Revenues ---------------------------------------------------------------------------------------------- Local Content (Section 4.3) 50% of Gross Profits ---------------------------------------------------------------------------------------------- Optional Services (Section 4.4) 50% of Gross Profits unless otherwise agreed ---------------------------------------------------------------------------------------------- Dial Up (Section 4.5) 15% of Net Revenues ----------------------------------------------------------------------------------------------
Base Payments for HSAC Services. During the Term of this Agreement as to a particular Committed System, if Operator designates HSAC to handle billing of Data Subscribers, HSAC shall pay to the Operator an amount (i.e., "Operator's Share") equal to the percentages, by service category, as shown in TABLE A, of Gross Revenues. If Operator decides to handle billing of Data Subscribers, it shall pay to HSAC an amount (i.e., "HSAC's Share") equal to 100% of Gross Revenues minus the percentage Operator's Share, by service category, of Gross Revenues as shown in TABLE A.

Related to Base Payments for HSAC Services

  • Payments for Distribution Assistance and Administrative Support Services (a) Payments to the Distributor. In consideration of the payments made by the Fund to the Distributor under this Plan, the Distributor shall provide administrative support services and distribution services to the Fund. Such services include distribution assistance and administrative support services rendered in connection with Shares (1) sold in purchase transactions, (2) issued in exchange for shares of another investment company for which the Distributor serves as distributor or sub-distributor, or (3) issued pursuant to a plan of reorganization to which the Fund is a party. If the Board believes that the Distributor may not be rendering appropriate distribution assistance or administrative support services in connection with the sale of Shares, then the Distributor, at the request of the Board, shall provide the Board with a written report or other information to verify that the Distributor is providing appropriate services in this regard. For such services, the Fund will make the following payments to the Distributor:

  • Administrative Support Services Fees Within forty-five (45) days of the end of each calendar quarter or at such other period as deemed appropriate by the Distributor, the Fund will make payments in the aggregate amount of up to 0.25% on an annual basis of the average during the period of the aggregate net asset value of the Shares computed as of the close of each business day (the “Service Fee”). Such Service Fee payments received from the Fund will compensate the Distributor for providing administrative support services with respect to Accounts. The administrative support services in connection with Accounts may include, but shall not be limited to, the administrative support services that a Recipient may render as described in Section 3(b)(i) below.

  • Administrative Support Service Fees Within forty-five (45) days of the end of each calendar quarter, the Fund will make payments in the aggregate amount of 0.0625% (0.25% on an annual basis) of the average during that calendar quarter of the aggregate net asset value of the Shares computed as of the close of each business day (the "Service Fee"). Such Service Fee payments received from the Fund will compensate the Distributor for providing administrative support services with respect to Accounts. The administrative support services in connection with Accounts may include, but shall not be limited to, the administrative support services that a Recipient may render as described in Section 3(b)(i) below.

  • Services Fees 甲乙双方同意,作为本协议第1条第1款项下甲方向乙方提供的管理和咨询服务的对价,乙方应向甲方支付服务费,服务费的数额及支付方式详见本协议附件。该附件可根据双方商议并根据实施情况进行修改。 The Parties agree that, Party B shall pay relevant services fees to Party A which shall be determined according to the Appendix of this Agreement. This Appendix can be amended by the Parties in considering the circumstances. 第三条 知识产权和保密

  • TAX SUPPORT SERVICES BNY Mellon shall provide the following tax support services for each Fund:  Provide various data and reports as agreed upon in the SLDs to support TRP’s tax reporting and tax filing obligations, including: · Wash sales reporting; · QDI reporting; · DRD reporting; · PFIC analysis; · Straddle analysis; · Paydown adjustments; · Equalization debit adjustments · Tax compliance under §851, §817(h); · Foreign bond sale analysis (§988); · Troubled debt analysis; · Estimation of income for excise tax purposes; · Swap analysis; · Inflation adjustments; · §1256 adjustments; · Market discount analysis; OID adjustments; · CPDI analysis; · Shareholder tax reporting information (e.g. FTC, UGG income, foreign source income by country, exempt income by state);  Provide data, and reports based on such data, maintained by BNY Mellon on its fund accounting platform as reasonably requested by TRP to support TRP’s obligations to comply with requests from tax authorities and TRP’s tax reporting and tax filing obligations.  Assist with other tax-related data needs as mutually agreed upon in writing from time-to-time.

  • Services Fee In consideration for the services to be provided to the Stations by Nexstar personnel as described in Sections 4(a) through 4(f), Mission will pay Nexstar the fee (“Services Fee”) described in Section 4(g).

  • Service Fees In consideration of the performance of the Services by Custodian, each Fund shall pay Custodian in accordance with the fee arrangements set forth on Schedule I to this Loan Servicing Agreement (the “Service Fees”). Except for such sums as are payable upon the execution hereof, if any, Custodian shall send an invoice for the Service Fees to the applicable Fund within thirty (30) days after the end of each calendar quarter during the term hereof and such invoice shall be payable upon receipt.

  • Support Services Other than the assistance provided in the Information, the BNPP Entities do not offer any support services in connection with the Software.

  • Matters Applicable to All Requests for Compensation (a) A certificate of the Administrative Agent or any Lender claiming compensation under this Article III and setting forth the additional amount or amounts to be paid to it hereunder shall be conclusive in the absence of manifest error. In determining such amount, the Administrative Agent or such Lender may use any reasonable averaging and attribution methods.

  • Services and Compensation Consultant agrees to perform for the Company the services described in Exhibit A (the “Services”), and the Company agrees to pay Consultant the compensation described in Exhibit A for Consultant’s performance of the Services.

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