Pharmacy Set-Up Fee Sample Clauses

Pharmacy Set-Up Fee. A one-time, non-refundable Pharmacy Set-Up payment will be paid in the amount of upon completion and receipt by IQVIA of all original contractual and regulatory documentation and receipt of an invoice.
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Pharmacy Set-Up Fee. A one-time, non-refundable Pharmacy Set-Up Fee payment of will be made after signing the Agreement. Iniciální poplatek lékárny Po podpisu smlouvy bude vystavena faktura na jednorázový nevratný poplatek za přípravu lékárny ve výši Pharmacy monthly fee The monthly fee of will be paid for storage of the Investigational Product by the Institution´s pharmacy. Měsíční poplatek lékárně Měsíční poplatek ve výši bude placen za skladování Hodnoceného léčiva lékárnou Poskytovatele. Fee for dispensing the product A fee of will be paid for each individual dispensing of the Investigational Product to the Site by the pharmacy. Poplatek za výdej hodnoceného léčiva Za každý jednotlivý výdej Hodnoceného léčiva Místu provádění klinického hodnocení lékárnou bude hrazen poplatek ve výši RADIOLOGY SET-UP FEE A one-time, non-refundable Radiology Set-Up Fee payment of will be made after signing the Agreement. Iniciální poplatek PRO RADIOLOGII Po podpisu smlouvy bude vystavena faktura na jednorázový nevratný poplatek pro radiologii ve výši Record Storage Fee / Archiving Fee (25 years) The Sponsor undertakes to pay a fee of for archiving of study documentation payable after signing the Agreement. Poplatek za uchovávání / archivaci záznamů (25 LET) Zadavatel se zavazuje uhradit částku ve výši za archivaci studijních dokumentů se splatností po podpisu smlouvy. Close-Out Fee Pharmacy A one-time, non-refundable Pharmacy Close-out payment will be made upon receipt of invoice at a cost of at end of Study. Poplatek za UKONČENÍ studie – lékárna Na konci Klinického hodnocení bude uhrazen na základě přijetí faktury jednorázový nevratný ukončovací poplatek ve výši
Pharmacy Set-Up Fee. Iniciální poplatek lékárny A one-time, non-refundable Pharmacy Set-Up Fee payment of will be made after signing the Agreement. Po podpisu smlouvy bude vystavena faktura na jednorázový nevratný poplatek za přípravu lékárny ve výši Pharmacy monthly fee Měsíční poplatek lékárně The monthly fee of will be paid for Měsíční poplatek ve výši bude placen storage of the Investigational Product by the Institution´s pharmacy. za skladování Hodnoceného léčiva lékárnou Poskytovatele. Fee for dispensing the product Poplatek za výdej hodnoceného léčiva A fee of will be paid for each individual Za každý jednotlivý výdej Hodnoceného léčiva dispensing of the Investigational Product to the Site by the pharmacy. Místu provádění klinického hodnocení lékárnou bude hrazen poplatek ve výši Record Storage Fee / Archiving Fee Poplatek za uchovávání / archivaci
Pharmacy Set-Up Fee under Section O of the CTA Schedule A shall be deleted as a separate agreement with a separate Pharmacy Facility will be entered separately to provide for pharmacy fees. 3.1.1 Odstraňuje se ustanovení „Zahajovací poplatek pro lékárnu“ v bodě O Přílohy A ke Smlouvě o klinickém hodnocení, protože poplatky pro lékárnu budou stanoveny v samostatné smlouvě, která bude uzavřena s nezávislou lékárnou. Okomentoval (a) [LR1]: Která lékárna to bude? Proč ne naše nemocniční?
Pharmacy Set-Up Fee. Upon the date of Study disclosure in the public Register of Contracts, EC approval and site activation, CRO will make a one-time Pharmacy Set-Up fee payment to reimburse the Institution for pharmacy activation; the fee shall be in the amount of Payment to Institution will be made upon receipt of the corresponding invoice.
Pharmacy Set-Up Fee. A one-time, all- inclusive, payment in the amount set forth in the attached Budget for pharmacy set-up activities shall be payable to the Institution upon execution of this Agreement, receipt of IRB approval, completion of all regulatory documents and Site Initiation Visit (“SIV”), and upon the receipt, verification and processing of a undisputed invoice by Worldwide. 4.7 Poplatek za přípravu lékárny: Jednorázová paušální platba ve výši stanovené v přiloženém rozpočtu za činnosti vedoucí k přípravě lékárny budou splatné zdravotnickému zřízení po uzavření této smlouvy, získání schválení ze strany IRB, vyplnění všech dokumentů vyžadovaných kontrolními úřady a provedením návštěvy k zahájení studie na pracovišti a po přijetí, ověření a zpracování nerozporované faktury společností Worldwide.

