Litigation Support Services Sample Clauses

Litigation Support Services. In the event the ENGINEER is to prepare for or appear in any litigation on behalf of the OWNER, additional compensation shall be paid the ENGINEER. The OWNER agrees to compensate the ENGINEER for time spent and expenses incurred in preparation for and attendance at meetings and appearances, including depositions. This shall include appearances before the OWNER’S attorney and before the attorney of any other party to the litigation, in addition to all other support services as requested by the OWNER. Additional compensation shall be paid the ENGINEER as is mutually agreed upon by and between the OWNER and the ENGINEER. Such services shall be incorporated into written amendments to this AGREEMENT, or into a new written AGREEMENT.
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Litigation Support Services. Although the parties acknowledge that the Services may be sought by Customer at the direction of Customer’s legal counsel, it is neither Xxxxxxxx's nor Customer's intention for Symantec to perform Litigation Support Services. If, however, Symantec is later compelled to perform any Litigation Support Services, Customer and Symantec agree the following would apply to those Litigation Support Services regardless of whether such Litigation Support Services are sought directly by Customer or by a third party, and notwithstanding any conflict with other terms: Privilege. If Customer has listed General Counsel contact information in the Required Contact Information Form or has otherwise entered into a separate agreement confirming that the engagement is being conducted at the request of, and at the direction of, Xxxxxxxx’s legal counsel, Symantec will work with all reasonable requests from Customer's legal counsel to preserve any attorney-client, attorney work product, or other applicable privileges. Symantec will treat all findings, reports and documentation it provides to Customer as part of the Services as Confidential Information. Indemnification. Customer will fully indemnify and reimburse Symantec for all losses, damages, liabilities, expenses, costs, and fees (including reasonable attorney's fees) and for Symantec personnel time (at the hourly rate listed above for Litigation Support Services) incurred in connection with any allegation, claim, demand, subpoena, or legal proceeding (including those involving a governmental entity) arising from any incident for which Customer has engaged Symantec to provide the Services, regardless of fault.
Litigation Support Services. Although the parties acknowledge that the Service may be sought by Customer at the direction of Customer’s legal counsel, it is neither CA's nor Customer's intention for CA to perform Litigation Support Services. If, however, CA is later compelled to perform any Litigation Support Services, Customer and CA agree the following would apply to those Litigation Support Services regardless of whether
Litigation Support Services. Although the parties acknowledge that the Services may be sought by Customer at the direction of Customer’s legal counsel, it is neither Xxxxxxxx's nor Customer's intention for Symantec to perform Litigation Support Services. If, however, Symantec is later compelled to perform any Litigation Support Services, Customer and Symantec agree the following would apply to those Litigation Support Services regardless of whether such Litigation Support Services are sought directly by Customer or by a third party, and notwithstanding any conflict with other terms: Privilege. If Customer has listed General Counsel contact information in the Required Contact Information Form or has otherwise entered into a separate agreement confirming that the engagement is being conducted at the request of, and at the direction of, Customer’s legal counsel, Symantec will work with all reasonable requests from Customer's legal counsel to preserve any attorney‐ client, attorney work product, or other applicable privileges. Symantec will treat all findings, reports and documentation it provides to Customer as part of the Services as Confidential Information.
Litigation Support Services. 6.01 Client has advised Attorneys that Client has signed a contract with LITIDEX(R) to provide Litigation Support Services and other services for Client under the direction and as the representative of Attorney. All fees and other charges due pursuant to the agreement entered into of even date between LITIDEX(R) and Client relating to such litigation support and other services provided by LITIDEX(R) will be paid by Client to LITIDEX(R) in connection with the Client's case. Client acknowledges that payment of such services are critical and necessary in order to prosecute Client's claims. Client shall be reimbursed all expenses it has paid hereunder and to LITIDEX(R). 6.02 Client acknowledges that the Attorneys have not represented Client or LITIDEX in connection with the contract between Client and LITIDEX(R) or the fairness of the amount or types of services provided; or compensation paid thereunder. Client acknowledges that it has been advised to seek the assistance of an independent counsel in connection with such contract and has either relied on the advice of other counsel or elected, in its sole discretion and without the advice of the Attorneys, not to engage counsel in connection with such contract. 6.03 The Attorneys have not and will not receive any of the compensation paid to LITIDEX(R) pursuant to the contract between Client and LITIDEX(R) and will not be required to pay any amounts to LITIDEX(R) in connection with the services provided by them.
