Fair trading, etc Sample Clauses

Fair trading, etc. No agreement practice or arrangement carried on by the Company or to which the Company is a party:- 5.5.1 is or requires to be registered in accordance with the provisions of the Restrictive Trade Practices Acts 1976 and 1977 or contravenes the provisions of the Resale Prices Xxx 0000 and the Company is not in default or in contravention of the provisions of any of those Acts; 5.
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Fair trading, etc. The Company is not and has not been party to or directly or indirectly concerned in any agreement, arrangement, understanding, decision, activity or concerted practice (whether or not legally binding) or in the pursuit of any course of conduct which is: 14.5.1 registrable under the RTPA , notifiable under the Competition Xxx 0000 or capable of giving rise to an investigation by the Director General of Fair Trading or a reference to the Monopolies and Mergers Commission; 14.5.2 in contravention or breach of the EC Treaty, the Fair Trading Xxx 0000, the Consumer Credit Xxx 0000, the Resale Prices Xxx 0000, the Trade Descriptions Xxx 0000, the RTPA, the Competition Xxx 0000, the Consumer Protection Xxx 0000, the Competition Xxx 0000 or any regulations, orders, notices or directions made thereunder; 14.5.3 is otherwise registrable, unenforceable or void or renders the Company or any of its officers liable to administrative, civil or criminal proceedings under any anti-trust, trade regulation or similar legislation in any jurisdiction where the Company carries on business; 14.5.4 prohibited by section 4(1) of the Competition Acts 1991 and 1996 or which, for the purposes of section 5 of the Competition Acts 1991 and 1996, constitutes an abuse, either solely or jointly with any other undertaking, of a dominant position in the State or a substantial part of the State; 14.5.5 in contravention or breach of the EC Treaty, the Restrictive Practices Xxx 0000, the Prices Acts 1958 - 1972, the Mergers, Takeovers and Monopolies (Control) Acts 1978 - 1996, the Merchandise Marks Acts 1887 to 1970, the Consumer Information Xxx 0000, Packaged Goods (Quality Control) Xxx 0000, Dangerous Substances Acts, 1972 to 1979 Hire Purchase Acts 1946 to 1960, the Sale of Goods and Supply of Services Xxx 0000, the Consumer Credit Xxx 0000, the European Communities (Unfair Terms in Consumer Contracts ) Regulations 1995, the European Communities Acts 1972 to 1998 or any applicable Regulation or Directive of the European Commission or of 66 the Council of the European Communities or any regulations, orders or any applicable Regulation or Directive of the European Commission or of the Council of the European Communities or any regulations, orders, notices or directions made thereunder; or 14.5.6 is otherwise registrable, unenforceable or void or renders the Company or any of its officers liable to administrative, civil or criminal proceedings under any anti-trust, trade regulation or similar ...
Fair trading, etc. To the Vendors knowledge information and belief no agreement practice or arrangement carried on by the Company or to which the Company is a party:- 41 5.5.1 is or requires to be registered in accordance with the provisions of the Restrictive Trade Practices Acts 1976 and 1977 or contravenes the provisions of the Resale Prices Act 0000 xxx the Company is not in default or in contravention of the provisions of any of those Acts; 5.5.2 contravenes the Trade Descriptions Acts 1968 and 1972; 5.5.3 contravenes the provisions of the Consumer Credit Act 0000; 5.5.4 is by virtue of its terms or by virtue of any practice for the time being carried on in connection therewith a "Consumer Trade Practice" within the meaning of Section 13 of the Fair Trading Act 1973 and susceptible to or under reference to the Consumer Protection Advisory Committee or the subject matter of a report to the Secretary of State or the subject matter of an Order by the Secretary of State under the provisions of Part II of that Act; 5.5.5 infringes Article 85 of the Treaty establishing the European Economic Community or constitutes an abuse of dominant position contrary to Article 86 of the said Treaty or infringes or contravenes any provisions of the Treaty of Rome; 5.5.6 is prescribed or has been or may be or become the subject of any reference enquiry or report under the Industry Act 0000 xx the Monopolies and Mergers Act or the Competition Act 0000 xx any other anti-restrictive practice, consumer protection or anti-monopoly anti-trust or anti-cartel legislation in the United Kingdom or elsewhere; or 5.5.7 in any way restricts its freedom to carry on the whole or any part of its business in any part of the world in such manner as it thinks fit.
Fair trading, etc. The Company is not and has not been party to or directly or indirectly concerned in any agreement, arrangement, understanding or practice (whether or not legally binding) or in the pursuit of any course of conduct which is: 13.5.1 registrable under the notifiable under the Competition Act 1998 or capable of giving rise to an investigation xx xxx Director General of Fair Trading or a reference to the Monopolies and Mergers Commission; 13.5.2 in contravention or breach of the EC Treaty, the Fair Trading Act 1973, the Consumer Credit Act 1974, the Resale Prixxx Xxx 0000, xxx Trade Descrixxxxxx Xct 1968, the Restricxxxx Xxxde Practices Act 1976, thx Xxxxxxition Act 1980, the Consumer Protexxxxx Xxx 0000, the Competxxxxx Xxt 1998 or any regulations, xxxxxx, notices or directxxxx xxxe thereunder; or 13.5.3 is otherwise registrable, unenforceable or void or renders the Company or any of its officers liable to administrative, civil or criminal proceedings under any anti-trust, trade regulation or similar legislation in any jurisdiction where the Company carries on business.
