Distribution of Settlement Benefits Sample Clauses

Distribution of Settlement Benefits. Distribution of Settlement Benefits payments will be made by the GEICO COMPANIES or Claims Administrator, at the GEICO COMPANIES’ election, and pursuant to a process approved by the Parties and/or ordered by the Court. Settlement Benefits shall be paid within ninety (90) days after the Effective Date of the Settlement or the date the Claim Form is deemed submitted, whichever is later, or such other reasonable time as the Parties agree as warranted by the circumstances.
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Distribution of Settlement Benefits. The Settlement Benefits shall be delivered by the Claim Administrator within thirty-five (35) days of the Effective Date.
Distribution of Settlement Benefits. The Claims Administrator shall promptly make arrangements to satisfy allowed claims as and when allowed after the Effective Date of Settlement. Settling Defendant agrees to make the benefits available in a timely fashion so as to allow the Claims Administrator to promptly satisfy allowed claims as and when allowed. Notice of the issuance of the Merchandise Credits for each allowed claim shall be delivered by the Claims Administrator to each of the allowed claimants via the Claims Web Site where possible, or where necessary, at the address shown for the allowed claimant on his, her, or its Claim Form. For all allowed claimants to whom the Claims Administrator was unsuccessful in attempting to deliver the benefits and as to whom the Claims Administrator recommends taking no further actions to deliver their benefits, the Court will enter an order that states, for each, either that the Claims Administrator need not make any further effort to deliver the benefits or that directs further efforts to be taken by the Claims Administrator. The cost of such delivery and efforts to deliver shall be borne by the Settling Defendant. Any Merchandise 29 Credits not disbursed prior to the Closing Date shall cease to exist. In no event shall the Settling Defendant or the Claims Administrator have any liability or obligation for claims beyond the agreed upon amounts.
Distribution of Settlement Benefits. (a) Establishment of a Court-Supervised Claims Program for the New Class. Subject to the terms and conditions herein, the PSC or New Class Counsel, as applicable, shall make arrangements to establish a Court-supervised claims program for the New Class. A Claims Administrator appointed by the Court shall develop a Distribution Model for the Court-supervised Claims Program. The Distribution Model may be included in the notice of this SA to the New Class under the Notice Program, or may be developed after Court approval of this SA and/or certification of the New Class, as the Court directs. The PSC or New Class Counsel, as applicable, will consult with Transocean on the Claims Program, including on issues such as periodic reporting to Transocean by the Claims Administrator of summary claims data and receipt of electronic copies of executed Individual Releases. Transocean shall be entitled to standard reports of claims data. If Transocean requests additional information, such as paper copies of Individual Releases, Transocean shall be responsible for the costs of generating such information. If any dispute with Transocean arises with respect to the Claims Program, the Court will resolve the matter consistently with the terms of this SA. The PSC or New Class 20 Counsel, as applicable, will recommend to the Court a person to serve as the Claims Administrator, subject to Court approval. In the absence of Transocean's agreement, the Court shall select the Claims Administrator. The Claims Program will treat all claims on a fair and transparent basis. The Claims Program for the New Class is intended to distribute funds remaining from the portion of the Aggregate Payment allocated to the New Class after relevant Administrative Costs have been paid. The plan for distribution of payments to the New Class recommended by the Claims Administrator may, at his/her discretion, include a standard to establish a claim for Real Property damage, a standard to establish a claim for Personal Property damage, including Vessel damage, a standard to establish a claim for commercial fishing loss, a standard to establish a claim for charter fishing loss, a standard to establish a claim for subsistence loss, and other standards as necessary to distribute the New Class Funds. Prior to distribution of any New Class Funds, the Effective Date must have occurred and the Distribution Model must be approved by a Final order of the Court. Transocean shall not have any responsibility or liabilit...