Related to Pharmacy Set-Up Fee

  • License Fee The Licensee to shall make payment of the License Fee to Licensor on the date of this Agreement. All rights granted to Licensee by Producer in the Beat are conditional upon Licensee’s timely payment of the License Fee. The License Fee is a one-time payment for the rights granted to Licensee and this Agreement is not valid until the License Fee has been paid.

  • Distribution Assistance Fees (Asset-Based Sales Charge) Within ten (10) days of the end of each month or at such other period as deemed appropriate by the Distributor, the Fund will make payments in the aggregate amount of up to 0.75% on an annual basis of the average during the month of the aggregate net asset value of Shares computed as of the close of each business day (the “Asset-Based Sales Charge”) outstanding until such Shares are redeemed or converted to another class of shares of the Fund, provided, however, that a majority of the Independent Trustees may, but are not obligated to, set a time period (the “Fund Maximum Holding Period”) from time to time for such payments. Such Asset-Based Sales Charge payments received from the Fund will compensate the Distributor for providing distribution assistance in connection with the sale of Shares. The distribution assistance to be rendered by the Distributor in connection with the Shares may include, but shall not be limited to, the following: (i) paying sales commissions to any broker, dealer, bank or other person or entity that sells Shares, and/or paying such persons “Advance Service Fee Payments” (as defined below) in advance of, and/or in amounts greater than, the amount provided for in Section 3(b) of this Agreement; (ii) paying compensation to and expenses of personnel of the Distributor who support distribution of Shares by Recipients; (iii) obtaining financing or providing such financing from its own resources, or from an affiliate, for the interest and other borrowing costs of the Distributor's unreimbursed expenses incurred in rendering distribution assistance and administrative support services to the Fund; and (iv) paying other direct distribution costs, including without limitation the costs of sales literature, advertising and prospectuses (other than those prospectuses furnished to current holders of the Fund's shares ("Shareholders")) and state "blue sky" registration expenses.

  • Distribution Assistance Fees (Asset-Based Sales Charge) Payments In its sole discretion and irrespective of whichever alternative method of making service fee payments to Recipients is selected by the Distributor, in addition the Distributor may make distribution assistance fee payments to a Recipient quarterly, or at such other interval as deemed appropriate by the Distributor, within forty-five (45) days after the end of each calendar quarter or other period, at a rate not to exceed 0.1875% (0.75% on an annual basis) of the average during the period of the aggregate net asset value of Shares computed as of the close of each business day constituting Qualified Holdings owned beneficially or of record by the Recipient or its Customers until such Shares are redeemed or converted to another class of shares of the Fund, provided, however, that a majority of the Independent Trustees may, but are not obligated to, set a time period (the "Recipient Maximum Holding Period") for making such payments. Distribution assistance fee payments shall be made only to Recipients that are registered with the SEC as a broker-dealer or are exempt from registration. The distribution assistance to be rendered by the Recipients in connection with the sale of Shares may include, but shall not be limited to, the following: distributing sales literature and prospectuses other than those furnished to current Shareholders, providing compensation to and paying expenses of personnel of the Recipient who support the distribution of Shares by the Recipient, and providing such other information and services in connection with the distribution of Shares as the Distributor or the Fund may reasonably request.

  • Transaction Fee In connection with the creation or redemption of Creation Units, the Transfer Agent shall charge, and the Participant agrees to pay to the Transfer Agent, the Transaction Fee prescribed in the Prospectus and such additional amounts as may be prescribed pursuant to the Prospectus. Such Transaction Fee and additional amounts, if any, shall be included in the calculation of the Cash Component or Cash Redemption Amount payable or to be received, as the case may be, by the Participant in connection with the creation or redemption order.

  • Processing Fee At the time each Advance is made, Borrower shall pay to Lender the Processing Fee with respect to such Advance.