Litigation Support Services. In addition to and exclusive of Paragraph 3(a), the Executive agrees to make herself available to respond to inquiries from the Company’s CEO, Board, or legal counsel regarding the ongoing securities class actions and derivative litigation against the Company, through June 30, 2008. The Company’s use of Executive for this purpose shall be for a minimum of 346 hours through June 30, 2008; any additional use by the Company of the Executive for this purpose shall be at the sole discretion of the Company. The Company agrees to compensate Executive at the rate of $575.00 (Five Hundred Seventy Five Dollars) per hour for any such litigation support or consulting done by Executive. For any month in which she performs such litigation support or consulting to the Company, Executive shall furnish the Company on a monthly basis with statements of the number of hours worked in performing such litigation support or consulting services. The Company shall compensate the Executive for such work within 10 (ten) days of receipt of such statements from Executive.
Litigation Support Services. Upon the District’s request, the Consultant shall prepare documentation in response to litigation requests and provide necessary expert testimony in connection with litigation involving the subject matter of this Contract. If the District requires or requests any litigation support services, the Consultant will provide a detailed description of the services and fees for such services to the District for approval prior to beginning any litigation support services. The Consultant shall undertake the litigation support services after the District has issued its written approval of the description and fees for such services to the Consultant.
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Litigation Support Services. Prepare documentation in response to litigation requests and provide necessary expert testimony in connection with litigation involving District issues.
Litigation Support Services. Services to be provided: Additional requests for support from Client or end users not covered in the services supplied in Section C including but not limited to the below. a5. Ad hoc and/or advanced search and tag requests at the request of Client or outside counsel a6. Ad hoc end-user support for hosted data at the request of Client or outside counsel a7. Technology management and project management support outside the scope of the per document first pass review a8. Review workflow consultation, set-up and reporting for Client or outside counsel’s review Managed Document ReviewHourly Services Unit Rate Secure Virtual Review - Barred- 1st Level Reviewer Hour $43.00 Secure Virtual Review - Barred - Quality Control Hour $65.00 Secure Virtual Review - Barred - Review Project Management Hour $125.00 Secure Virtual Review - JD - 1st Level Reviewer Hour $40.00 Secure Virtual Review - JD - Quality Control Hour $62.00 Secure Virtual Review - JD - Review Project Management Hour $125.00 Managing Attorney Hour $175.00 Gurgaon India - Qualified - 1st Level Reviewer Hour $24.00 Gurgaon India - Qualified - Quality Control Hour $24.00 Gurgaon India - Qualified - Review Project Management Hour $45.00 Additional Document Review Services Unit Rate Litigation Support Services • Advanced search creation • Outside counsel review workflow managementTechnical issue resolutionCustom reportingProduction management Hour $175.00 Document Removal Fee for Analytics Reduction in Review Population • Non-Responsive File Removal and Initial Targeted Review: • The use of Consilio proprietary tools to identify buckets of documents in the potential review population that can either be disregarded as clearly Not Responsive, or quickly dispositioned without being put into the standard review workflow. • Predictive Coding and Continuous Active Learning workflows: • The use of Consilio’s TAR workflow and applications to identify likely responsive documents, enabling the reduction of the review population by front loading Responsive material for immediate review. • Search Term Optimization: • The use of analytics tools, statistical analysis and sampling to provide defensible refinements to proposed search terms to establish the smallest Per Document Removed $0.25 review population possible while still locating the most Responsive materials possible. Overtime Work Per Hour OT is the greater of 1.5x Hourly Rate or Department of Labor OT Requirements Audio Data Processing and Upload Serv...

