Potential Conflicts of Interest and Disclosure Sample Clauses

Potential Conflicts of Interest and Disclosure. 13.1. The Manager may provide similar services or any other services whatsoever to any other client and shall not in any circumstance be required to account to the Investor for any profits earned in connection therewith. So far as is deemed practicable the Manager will use all reasonable endeavors to ensure fair treatment as between the Investor and other clients in compliance with the FCA Rules. The Manager has in place a conflict of interest policy (the Conflict Policies) pursuant to the FCA Rules, which sets out how it identifies and manages conflicts of interest.
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Potential Conflicts of Interest and Disclosure. 15.1. The Investment Manager may:
Potential Conflicts of Interest and Disclosure. 13.1. Xxxxxx Solutions or Associates of Xxxxxx Group may provide accountancy, business advisory and corporate finance advisory services to some of the Investee Companies prior to and during the course of your Investment therein through the Fund. It may be the case that some of the Investee Companies are existing clients of Xxxxxx Solutions or its Associates. Notwithstanding, any pre-existing relationship with prospective Investee Companies, the Fund will only invest in companies which Xxxxxx genuinely believes meet the Investment Objective set out in schedule 1.
Potential Conflicts of Interest and Disclosure. 13.1 The Fund Manager shall maintain and operate effective organisational and administrative arrangements with a view to taking all reasonable steps to prevent conflicts of interest from constituting or giving rise to damage to the interests of the Investor.
Potential Conflicts of Interest and Disclosure. (a) It is understood by the Fund that the Sub-Adviser and its officers and affiliates may serve as non-discretionary and discretionary investment managers for other clients, and nothing in this Agreement shall in any way be deemed to restrict the right of the Sub-Adviser and its officers and affiliates to perform such investment management or investment advisory or other services for any other person or entity, and the performance of such services for others shall not be deemed to violate or give rise to any duty or obligation to the Fund or the Adviser.
Potential Conflicts of Interest and Disclosure. 13.1. The Investment Manager may provide similar or other services to any other client and shall not in any circumstance be required to account to the Investor for any profits earned in connection therewith. So far as is deemed practicable it will use all reasonable endeavours to ensure fair treatment as between the Investor and other clients in compliance with the FCA Rules. The Investment Manager has in place a conflict of interest policy (the “Conflicts Policy”) pursuant to the FCA Rules which sets out how it identifies and manages conflicts of interest. Under the Conflicts Policy, the Investment Manager is required to take all reasonable steps to identify conflicts of interest between: computer service or systems, the Investment Manager shall not be liable or have any responsibility of any kind to any loss or damage thereby incurred or suffered by the Investor.
Potential Conflicts of Interest and Disclosure. 13.1 This Clause 13 list of potential conflicts of interest is not intended to be comprehensive.
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Potential Conflicts of Interest and Disclosure. 13.1. The Manager and the Investment Advisor may each provide similar services or any other services what- soever to any other client and shall not in any circumstance be required to account to the Investor for any profits earned in connection therewith. So far as is deemed practicable the Manager and the In- vestment Advisor will each use all reasonable endeavors to ensure fair treatment as between the In- vestor and other clients in compliance with the FCA Rules. The Manager and the Investment Advisor separately have in place a conflict of interest policy (the Conflict Policies) pursuant to the FCA Rules, which sets out how it identifies and manages conflicts of interest.
Potential Conflicts of Interest and Disclosure. 13.1. The Fund Manager and its Associates may:
Potential Conflicts of Interest and Disclosure. 12.1. The Portfolio Manager and its Associates may:
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