  • Monthly Fee The fee for the parking spaces shall be $ per month for parking space(s). each all

  • Distribution Fee The distribution fee payable to the Dealer Manager as additional compensation for serving as the dealer manager for the Offering and reallowable to Soliciting Dealers with respect to Shares sold by them, as described in the Corporation’s Prospectus.

  • PAYMENT OF REFERRAL FEE For each Referred Client, Recipient Broker/Agent shall pay Xxxx.xxx 35% of the gross compensation earned on the referred side in connection with the sale and purchase of real property by such Referred Client if closing occurs within 18 months after the date Xxxx.xxx identified via the monthly report, agent portal and/or placed such Referred Client to Recipient Agent, and the property closed with Recipient Agent (a “Referral Fee”). In the event Recipient Broker/Agent provides the Referred Clients information to another Agent in the brokerage and the Referred Client closes with that Agent, a Referral Fee will be due and that agent shall also be considered a Recipient Agent for the purposes of this Agreement. In the event the Recipient Broker/Agent is an active client of XXXX.xxx’s “Guaranteed Display” featured agent program at the time of the property closing, the applicable referral will be 30%. Recipient Broker/Agent shall either (i) direct the escrow/closing agent to pay the Referral Fee to Xxxx.xxx at closing or (ii) pay the Referral Fee directly to Xxxx.xxx within 15 calendar days of closing.

  • Technology Access Fee After the Effective Date, within [***] days after receipt of the corresponding invoice from Mersana, Merck will pay to Mersana, a one-time, non-refundable, non-creditable, upfront fee of Twelve Million Dollars ($12,000,000.00) (the “Technology Access Fee”). Payment of the Technology Access Fee shall be subject to any withholding Tax obligations set forth in Section 6.9.1.

  • Payments from the Gross Settlement Amount Within 14 days after Defendants fund the Gross Settlement Amount, the Administrator will mail checks for all Individual Class Payments, all Individual PAGA Payments, the LWDA PAGA Payment, the Administration Expenses Payment, the Class Counsel Fees Payment, the Class Counsel Litigation Expenses Payment, and the Class Representative Service Payment. Disbursement of the Class Counsel Fees Payment, the Class Counsel Litigation Expenses Payment and the Class Representative Service Payment shall not precede disbursement of Individual Class Payments and Individual PAGA Payments. 4.4.1. The Administrator will issue checks for the Individual Class Payments and/or Individual PAGA Payments and send them to the Class Members via First Class U.S. Mail, postage prepaid. The face of each check shall prominently state the date (not less than 180 days after the date of mailing) when the check will be voided. The Administrator will cancel all checks not cashed by the void date. The Administrator will send checks for Individual Settlement Payments to all Participating Class Members (including those for whom Class Notice was returned undelivered). The Administrator will send checks for Individual PAGA Payments to all Aggrieved Employees including Non-Participating Class Members who qualify as Aggrieved Employees (including those for whom Class Notice was returned undelivered). The Administrator may send Participating Class Members a single check combining the Individual Class Payment and the Individual PAGA Payment. Before mailing any checks, the Settlement Administrator must update the recipients’ mailing addresses using the National Change of Address Database. 4.4.2. The Administrator must conduct a Class Member Address Search for all other Class Members whose checks are retuned undelivered without USPS forwarding address. Within 7 days of receiving a returned check the Administrator must re-mail checks to the USPS forwarding address provided or to an address ascertained through the Class Member Address Search. The Administrator need not take further steps to deliver checks to Class Members whose re-mailed checks are returned as undelivered. The Administrator shall promptly send a replacement check to any Class Member whose original check was lost or misplaced, requested by the Class Member prior to the void date. 4.4.3. For any Class Member whose Individual Class Payment check or Individual PAGA Payment check is uncashed and cancelled after the void date, the Administrator shall transmit the funds represented by such checks to the California Controller's Unclaimed Property Fund in the name of the Class Member thereby leaving no "unpaid residue" subject to the requirements of California Code of Civil Procedure Section 384, subd. (b). 4.4.4. The payment of Individual Class Payments and Individual PAGA Payments shall not obligate Defendants to confer any additional benefits or make any additional payments to Class Members (such as 401(k) contributions or bonuses) beyond those specified in this Agreement.

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