Common use of Payment Schedule Clause in Contracts

Payment Schedule. Registry Operator shall pay the Registry-Level Fees specified in Sections 7.2(a) and (c), and Section 7.2(d), if applicable, by the 20th day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN.

Appears in 6 contracts

Samples: Registry Agreement (Verisign Inc/Ca), Registry Agreement, Registry Agreement

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Payment Schedule. Registry Operator shall pay the Registry-Level Fees specified in Sections Section 7.2(a) and (c), and Section 7.2(d7.2(c), if applicable, by the 20th day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN.

Appears in 5 contracts

Samples: Registry Agreement (Neustar Inc), Registry Agreement (Neustar Inc), Registry Agreement

Payment Schedule. Registry Operator shall pay the Registry-Level Fees specified in Sections 7.2(a) and (c), Section 6.1 and Section 7.2(d)6.4, if applicable, on a quarterly basis comprised of four equal payments by the 20th day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN.

Appears in 4 contracts

Samples: New GTLD Agreement, New GTLD Agreement, Registry Agreement

Payment Schedule. Registry Operator shall pay the Registry-Level Fees Fee specified in Sections Section 7.2(a) and (c), and Section 7.2(d7.2(c), if applicable, by the 20th day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN.

Appears in 2 contracts

Samples: Registry Agreement, Registry Agreement

Payment Schedule. Registry Operator shall pay the Registry-Level Transaction Fees and Sync Transaction Fees specified in Sections Section 7.2(a) and (c), the Fixed Registry-Level Fees specified in Section 7.2(c), and the Variable Registry-Level Fees specified in Section 7.2(d), if applicable, by the 20th calendar day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN.

Appears in 2 contracts

Samples: Registry Agreement, Registry Agreement (Verisign Inc/Ca)

Payment Schedule. Registry Operator shall pay the Registry-Level Registry­Level Fees specified in Sections Section 7.2(a) and (c), and Section 7.2(d7.2(c), if applicable, by the 20th day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN.

Appears in 2 contracts

Samples: Registry Agreement, Registry Agreement

Payment Schedule. Registry Operator shall pay the Registry-Level Transaction Fees and Sync Transaction Fees specified in Sections Section 7.2(a) and (c), the Fixed Registry- Level Fees specified in Section 7.2(c), and the Variable Registry-Level Fees specified in Section 7.2(d), if applicable, by the 20th calendar day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN.

Appears in 2 contracts

Samples: Registry Agreement, Registry Agreement

Payment Schedule. Registry Operator shall pay the Registry-Level Registry Operator Fees specified in Sections 7.2(a7.2(b) and (c)below, and Section 7.2(d7.2(c), if applicable, by the 20th day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN.

Appears in 1 contract

Samples: Sponsored TLD Registry Operator Agreement

Payment Schedule. Registry Operator shall pay the Registry-Level Fees specified in Sections 7.2(a7.2(b) and (c)) below, and Section 7.2(d), if applicable, by the 20th day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN. The first quarterly payment of the Fixed Registry-Level Fee shall be pro-rated from the Effective Date until the end of the calendar quarter in which the Effective Date falls.

Appears in 1 contract

Samples: Registry Agreement

Payment Schedule. Registry Operator shall pay the Registry-Level Fees specified in Sections 7.2(aSection 7.2(b) and (c), and Section 7.2(d), if applicable, by the 20th day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN.

Appears in 1 contract

Samples: Registry Agreement

Payment Schedule. Registry Operator shall pay the Registry-Level Fees specified in Sections 7.2(a7.2(c) and (c)d) below, and Section 7.2(d7.2(e), if applicable, by the 20th day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN; provided, however, for the six (6) month period commencing 1 January 2006 and ending 30 June 2006 (“Initial Six Month Period”), the fees specified under Section 7.2(c) and (d), below, shall be paid in accordance with the payment schedule set forth in Section 7.2 (d), below.

Appears in 1 contract

Samples: Registry Agreement

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Payment Schedule. Registry Operator shall pay the Registry-Level Fees specified in Sections 7.2(a7.2(b) and (c)) below, and Section 7.2(d), if applicable, by the 20th day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN. The first quarterly payment of the Fixed Registry-Level Fee shall be pro- rated from the Effective Date until the end of the calendar quarter in which the Effective Date falls.

Appears in 1 contract

Samples: Sponsored TLD Registry Agreement

Payment Schedule. Registry Operator shall pay the Registry-Level Fees specified in Sections 7.2(a7.2(b) and (c)) below, and Section 7.2(d), if applicable, by the 20th day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN. The first quarterly payment of the Fixed Registry-Level Fee shall be prorated from the Effective Date until the end of the calendar quarter in which the Effective Date falls.

Appears in 1 contract

Samples: Sponsored TLD Registry Agreement

Payment Schedule. Registry Operator shall pay the Registry-Level Transaction Fees and Sync Transaction Fees specified in Sections Section 7.2(a) and (c), the Fixed Registry-Level Fees specified in Section 7.2(c), and the Variable Registry-Level Fees specified in Section 7.2(d), if applicable, by the 20th calendar day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN.

Appears in 1 contract

Samples: Registry Agreement (Verisign Inc/Ca)

Payment Schedule. Registry Operator shall pay the Registry-Registry- Level Fees specified in Sections 7.2(a7.2(c) and (c)d) below, and Section 7.2(d7.2(e), if applicable, by the 20th day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN; provided, however, for the six (6) month period commencing 1 January 2006 and ending 30 June 2006 (“I nitial Six Month Period”), the fees specified under Section 7.2(c) and (d), below, shall be paid in accordance with the payment schedule set forth in Section 7.2 (d), below.

Appears in 1 contract

Samples: Registry Agreement

Payment Schedule. Registry Operator shall pay the Registry-Level Fees specified in Sections 7.2(a) and (c), and Section 7.2(d), if applicable, ,Transaction Fee by the 20th day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN.. For the calendar quarter ending December 31, 2012, (c)

Appears in 1 contract

Samples: Registry Agreement

Payment Schedule. Registry Operator shall pay the Registry-Level Fees specified in Sections 7.2(a7.2(b) and (c)) below, and Section 7.2(d), if applicable, by the 20th day following the end of each calendar quarter (i.e., on April 20, July 20, October 20 and January 20 for the calendar quarters ending March 31, June 30, September 30 and December 31) of the year to an account designated by ICANN. The first quarterly payment of the Fixed Registry-Level Fee shall be pro- rated from the Effective Date until the end of the calendar quarter in which the Effective Date falls.

Appears in 1 contract

Samples: Sponsored TLD Registry Agreement

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