Fair trading, etc. So far as the Warrantors are aware no agreement or arrangement to which the Company is a party:- 1. Is or requires to be registered in accordance with the provisions of the Restrictive Trade Practices Acts 1976 and 1977 or of any other legislation (British or otherwise) or contravenes the provisions of the Resale Prices Xxx 0000. 2. Infringes Article 85 of the Treaty establishing the European Economic Community or constitutes an abuse of dominant position contrary to Article 86 of the said Treaty or infringes any regulation or other enactment made under either Article. 3. Infringes any provision of any other legislation (British or otherwise) relating to promotion of competition or to monopolies or anti-competitive practices. 4. Is or has been the subject of any enquiry, investigation, reference, report order or proceeding pursuant to any such statutory or other provision. 5. Is or has been the subject of any undertaking on the part of the Company to the Restrictive Practices Court or the Director General of Fair Trading or the President of the Board of Trade or the Commission or Court of Justice of the European Communities or to any other body of competent jurisdiction. N. AGREEMENTS ---------- 1. The Company is not a party to:- 1.1 any contract for hire or rent, hire-purchase or purchase by way of credit sale or periodical payment nor any agreement whereby the Company is or might be bound to repurchase any property at any time sold by the Company; 1.2 any contract for guarantee, indemnity or suretyship; 1.3 any power of attorney or other contract of agency; 1.4 any contracts for the supply or receipt of services (other than contracts for the receipt of electricity gas or water or normal office services); 1.5 any contract with any trade union or body or organisation representing any of its employees or former employees; 1.6 any partnership, joint venture or consortium arrangement; 1.7 any agreement or arrangement which is liable to be terminated by another party or under which rights of any person are liable to arise or be affected as a result of any change in the control management or shareholders of the Company or on Completion; 1.8 any agreement or arrangement in which any of the following persons are interested directly or indirectly:- 1.8.1 the Vendors; 1.8.2 any of the Directors; 1.8.3 any spouse or infant child of any of the Vendors or the Directors; 1.8.4 any trust of which any of the Vendors or the Directors or any such spouse or child is a trust...
Fair trading, etc. So far as the Warrantors are aware, the Company is not and has not been party to or directly or indirectly concerned in any agreement, arrangement, understanding or practice (whether or not legally binding) or in the pursuit of any course of conduct which is: 14.5.1 registrable under the RTPA or notifiable under the Competition Act 1998 or capable of giving rise to an investixxxxxx xy the Director General of Fair Trading or a reference to the Monopolies and Mergers Commission; 14.5.2 in contravention or breach of the EC Treaty, the Fair Trading Act 1973, the Consumer Credit Act 1974, the Resale Xxxxxs Act 1976, the Trade Xxxxxxxxions Act 1968, the RTPA, xxx Competition Act 1980, thx Xxxxxxer Protection Act 1987, the Xxxxxxxxion Act 1998 or any regulaxxxxx, xrders, notices or xxxxxxxxns made thereunder; or 14.5.3 is otherwise registrable, unenforceable or void or renders the Company or any of its officers liable to administrative, civil or criminal proceedings under any anti-trust, trade regulation or similar legislation in any jurisdiction where the Company carries on business.
Fair trading, etc. So far as the Vendor is aware, no Group Company is or has been party to or directly or indirectly concerned in any agreement, arrangement, understanding or practice (whether or not legally binding) or in the pursuit of any course of conduct which is:- 14.5.1 registrable under the RTPA or capable of giving rise to an investigation by the Director-General of Fair Trading or a reference to the Monopolies and Mergers Commission; 14.5.2 in contravention or breach of The Treaty of Rome 1957, the Fair Trading Xxx 0000, the Consumer Credit Xxx 0000, the Resale Prices Xxx 0000, the Trade Descriptions Acts 1968, the RTPA, the Competition Xxx 0000, the Consumer Protection Xxx 0000, or any regulations, orders, notices or directions made thereunder; or 14.5.3 is otherwise registrable, unenforceable or void or renders the relevant Group Company or any of its officers liable to administrative, civil or criminal proceedings under any anti-trust, trade regulation or similar legislation in any jurisdiction where the relevant Group Company carries on business.
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Related to Fair trading, etc

