COST RESPONSIBILITY RATIOS Sample Clauses

COST RESPONSIBILITY RATIOS. The ratios of responsibility, one ratio for General Facilities and one ratio for the Eldorado 220 kV Switchyard Infrastructure Facilities, for the costs associated with such facilities as described in Section 10.
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COST RESPONSIBILITY RATIOS. 10.1. The Cost Responsibility Ratio for General Facilities shall be calculated by Operating Agent for the purpose of allocating costs to Connecting Participant for operation, maintenance and Capital Additions associated with General Facilities. Such ratio shall be calculated in accordance with the methodology set forth in Attachment B attached hereto.
COST RESPONSIBILITY RATIOS. 10.1. The Cost Responsibility Ratio for General Facilities shall be calculated by Operating Agent for the purpose of allocating costs to Connecting Participant for operation and maintenance associated with General Facilities. Such Cost Responsibility Ratio shall be calculated in accordance with the methodology set forth in Attachment B. 10.2. The Cost Responsibility Ratio for the Eldorado 220 kV Switchyard Infrastructure Facilities shall be calculated by Operating Agent for the purpose of allocating costs to Connecting Participant for operation and maintenance associated with the Eldorado 220 kV Switchyard Infrastructure Facilities. Such Cost Responsibility Ratio shall be calculated in accordance with the methodology set forth in Attachment B. 10.3. The Cost Responsibility Ratios shall be re-calculated, if necessary, upon the addition or removal of any Function. Operating Agent shall notify the Parties of any such changes pursuant to Section 27. Any re-calculated Cost Responsibility Ratio shall be effective upon the in-service or removal date of such Function.
COST RESPONSIBILITY RATIOS. 10.1. The Cost Responsibility Ratio for General Facilities shall be calculated by Operating Agent for the purpose of allocating costs to Connecting Participant for operation and maintenance associated with General Facilities. Such Cost Responsibility Ratio shall be calculated in accordance with the methodology set forth in Attachment B. 10.2. The Cost Responsibility Ratio for the Eldorado 220 kV Switchyard Infrastructure Facilities shall be calculated by Operating Agent for the purpose of allocating costs to Connecting Participant for operation and maintenance associated with the Eldorado 220 kV Switchyard Infrastructure Facilities. Such Cost Responsibility Ratio shall be calculated in accordance with the methodology set forth in Attachment B.
COST RESPONSIBILITY RATIOS. 10.1. Co st Responsibility Ratios shall be computed by the Operating Agent for the purpose of allocating costs to Connecting Participant for the operation and maintenance of the General Facilities and the Eldorado 220 kV Switchyard Infrastructure Facilities and for any Capital 20120615-5092 ,P,C PL'? (Xxxx i&l) 6/15/2012 3:00:11 ?M Additions. Cost Responsibility Ratios shall be computed initially upon the In-Service Date and shall be recomputed, ifnecessary, upon the installation of additional or removal of existing Functions. 10.2. Any re-computation of the Cosi Responsibility Ratios due to the addition or removal of a Function shall be effective upon the in-service i or removal date of such Function. Attachment B attached hereto contains the computation of the Cost Responsibility Ratios. ,

Related to COST RESPONSIBILITY RATIOS

  • Cost Responsibility Interconnection Customer shall be responsible for and shall pay upon demand all Costs associated with the interconnection of the Customer Facility as specified in the Tariff. These Costs may include, but are not limited to, an Attachment Facilities charge, a Local Upgrades charge, a Network Upgrades charge and other charges. A description of the facilities required and an estimate of the Costs of these facilities are included in Sections 3.0 and 4.0 of the Specifications to this ISA.

  • Management Responsibility No Limited Partner, as such, shall take part in the management of the business or transact any business for the Partnership.

  • Client Responsibility For clarity, the parties agree that in reviewing the documents referred to in clause (b) above, Patheon’s role will be limited to verifying the accuracy of the description of the work undertaken or to be undertaken by Patheon. Subject to the foregoing, Patheon will not assume any responsibility for the accuracy of any application for receipt of an approval by a Regulatory Authority. The Client is solely responsible for the preparation and filing of the application for approval by the Regulatory Authority and any relevant costs will be borne by the Client.

  • Engineer Responsibilities No subcontract relieves the Engineer of any responsibilities under this contract.

  • Tenant Responsibility Good housekeeping is expected of everyone. Tenant agrees to keep quarters clean and in a sanitary condition. The Tenants agree not to permit any deterioration or destruction to occur while they are occupying the property.