Related to Litigation Support Services

  • Litigation Support In the event and for so long as any Party actively is contesting or defending against any charge, complaint, action, suit, proceeding, hearing, investigation, claim, or demand in connection with (i) any transaction contemplated under this Agreement or (ii) any fact, situation, circumstance, status, condition, activity, practice, plan, occurrence, event, incident, action, failure to act, or transaction on or prior to the Closing Date involving the Seller, each of the other Parties will cooperate with the contesting or defending Party and its counsel in the contest or defense, make available his or its personnel, and provide such testimony and access to its books and records as shall be necessary in connection with the contest or defense, all at the sole cost and expense of the contesting or defending Party (unless the contesting or defending Party is entitled to indemnification therefor under Section 7 below).

  • Production Support Each Software Subscription comes with Standard or Premium Production Support. Red Hat only provides Production Support for the Red Hat Products and does not provide any Production Support for any underlying infrastructure or for any third party products that may be running on any servers or virtual machines.

  • 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.

  • Information Supplementation Prior to the Commercial Operation Date, the Developer and Connecting Transmission Owner shall supplement their information submissions described above in this Article 24 with any and all “as-built” Large Generating Facility information or “as-tested” performance information that differs from the initial submissions or, alternatively, written confirmation that no such differences exist. The Developer shall conduct tests on the Large Generating Facility as required by Good Utility Practice such as an open circuit “step voltage” test on the Large Generating Facility to verify proper operation of the Large Generating Facility’s automatic voltage regulator. Unless otherwise agreed, the test conditions shall include: (1) Large Generating Facility at synchronous speed; (2) automatic voltage regulator on and in voltage control mode; and (3) a five percent change in Large Generating Facility terminal voltage initiated by a change in the voltage regulators reference voltage. Developer shall provide validated test recordings showing the responses of Large Generating Facility terminal and field voltages. In the event that direct recordings of these voltages is impractical, recordings of other voltages or currents that mirror the response of the Large Generating Facility’s terminal or field voltage are acceptable if information necessary to translate these alternate quantities to actual Large Generating Facility terminal or field voltages is provided. Large Generating Facility testing shall be conducted and results provided to the Connecting Transmission Owner and NYISO for each individual generating unit in a station. Subsequent to the Commercial Operation Date, the Developer shall provide Connecting Transmission Owner and NYISO any information changes due to equipment replacement, repair, or adjustment. Connecting Transmission Owner shall provide the Developer and NYISO any information changes due to equipment replacement, repair or adjustment in the directly connected substation or any adjacent Connecting Transmission Owner substation that may affect the Developer Attachment Facilities equipment ratings, protection or operating requirements. The Developer and Connecting Transmission Owner shall provide such information no later than thirty (30) Calendar Days after the date of the equipment replacement, repair or adjustment.

  • Information Supplied None of the information supplied or to be supplied by or on behalf of the Company Parties for inclusion or incorporation by reference in the Form S-4 or the Proxy Statement/Prospectus will (a) in the case of the Form S-4, at the time such document is filed with the SEC, at any time such document is amended or supplemented or at the time it is declared effective under the Securities Act, contain any untrue statement of a material fact or omit to state any material fact required to be stated therein or necessary in order to make the statements therein, in light of the circumstances under which they are made, not misleading, or (b) in the case of the Proxy Statement/Prospectus, on the date such Proxy Statement/Prospectus is first mailed to the Company’s stockholders or Parent’s stockholders or at the time of the Company Stockholder Meeting or at the Parent Stockholder Meeting or at the time that the Form S-4 is declared effective or at the Company Merger Effective Time, contain any untrue statement of a material fact or omit to state any material fact required to be stated therein or necessary in order to make the statements therein, in light of the circumstances under which they are made, not misleading. At each of the times described in the preceding sentence, the Form S-4 and the Proxy Statement/Prospectus will (with respect to the Company, its directors and officers and the Company Subsidiaries) comply as to form in all material respects with the applicable requirements of the Securities Laws. No representation or warranty is made hereunder as to statements made or incorporated by reference in the Form S-4 or the Proxy Statement/Prospectus that were not supplied by or on behalf of the Company or the Partnership.