  • State Trading Enterprises The rights and obligations of the Parties in respect of state trading enterprises shall be governed by Article XVII of the GATT 1994 and the Understanding on the Interpretation of Article XVII of the GATT 1994, which are hereby incorporated into and made part of this Agreement.

  • IRANIAN ENERGY SECTOR DIVESTMENT In accordance with Section 2879-c of the Public Authorities Law, by signing this contract, each person and each person signing on behalf of any other party certifies, and in the case of a joint bid or partnership each party thereto certifies as to its own organization, under penalty of perjury, that to the best of its knowledge and belief that each person is not on the list created pursuant to paragraph (b) of subdivision 3 of Section 165-a of the State Finance Law (See xxxxx://xxx.xx.xxx/iran-divestment-act-2012).

  • Trading Cushion The Selling Period for any previous Issuance Notice shall have expired.

  • Internal Accounting and Disclosure Controls The Company and each of its Subsidiaries maintains internal control over financial reporting (as such term is defined in Rule 13a-15(f) under the 0000 Xxx) that is effective to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles, including that (i) transactions are executed in accordance with management’s general or specific authorizations, (ii) transactions are recorded as necessary to permit preparation of financial statements in conformity with generally accepted accounting principles and to maintain asset and liability accountability, (iii) access to assets or incurrence of liabilities is permitted only in accordance with management’s general or specific authorization and (iv) the recorded accountability for assets and liabilities is compared with the existing assets and liabilities at reasonable intervals and appropriate action is taken with respect to any difference. The Company maintains disclosure controls and procedures (as such term is defined in Rule 13a-15(e) under the 0000 Xxx) that are effective in ensuring that information required to be disclosed by the Company in the reports that it files or submits under the 1934 Act is recorded, processed, summarized and reported, within the time periods specified in the rules and forms of the SEC, including, without limitation, controls and procedures designed to ensure that information required to be disclosed by the Company in the reports that it files or submits under the 1934 Act is accumulated and communicated to the Company’s management, including its principal executive officer or officers and its principal financial officer or officers, as appropriate, to allow timely decisions regarding required disclosure. Neither the Company nor any of its Subsidiaries has received any notice or correspondence from any accountant or other Person relating to any potential material weakness or significant deficiency in any part of the internal controls over financial reporting of the Company or any of its Subsidiaries.

  • Trading of the Public Securities on the Nasdaq Capital Market As of the Effective Date and the Closing Date, the Public Securities will have been authorized for listing on the Nasdaq Capital Market and no proceedings have been instituted or threatened which would effect, and no event or circumstance has occurred as of the Effective Date which is reasonably likely to effect, the listing of the Public Securities on the Nasdaq Capital Market.

  • Financial Management System Subrecipient shall establish and maintain a sound financial management system, based upon generally accepted accounting principles. Contractor’s system shall provide fiscal control and accounting procedures that will include the following: i. Information pertaining to tuition rates, payments, and educational assistance payments; and