  • Specific Responsibilities Without limiting the responsibilities of the Manager, the Manager will: 1. Maintain office facilities (which may be in the offices of the Manager or a corporate affiliate but shall be in such location as the Trust reasonably determines). 2. Furnish statistical and research data, clerical services and stationery and office supplies. 3. Compile data for, prepare for execution by the Fund and file all the Fund’s federal and state tax returns and required tax filings other than those required by this Agreement to be made by the Fund’s custodian and transfer agent. 4. Prepare compliance filings pursuant to state securities laws with the advice of the Trust’s counsel. 5. Prepare the Trust’s Annual and Semi-Annual Reports to Shareholders and amendments to its Registration Statements (on Form N-1A or any replacement therefor). 6. Compile data for, prepare and file timely Notices to the SEC required pursuant to Rule 24f-2 under the 1940 Act. 7. Determine the daily pricing of the portfolio securities and computation of the net asset value and the net income of Fund in accordance with the Prospectus, resolutions of the Trust’s Board of Trustees, and the procedures set forth in EXHIBIT A: NET ASSET VALUE CALCULATIONS. 8. Keep and maintain the financial accounts and records of the Fund and provide the Trust with certain reports, as needed or requested by the Fund. 9. Provide officers for the Trust as requested by the Trust’s Board of Trustees. 10. Perform fund accounting services for the Fund as set forth in EXHIBIT B: FUND ACCOUNTING FUNCTIONS. 11. Generally assist in all aspects of the operations of the Fund.

  • Joint Responsibility If the Seller determines that the Interface Problem is attributable partially to the design of a Warranted Part and partially to the design of any Supplier Part, the Seller will, if so requested by the Buyer, seek a solution to the Interface Problem through cooperative efforts of the Seller and any Supplier involved. The Seller will promptly advise the Buyer of such corrective action as may be proposed by the Seller and any such Supplier. Such proposal will be consistent with any then existing obligations of the Seller hereunder and of any such Supplier towards the Buyer. Such corrective action, unless reasonably rejected by the Buyer, will constitute full satisfaction of any claim the Buyer may have against either the Seller or any such Supplier with respect to such Interface Problem.

  • Financial Responsibility You understand that you remain, solely and exclusively responsible for any and all financial risks, including, without limitation, insufficient funds associated with accessing the Service. The Credit Union shall not be liable in any manner for such risk unless Credit Union fails to follow the procedures described in materials for use of the service. You assume exclusive responsibility for the consequences of any instructions you give to the Credit Union, for your failures to access the Service properly in a manner prescribed by the Credit Union, and for your failure to supply accurate input information, including, without limitation, any information contained in an application.

  • Client Responsibilities You are responsible for (a) assessing each participants’ suitability for the Training, (b) enrollment in the appropriate course(s) and (c) your participants’ attendance at scheduled courses.

  • Student Responsibilities The school provided Chromebook for the student is an important learning tool to be used for educational purposes. In order to use the device each day, the student must be willing to accept the following responsibilities: ● I understand that district officials have the ability to monitor my use of the device AT ALL TIMES IN AND OUT OF SCHOOL and that communications, files, internet search activities, and any other actions using the device are not considered to be private. Note: RCCSD does not have the ability to and will not remotely operate the camera on the device. However, students can cover it when not in use to ensure others are not. ● I understand that the device assigned to me is on loan from Red Clay Consolidated School District. All accounts, programs, and files are subject to inspection at any time without notice. ● I will be responsible for ALL damage or loss of the device due to NEGLECT OR ABUSE including dropping it, getting it wet, and spills of food or drink. ● I will not try to repair my Chromebook. ● At ALL times when using my Chromebook, I will follow the Acceptable Use, Internet Safety Policy, and Student Code of Conduct, and related policies adopted by the Board of Education, and abide by all local, state, and federal laws. ● I will talk with my parent/guardian about their ground rules for going online when not at school. ● I will notify the school principal and my parents of any damage to the device as soon as possible. ● I will charge the Chromebook battery each night and will bring my Chromebook to school every day or be prepared for remote learning. ● I will keep my Chromebook clean. ● I will not lend my device to anyone. This includes family members and friends. Note: I could be held responsible for any inappropriate content on the District issued Chromebook. ● I will keep all passwords assigned to me secure. ● I will only use my account credentials to sign into my Chromebook. ● I am allowed to connect to non-district printers and wireless networks at home and in public places. ● I agree that e-mail or any other computer communication should be used only for appropriate, legitimate, and responsible communication. ● I agree not to share personal information about myself (full name, address, etc.) or about my family, friends or anyone else. ● I agree not to search for, download, display, post, or distribute vulgar, offensive material or images described in applicable district policies. (See the student handbook and/or the district's Acceptable Use Agreement.) ● I agree to abide by all school rules that address electronic device procedures. ● I will return the device when requested, at the end of the school year or upon my withdrawal. ● I agree to not deface or destroy this property in any way. Inappropriate use of the machine may result in the student losing their right to use the Chromebook. ● I understand that identification labels have been placed on the Chromebook. These labels are not to be removed or modified. Additional stickers, labels, tags, or markings of any kind are NOT to be added to the machine.

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