BUYER FURNISHED INFORMATION Sample Clauses

BUYER FURNISHED INFORMATION. 9 ARTICLE 17
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BUYER FURNISHED INFORMATION. 16.1 Buyer has already furnished to Seller for use only in connection with this Contract certain information and materials. Title to said materials and information shall at all times remain In Buyer. Seller shall keep and maintain said materials in strict confidence, shall not disclose such information and material to any third party, and shall act with the information and material in accordance with the same practices it uses with respect to its own materials of like quality and type, and shall maintain control records with respect to Buyer furnished materials and information, which materials, information and records shall be subject to Buyer's inspection upon Buyer's request. Seller shall be entitled to disclose such information to its Subcontractors, who need to know such information for the sole purpose of performance of Seller's obligations under this Agreement, and provided that prior to such disclosure they will undertake in writing to be bound by the confidentiality obligations hereof, and further provided that Seller shall be responsible and liable toward Buyer for any breach by its Subcontractors of the confidentiality obligations hereunder. Seller shall be responsible for any loss or damage to Buyer furnished [VALENTEC LOGO] AMMUNITION MULTI YEAR PROGRAM - CONTRACT No. 1003 [SOLTAM SYSTEMS LOGO] materials from the time of delivery to Seller until their return to Buyer. At the earlier of either the completion of this Contract, at such time as specified elsewhere in this Contract, or Buyer's request, Seller shall pack and prepare for shipment and deliver EX Works Minden, LA all Buyer furnished information and materials (including all information and copies thereof), which Seller disclosed to its Subcontractors as mentioned above, all in accordance with directions given by Buyer.
BUYER FURNISHED INFORMATION. The Buyer may provide to the Subcontractor various reports, documents and other data to assist the Subcontractor in performing the work defined in the Subcontract. The Buyer does not warrant Buyer-furnished information to be free from error or to be complete and accurate in all instances. The information is provided with the understanding that, to the best of Buyer’s ability to so determine, it is pertinent and useful in the fulfillment of the Subcontract work; however, the Subcontractor has no right, either actual or implied, to an adjustment of price or indemnification for cost associated with any data or information obtained from the Buyer.

Related to BUYER FURNISHED INFORMATION

  • Furnish Specified Information It will deliver to the other party or, in certain cases under subparagraph (iii) below, to such government or taxing authority as the other party reasonably directs:— (i) any forms, documents or certificates relating to taxation specified in the Schedule or any Confirmation; (ii) any other documents specified in the Schedule or any Confirmation; and (iii) upon reasonable demand by such other party, any form or document that may be required or reasonably requested in writing in order to allow such other party or its Credit Support Provider to make a payment under this Agreement or any applicable Credit Support Document without any deduction or withholding for or on account of any Tax or with such deduction or withholding at a reduced rate (so long as the completion, execution or submission of such form or document would not materially prejudice the legal or commercial position of the party in receipt of such demand), with any such form or document to be accurate and completed in a manner reasonably satisfactory to such other party and to be executed and to be delivered with any reasonably required certification, in each case by the date specified in the Schedule or such Confirmation or, if none is specified, as soon as reasonably practicable.

  • Buyer Information True and complete copies of all documents listed in the Buyer Disclosure Schedule have been made available or provided to Seller. The books of account, stock record books and other financial and corporate records of Buyer and the Buyer Subsidiaries, all of which have been made available to Seller, are complete and correct in all material respects.

  • Seller Information The Company may require each seller of Registrable Securities as to which any registration is being effected to furnish, and such seller shall furnish, to the Company such information regarding the distribution of such securities as the Company may from time to time reasonably request in writing.

  • Accuracy of Specified Information All applicable information that is furnished in writing by or on behalf of it to the other party and is identified for the purpose of this Section 3(d) in the Schedule is, as of the date of the information, true, accurate and complete in every material respect.

  • Requested Information with reasonable promptness, such other data and information relating to the business, operations, affairs, financial condition, assets or properties of the Company or any of its Subsidiaries or relating to the ability of the Company to perform its obligations hereunder and under the Notes as from time to time may be reasonably requested by any such holder of Notes.

  • De-identified Information De-identified Information may be used by the Operator only for the purposes of development, product improvement, to demonstrate or market product effectiveness, or research as any other member of the public or party would be able to use de-identified data pursuant to 34 CFR 99.31(b). Operator agrees not to attempt to re-identify De-identified Information and not to transfer De-identified Information to any party unless (a) that party agrees in writing not to attempt re- identification, and (b) prior written notice has been given to LEA who has provided prior written consent for such transfer. Operator shall not copy, reproduce or transmit any De-identified Information or other Data obtained under the Service Agreement except as necessary to fulfill the Service Agreement.

  • Updating information You must tell us promptly if information you have provided to us changes, including if your billing address changes or if your use of energy changes (for example, if you start running a business at the premises).

  • Classified Information In no event shall any of the Copyright Collateral, Patent Collateral or Trademark Collateral include any Copyright, Patent or Trademark, any application for a Copyright, Patent or Trademark, or any license or right under any Copyright, Patent or Trademark that is “classified” for reasons of national security or foreign policy under applicable laws or with respect to which Pledgor is not entitled to pledge, sublicense or assign pursuant to its terms or applicable law or regulation.

  • Excluded Information For purposes of this Agreement, the term “confidential and proprietary information” shall not include (i) information already known or independently developed by the recipient without the use of any confidential and proprietary information, or (ii) information known to the public through no wrongful act of the recipient.

  • Pricing Information Each Fund or its designee will furnish Plan Provider on each business day that the New York Stock Exchange is open for business ("Business Day"), with (i) net asset value information as of the close of trading (currently 4:00 p.m. Eastern Time) on the New York Stock Exchange or as at such later times at which a Fund's net asset value is calculated as specified in such Fund's prospectus ("Close of Trading"), (ii) dividend and capital gains information as it becomes available, and (iii) in the case of income Funds, the daily accrual or interest rate factor (mil rate). The Funds shall use their best efforts to provide such information to Plan Provider by 6:00 p.m. Central Time on the same Business Day. Distributor or its affiliate will provide Plan Provider (a) daily confirmations of Account activity within five Business Days after each day on which a purchase or redemption of Shares is effected for the particular Account, (b) if requested by Plan Provider, quarterly statements detailing activity in each Account within fifteen Business Days after the end of each quarter, and (c) such other reports as may be reasonably requested by Plan Provider.

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