Distribution of Settlement Benefits. Class Members who wish to receive or direct payment of a Settlement Benefit must complete and submit a Settlement Benefit Notice and Claim Form together with proofs of CRA reassessments pertaining to their participation in the SSP before the Settlement Benefit Claims Deadline on Friday, June 17, 2016. Settlement Benefit Notice and Claim Forms will be sent to Class Members within 30 days of expiry of the Opt-Out Period Deadline.
Distribution of Settlement Benefits. The County Defendants will administer the distribution of Settlement benefits to the Class, in accordance with the terms and conditions of the Settlement and orders of the Court. The costs of administering and providing license fee credits, distributing refunds, and all other costs of administering and distributing settlement benefits to the Class shall be paid by County Defendants and will not reduce the credit or refund amounts paid to Class Members. County Defendants will provide reports to Class Counsel regarding distribution of settlement benefits to Class Members.
Distribution of Settlement Benefits. (a) Within thirty (30) days after an Order granting Preliminary Approval, DIRECTV Defendants shall deposit the Total Settlement Fund into a Qualified Settlement Fund with the Administrator. (b) A Settlement Class Member Payment shall be deemed to be delivered to the Settlement Class Member on the date on which the Administrator places the Settlement Class Member Payment in the U.S. mail, regardless of the date on which the Settlement Class Member receives it. (c) No Settlement Class Member shall have any claim against Defendants, Defendants’ Counsel, the Class Representative, Class Counsel, or the Administrator based on the mailings, distributions, or process of awarding a Settlement Class Member Payment made in accordance with this Agreement or any order of the Court. (d) Each Settlement Class Member is solely responsible for any tax consequence, including but not limited to penalties and interest, relating to or arising out of the receipt of any payment under this Settlement.
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Distribution of Settlement Benefits. Who is eligible to receive Settlement Benefits?
Distribution of Settlement Benefits. (a) Within thirty (30) days after the Effective Date, Defendants shall provide the Claim Administrator with an electronic list that includes the the identity of any persons reflected in the list provided by the Claim Administrator under section 4.9 who were Current Customer Class Members at the time they filed a Valid Claim but who no longer have an open mobile telephone account with AT&T. In addition, by that same deadline, Defendants shall provide the Claim Administrator with the funds to mail Cash Refunds to all such Class Members and to all Former Customer Class Members identified by the Claim Administrator pursuant to section 4.9 as having submitted a Valid Claim. (b) The Settlement Benefits shall be delivered within sixty (60) days of the Effective Date. (1) A Day Pass shall be deemed to be delivered to the Class Member on the date on which AT&T adds the Day Pass to that Class Member’s active AT&T mobile telephone account. Once the Day Pass has been added, during the next 18 months, the next time the Class Member turns on his or her AT&T mobile telephone abroad and it registers on a foreign carrier’s network on which the Day Pass can be used, the Class Member will receive a free text message notifying the Class Member of the free Day Pass, reminding the Class Member of the applicable terms and conditions (which the Class Member shall be permitted to view on his or her mobile device without occurring any foreign carrier data access charges), and asking the Class Member whether to redeem the Day Pass. The Class Member will be able to redeem the Day Pass by responding affirmatively to the text message. Upon the use of the free Day Pass, the Class Member will automatically revert to that Class Member’s prior international rate plan; a statement to this effect shall also be contained in the free text message. (2) An Account Credit shall be deemed to be delivered to the Class Member on the date on which AT&T adjusts the Class Member’s balance to reflect the credit, regardless of the date on which the Class Member receives an invoice reflecting the Account Credit. (3) A Cash Refund shall be deemed to be delivered to the Class Member on the date on which the Claim Administrator places the Cash Refund in the U.S. mail, regardless of the date on which the Class Member receives it. (c) No Class Member shall have any Claim against Defendants, Defendants’ Counsel, the Class Representative, Class Counsel, or the Claim Administrator based on the mailings, distribut...
Distribution of Settlement Benefits 
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