  • Reporting of Compliance Matters (a) The Sub-Adviser shall promptly provide to the Trust’s Chief Compliance Officer (“CCO”) the following documents: (i) copies of all SEC examination correspondences, including correspondences regarding books and records examinations and “sweep” examinations, issued during the term of this Agreement, in which the SEC identified any concerns, issues or matters (such correspondences are commonly referred to as “deficiency letters”) relating to any aspect of the Sub-Adviser’s investment advisory business and the Sub-Adviser’s responses thereto; (ii) a report of any material violations of the Sub-Adviser’s Compliance Program or any “material compliance matters” (as such term is defined in Rule 38a-1 under the 0000 Xxx) that have occurred with respect to the Sub-Adviser’s Compliance Program; (iii) a report of any material changes to the policies and procedures that compose the Sub-Adviser’s Compliance Program; (iv) a copy of the Sub-Adviser’s chief compliance officer’s report (or similar document(s) which serve the same purpose) regarding his or her annual review of the Sub-Adviser’s Compliance Program, as required by Rule 206(4)-7 under the Advisers Act; and (v) an annual (or more frequently as the Trust’s CCO may reasonably request) representation regarding the Sub-Adviser’s compliance with Paragraphs 7 and 8 of this Agreement. (b) The Sub-Adviser shall also provide the Trust’s CCO with: (i) reasonable access to the testing, analyses, reports and other documentation, or summaries thereof, that the Sub-Adviser’s chief compliance officer relies upon to monitor the effectiveness of the implementation of the Sub-Adviser’s Compliance Program; and (ii) reasonable access, during normal business hours, to the Sub-Adviser’s facilities for the purpose of conducting pre-arranged on-site compliance related due diligence meetings with personnel of the Sub-Adviser.

  • Freedom of Information and Transparency 20.1 The Recipient acknowledges that the Commissioner is subject to the provisions of the FOIA and agrees to assist and co-operate with the Commissioner (at the Recipient’s expense) where necessary to enable the Commissioner to comply with any requests received under the FOIA relating to this Agreement. This includes, but is not limited to, transferring to the Commissioner any request received by the Recipient under the FOIA relating to this Agreement as soon as practicable following receipt and in any event within three working days of receipt. 20.2 In no event shall the Recipient respond to a request under the FOIA relating to this Agreement without obtaining the prior written consent of the Commissioner. 20.3 The Recipient acknowledges that the Commissioner may be obliged to disclose information under the FOIA: 20.3.1 Without consulting the Recipient; or 20.3.2 Following consultation with the Recipient and having taken into account its views. Provided that where clause 20.3.1 applies the Commissioner shall, in accordance with the recommendations of the Secretary of State for Constitutional Affairs’ Code of Practice on the discharge of a public authorities’ functions under Part 1 of FOIA, take reasonable steps, to give the Recipient advanced notice or to draw the disclosure to the Recipient’s attention after any such disclosure. 20.4 The Recipient shall ensure it retains for disclosure all information (as defined in the FOIA) produced in the course of this Agreement or relating to this Agreement and shall allow the Commissioner to inspect such records from time to time upon request. 20.5 The Recipient acknowledges that the Commissioner is subject to certain transparency and disclosure obligations set out in the Elected Local Policing Bodies Specified Information Order 2011 (as amended) (“Transparency Obligations”) 20.6 The Recipient consents to the Commissioner publishing the contents of this Agreement and information regarding any tender process related to the Purpose of the Agreement to enable the Commissioner to comply with their Transparency Obligations. 20.7 The Recipient acknowledges that: 20.7.1 The Commissioner shall be responsible for determining, at their absolute discretion, whether any information is exempt from disclosure or should be disclosed pursuant to the FOIA and/or the Transparency Obligations and to what extent any information disclosed shall be redacted; and 20.7.2 Any lists or schedules provided by the Recipient outlining confidential information are of an indicative value only and that the Commissioner may be obliged to disclose confidential information in accordance with Clause 20.3 and/or Clause 20.5.

  • Public/Private Information The Borrower shall cooperate with the Administrative Agent in connection with the publication of certain materials and/or information provided by or on behalf of the Borrower. Documents required to be delivered pursuant to the Loan Documents shall be delivered by or on behalf of the Borrower to the Administrative Agent and the Lenders (collectively, “Information Materials”) pursuant to this Article and the Borrower shall designate Information Materials (a) that are either available to the public or not material with respect to the Borrower and its Subsidiaries or any of their respective securities for purposes of United States federal and state securities laws, as “Public Information” and (b) that are not Public Information as “Private Information”.

  • Reporting and Record Keeping CONTRACTOR shall comply with all program and fiscal reporting requirements set forth by appropriate Federal, State and local agencies, and as required by the COUNTY. (c) CONTRACTOR agrees to provide to COUNTY, to any Federal or State department having monitoring or review authority, to COUNTY's authorized representatives, and/or their appropriate audit agencies upon reasonable notice, access to and the right to examine all records and documents necessary to determine compliance with relevant Federal, State, and local statutes, rules and regulations, and this Agreement, and to evaluate the quality, appropriateness and timeliness of services performed.

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