  • Support Services Rehabilitation, counselling and EAP’s. Support is strictly non- punitive, and can be accessed at anytime (self-identification of the need for help is strongly encouraged).

  • VALUATION SUPPORT AND COMPUTATION ACCOUNTING SERVICES BNY Mellon shall provide the following valuation support and computation accounting services for each Fund:  Journalize investment, capital share and income and expense activities;  Maintain individual ledgers for investment securities;  Maintain historical tax lots for each security;  Corporate action processing as more fully set forth in the SLDs;  Reconcile cash and investment balances of each Fund with the Fund’s custodian or other counterparties as applicable;  Provide a Fund’s investment adviser, as applicable, with the cash balance available for investment purposes at start-of-day and upon request, as agreed by the parties;  Calculate capital gains and losses;  Calculate daily distribution rate per share;  Determine net income;  Obtain security market quotes and currency exchange rates from pricing services approved by a Fund’s investment adviser, or if such quotes are unavailable, then obtain such prices from the Fund’s investment adviser, and in either case, calculate the market value of each Fund’s investments in accordance with the Fund's valuation policies or guidelines; provided, however, that BNY Mellon shall not under any circumstances be under a duty to independently price or value any of the Fund's investments, including securities lending related cash collateral investments (with the exception of the services provided hereunder to Funds utilized for such cash collateral investments), itself or to confirm or validate any information or valuation provided by the investment adviser or any other pricing source, nor shall BNY Mellon have any liability relating to inaccuracies or otherwise with respect to such information or valuations; notwithstanding the foregoing, BNY Mellon shall follow the established procedures and controls to identify exceptions, tolerance breaches, etc. and to research and resolve or escalate any pricing inaccuracies;  Application of the established automated price validation rules against prices received from third party vendors and review of exceptions as identified;  Calculate Net Asset Value in the manner specified in the Fund’s Offering Materials (which, for the service described herein, shall include the Fund’s Net Asset Value error policy);  Calculate Accumulated Unit Values (“AUV”) for select funds as mutually agreed upon between the parties;  Transmit or make available a copy of the daily portfolio valuation to a Fund’s investment adviser;  Calculate yields, portfolio dollar-weighted average maturity and dollar-weighted average life as applicable; and  Calculate portfolio turnover rate for inclusion in the annual and semi-annual shareholder reports.  For money market funds, obtain security market quotes and calculate the market-value Net Asset Value in accordance with the Fund’s valuation policies and guidelines at such times and frequencies as required by regulation and/or instruction from TRP.

  • Information Supplied by Underwriters The statements set forth in the last paragraph on the front cover page and under the heading "Underwriting" in any Preliminary Prospectus or the Prospectus (to the extent such statements relate to the Underwriters) constitute the only information furnished by any Underwriter through the Representatives to the Company for the purposes of Sections 2(b) and 8 hereof. The Underwriters confirm that such statements (to such extent) are correct.

  • Paid Claims without Supporting Documentation Any Paid Claim for which Xxxxxxx cannot produce documentation shall be considered an error and the total reimbursement received by Xxxxxxx for such Paid Claim shall be deemed an Overpayment. Replacement sampling for Paid Claims with missing documentation is not permitted.

  • Listing Information Supply CBB shall provide to Verizon on a regularly scheduled basis, at no charge, and in a format required by Verizon or by a mutually agreed upon industry standard (e.g., Ordering and Billing Forum developed) all Listing Information and the service address for each CBB Customer whose service address location falls within the geographic area covered by the relevant Verizon directory. CBB shall also provide to Verizon on a daily basis: (a) information showing CBB Customers who have disconnected or terminated their service with CBB; and (b) delivery information for each non-listed or non-published CBB Customer to enable Verizon to perform its directory distribution responsibilities. Verizon shall promptly provide to CBB (normally within forty-eight (48) hours of receipt by Verizon, excluding non-business days) a query on any listing that is not acceptable.

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