PAYMENTS TO BIOREX Sample Clauses

PAYMENTS TO BIOREX. 11 6. CONFIDENTIALITY.......................................................................................17 7. INDEMNITY.............................................................................................19 8.
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PAYMENTS TO BIOREX. Biorex Fees ----------- 7.1 Subject to Clause 2.3 of the Canada-Mexico Agreement Glycyx shall pay to Biorex [*] received by Glycyx. The share of Initial License Fees payable to Biorex under this Section 7.1 shall be referred to in this Agreement as "Biorex Fees". It is understood that Glycyx may permit Sublicensees to credit [*] against other amounts owing to Glycyx under the Sublicense, provided that such credits are taken within the first [*] after Commercial Introduction of the applicable Product by the Sublicensee. Profit Sharing -------------- 7.2 In addition to the Biorex Fees to be paid to Biorex under 7.1 above and subject to Clause 7.3, Glycyx shall pay to Biorex [*] from the sale of Supplies for consumption in countries within the Territory. The share of the Profit payable to Biorex under this Section 7.2 shall be referred to in this Agreement as "Biorex Profit". Biorex Profit shall [*] CERTAIN INFORMATION ON THIS PAGE HAS BEEN OMITTED AND FILED SEPARATELY WITH THE SECURITIES AND EXCHANGE COMMISSION. CONFIDENTIAL TREATMENT HAS BEEN REQUESTED WITH RESPECT TO THE OMITTED PORTIONS. be paid to Biorex quarterly in accordance with Sections 8.1 and 9.1 below, on the basis of unaudited financial statements of Glycyx for the applicable quarter. However, the payment to Biorex for the final quarter of a Glycyx fiscal year shall be made on the basis of Glycyx's audited financial statements for such fiscal year, and such payment shall be adjusted for the difference between the Profit as calculated during the year and as reflected in such audited financial statements. Notwithstanding Section 8.1 below, the Report and payment due under this Section 7.2 for the final quarter of a Glycyx fiscal year shall not be due until ninety (90) days after the end of such quarter. Sublicensee Retentions ---------------------- 7.3 Where Development Payments are made by a Sublicensee, Glycyx may allow that Sublicensee to credit a proportion of such Development Payments [*] against amounts owing to Glycyx under the Sublicense. Such amounts credited in any quarter period shall be referred to in this Agreement as "Sublicensee Retention". In such cases:- (a) For the purpose of Clause 7.2 the term "Profit" shall mean the Profit (as defined in Section 1.16) plus the Sublicensee Retention, and Biorex Profit shall be calculated accordingly.
PAYMENTS TO BIOREX 

Related to PAYMENTS TO BIOREX

  • Payments to Owner Section 4.01 Remittances...................................................29 Section 4.02 Statements to Owner...........................................29 Section 4.03 Monthly Advances by Servicer..................................30 Section 4.04 Due Dates Other Than the First of the Month...................30 ARTICLE V

  • Payments to Agent A payment by the Borrower to the Agent hereunder or any of the other Loan Documents for the account of any Bank shall constitute a payment to such Bank. The Agent agrees promptly to distribute to each Bank such Bank's pro rata share of payments received by the Agent for the account of the Banks except as otherwise expressly provided herein or in any of the other Loan Documents.

  • Payments to Lenders If a Lender (a “Recovering Lender”) receives or recovers any amount from the Borrower other than in accordance with Clause 27 (Payment mechanics) and applies that amount to a payment due under the Financing Documents then: (a) the Recovering Lender shall, within 3 Business Days, notify details of the receipt or recovery, to the Facility Agent; (b) the Facility Agent shall determine whether the receipt or recovery is in excess of the amount the Recovering Lender would have been paid had the receipt or recovery been received or made by the Facility Agent and distributed in accordance with Clause 27 (Payment mechanics), without taking account of any Tax which would be imposed on the Facility Agent in relation to the receipt, recovery or distribution; and (c) the Recovering Lender shall, within three Business Days of demand by the Facility Agent, pay to the Facility Agent an amount (the “Sharing Payment”) equal to such receipt or recovery less any amount which the Facility Agent determines may be retained by the Recovering Lender as its share of any payment to be made, in accordance with Clause 27.5 (Partial payments).

  • PAYMENTS TO PURCHASER 52 ARTICLE VI....................................................................54

  • Payments to Finance Parties If a Finance Party (a “Recovering Finance Party”) receives or recovers any amount from an Obligor other than in accordance with Clause 28 (Payment mechanics) (a “Recovered Amount”) and applies that amount to a payment due under the Finance Documents then: (a) the Recovering Finance Party shall, within three (3) Business Days, notify details of the receipt or recovery to the Agent; (b) the Agent shall determine whether the receipt or recovery is in excess of the amount the Recovering Finance Party would have been paid had the receipt or recovery been received or made by the Agent and distributed in accordance with Clause 28 (Payment mechanics), without taking account of any Tax which would be imposed on the Agent in relation to the receipt, recovery or distribution; and (c) the Recovering Finance Party shall, within three (3) Business Days of demand by the Agent, pay to the Agent an amount (the “Sharing Payment”) equal to such receipt or recovery less any amount which the Agent determines may be retained by the Recovering Finance Party as its share of any payment to be made, in accordance with Clause 28.6 (Partial payments).

  • Payments to the Distributor In consideration of the payments made by the Fund to the Distributor under this Plan, the Distributor shall provide administrative support services and distribution assistance services to the Fund. Such services include distribution assistance and administrative support services rendered in connection with Shares (1) sold in purchase transactions, (2) issued in exchange for shares of another investment company for which the Distributor serves as distributor or sub-distributor, or (3) issued pursuant to a plan of reorganization to which the Fund is a party. If the Board believes that the Distributor may not be rendering appropriate distribution assistance or administrative support services in connection with the sale of Shares, then the Distributor, at the request of the Board, shall provide the Board with a written report or other information to verify that the Distributor is providing appropriate services in this regard. For such services, the Fund will make the following payments to the Distributor:

  • Payments to the Company Except as provided in Section 3 hereof, after the Trust has become irrevocable, the Company shall have no right or power to direct the Trustee to return to the Company or to divert to others any of the Trust assets before all payments of benefits have been made to Plan participants and their beneficiaries pursuant to the terms of the Plans.

  • Payments to Company Except as provided in Section 3 hereof, after the Trust has become irrevocable, Company shall have no right or power to direct Trustee to return to Company or to divert to others any of the Trust assets before all payment of benefits have been made to Plan participants and their beneficiaries pursuant to the terms of the Plan.

  • Payments to Be Free and Clear All sums payable by or on behalf of any Credit Party hereunder and under the other Credit Documents shall (except to the extent required by law) be paid free and clear of, and without any deduction or withholding on account of, any Tax.

  • Payments to Third Parties Xxxxxxx agrees that Grantor shall have no liability to Grantee when Grantor acts in good faith to redirect all or a portion of any Grantee payment to a third party. Grantor will be deemed to have acted in good faith when it is in possession of information that indicates Grantee authorized Grantor to intercept or redirect payments to a third party or when so ordered by a court of competent jurisdiction.

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