Personal Information Protection Policy Sample Clauses

Personal Information Protection Policy. INTRODUCTION 1. the way in which Wawanesa collects, uses, discloses and protects personal information; and 2. the right of Customers to have access to personal information about themselves and, if necessary, to have the information corrected. The Company strives to balance its Customers' right of privacy concerning their personal information with its own need to collect, use or disclose personal information in the course of its business. The ten interrelated principles set out in PIPEDA (the “Privacy Principles”) form the basis of this Policy. Each principle is accompanied by a commentary that elaborates on the principle. To the extent that this Policy a. conflicts with the Privacy Laws or other applicable legislation, the provisions of such legislation shall prevail; or b. omits any rights or obligations of either the Company or its Customers under the Privacy Laws or other applicable legislation, such provisions are deemed to be incorporated into this Policy.
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Personal Information Protection Policy. Precise ParkLink (West) Ltd. is committed to safeguarding the personal information entrusted to us by our clients. This policy outlines the principles and practices we follow in protecting your personal information as it relates to the following business activities:
Personal Information Protection Policy. TAKEOFF Gold Coast collects and uses the personal information of our customers for specific purposes, and does not collect or use any more personal information than is needed.
Personal Information Protection Policy. We take the protection of your personal information very seriously and have developed a specific Personal Information Protection Policy. Please make sure you read it before you use the website and services we provide.

Related to Personal Information Protection Policy

  • Personal Information 23.1 Subject to any applicable laws, the Licensee authorises XXXXX to: 23.1.1 use any Personal Information that SAMRO for the purposes of processing, executing and administering the Agreement; calculating Licence Fees; collecting the Licence Fees; 23.1.2 informing the Licensee of any SAMRO news and information or information relating to the Agreement; 23.1.3 informing the Licensee of any amendment, Tariff amendment or General Amendment to this Agreement. 23.1.4 access the Licensees Personal Information from credit bureaux relating to the Licensees payment profile for purposes of financial risk assessment, fraud prevention and debtor tracing and that we may disclose the necessary Personal Information to any such credit bureaux. 23.1.5 obtain, capture store, process, analyse and use the Licensees personal information for SAMRO marketing purposes in relation to XXXXX’s business of managing its Repertoire.

  • PERSONAL INFORMATION PRIVACY AND SECURITY CONTRACT 11 Any reference to statutory, regulatory, or contractual language herein shall be to such language as in 12 effect or as amended. 13 A. DEFINITIONS

  • Protection of Personal Information Party agrees to comply with all applicable state and federal statutes to assure protection and security of personal information, or of any personally identifiable information (PII), including the Security Breach Notice Act, 9 V.S.A. § 2435, the Social Security Number Protection Act, 9 V.S.A. § 2440, the Document Safe Destruction Act, 9 V.S.A. § 2445 and 45 CFR 155.260. As used here, PII shall include any information, in any medium, including electronic, which can be used to distinguish or trace an individual’s identity, such as his/her name, social security number, biometric records, etc., either alone or when combined with any other personal or identifiable information that is linked or linkable to a specific person, such as date and place or birth, mother’s maiden name, etc.

  • Nonpublic Personal Information Notwithstanding any provision herein to the contrary, the Sub-Adviser agrees on behalf of itself and its directors, shareholders, officers, and employees (1) to treat confidentially and as proprietary information of the Adviser and the Trust (a) all records and other information relative to each Fund’s prior, present, or potential shareholders (and clients of said shareholders) and (b) any Nonpublic Personal Information, as defined under Section 248.3(t) of Regulation S-P (“Regulation S-P”), promulgated under the Gxxxx-Xxxxx-Xxxxxx Act (the “G-L-B Act”), and (2) except after prior notification to and approval in writing by the Adviser or the Trust, not to use such records and information for any purpose other than the performance of its responsibilities and duties hereunder, or as otherwise permitted by Regulation S-P or the G-L-B Act, and if in compliance therewith, the privacy policies adopted by the Trust and communicated in writing to the Sub-Adviser. Such written approval shall not be unreasonably withheld by the Adviser or the Trust and may not be withheld where the Sub-Adviser may be exposed to civil or criminal contempt or other proceedings for failure to comply after being requested to divulge such information by duly constituted authorities.

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