Purchase Units Sample Clauses

Purchase Units. The following Purchase Units apply to ARRC Pharmacy Services. Purchase Units are defined in the Ministry of Health’s data dictionary and correspond to the relevant services and payment terms specified in Schedule H1. PH1029 ARRC Pharmacy Services PH1002 Extemporaneously Compounded Preparations Services PH1004 Named Patient Pharmaceutical Assessment (NPPA) Services A (Pharmaceuticals on the Pharmaceutical Schedule) PH1005 Named Patient Pharmaceutical Assessment (NPPA) Services B (Pharmaceuticals not on the Pharmaceutical Schedule) PH1006 Class B Controlled Drug Services (including Pharmacy Methadone Services for Opioid Dependence) PH1008 Pharmacy Clozapine Services (Monitored Therapy Medicine Services) PH1010 Aseptic Pharmacy Services PH1025 Sterile Manufacturing Services PH1003 Special Foods Services PH1031 Community Pharmacy Anti-coagulation Management Services You may claim for the following Services if these are listed in Schedule C1, Clause C2: Pharmacy Methadone Services for Opioid Dependence (Class B Controlled Drug Services) Pharmacy Clozapine Services (Monitored Therapy Medicine Services) Aseptic Pharmacy Services Sterile Manufacturing Services Special Foods Services Community Pharmacy Anti-coagulation Management Services
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Purchase Units. The following Purchase Unit applies to Sterile Manufacturing Services. Purchase Units are defined in the Ministry of Health’s data dictionary and correspond to the relevant services and payment terms specified in Schedule H1.
Purchase Units. The Purchase Unit for Pharmacy Methadone Services for Opioid Dependence (Class B Controlled Drug Services) is the same as the Purchase Unit for Class B Controlled Drug Services in the service specification for Core Pharmacy Services. Purchase Units are defined in the Ministry of Health's data dictionary and correspond to the relevant services and payment terms specified in Schedule H1.
Purchase Units. The following Purchase Unit applies to Special Foods Infant Formulae Services. Purchase Units are defined in the Ministry of Health’s data dictionary and correspond to the relevant services and payment terms specified in Schedule H1.
Purchase Units. Home Based Support Services will be purchased according to levels of need as assessed by the Needs Assessment Service Co-ordination agency. The following purchase units apply to this service; DSS1009 Household Management Hourly DSS1010 Personal Care Hourly DSS1010 Night Relief (Personal Care) Sleepover (up to 12 hrs)
Purchase Units. When purchasing units for your battle, you first MUST start by buying a Formation. Until you buy a Formation, most of the choices and functions of the Purchase Screen remain inaccessible. Formations are a very important concept to both gameplay (which is not directly relevant here in the Editor chapter) and scenario making. Most of Combat Mis- sion’s formations are based on authentic historical Tables of Organization and Equipment (TO&E) for the various forces used in the game. Every single individual unit belongs to a single formation, which in turn may (or may not) be a part of another formation. A formation isn’t a unit itself, rather just a container for either units or other formations. For example, a Rifle Squad is a unit typically found in a Platoon formation, which itself usually belongs to a Company formation. After you purchase a formation you can then “delete” the specific units/formations you don’t want. This might seem a backwards way to do things, but really it is quite necessary. If you bought units on their own they would have no formational context. Since such context is very important to gameplay and realism you’d then have to go through a complicated process of attaching units to each other, possibly in ways they never would be in real life. Therefore, it is much easier to start with the correct formations attached to each other and simply toss aside the units and formations you don’t want.‌ All units are organized by Force type and then secondarily to a specific Branch of that Force (e.g. US Armored Infantry, German Panzergrenadiere, etc.). When you select a Force, a list of the available Branches appears below. Selecting one of these shows what the Available Troops are for that particular Branch. You are allowed to mix and match units from Forces and Branches as much as you like, no matter how unrealistic it may be in real life. Note: for Quick Battles, the Purchase Screen does im- pose certain restrictions with regard to the available forces. Each line under Available Forces represents a unique, purchasable formation. At first glance there doesn’t appear to be many choices since you initially see just the tip of the iceberg. Next to every formation name is a small + icon which allows you to “expand” it to show attached formations and units. By default, all formations start out “collapsed” in order to minimize the amount of space used in the display. To expand a formation, all you have to do is click on the “+” icon. Once expanded, the...
Purchase Units. The following Purchase Unit applies to Service Development Services. Purchase Units are defined in the Ministry of Health’s data dictionary and correspond to the relevant services and payment terms specified in Schedule H1. COPH0002 Service Development
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Purchase Units. The following Purchase Units apply to Base Pharmacy Services. Purchase Units are defined in the Ministry of Health’s data dictionary and correspond to the relevant services and payment terms specified in Schedule H1. PH1001 Base Pharmacy Services PH1002 ECP Services PH1004 Exceptional Circumstances Services A (Pharmaceuticals on the Pharmaceutical Schedule) PH1005 Exceptional Circumstances Services B (Pharmaceuticals not on the Pharmaceutical Schedule) PH1006 Class B Controlled Drug Services
Purchase Units. The following Purchase Unit applies to Aseptic Pharmacy Services Purchase Units are defined in the Ministry of Health’s data dictionary and correspond to the relevant services and payment terms specified in Schedule H1.

Related to Purchase Units

  • Units Interests in the Partnership shall be represented by Units. The Units initially are comprised of one Class: Class A Units. The General Partner may establish, from time to time in accordance with such procedures as the General Partner shall determine from time to time, other Classes, one or more series of any such Classes, or other Partnership securities with such designations, preferences, rights, powers and duties (which may be senior to existing Classes and series of Units or other Partnership securities), as shall be determined by the General Partner, including (i) the right to share in Profits and Losses or items thereof; (ii) the right to share in Partnership distributions; (iii) the rights upon dissolution and liquidation of the Partnership; (iv) whether, and the terms and conditions upon which, the Partnership may or shall be required to redeem the Units or other Partnership securities (including sinking fund provisions); (v) whether such Unit or other Partnership security is issued with the privilege of conversion or exchange and, if so, the terms and conditions of such conversion or exchange; (vi) the terms and conditions upon which each Unit or other Partnership security will be issued, evidenced by certificates and assigned or transferred; (vii) the method for determining the Total Percentage Interest as to such Units or other Partnership securities; and (viii) the right, if any, of the holder of each such Unit or other Partnership security to vote on Partnership matters, including matters relating to the relative designations, preferences, rights, powers and duties of such Units or other Partnership securities. Except as expressly provided in this Agreement to the contrary, any reference to “Units” shall include the Class A Units and any other Classes that may be established in accordance with this Agreement. All Units of a particular Class shall have identical rights in all respects as all other Units of such Class, except in each case as otherwise specified in this Agreement.

  • Purchase of Units On the basis of the representations and warranties herein contained, but subject to the terms and conditions herein set forth, the Company agrees to issue and sell to the several Underwriters, severally and not jointly, an aggregate of 20,000,000 units of the Company (the “Firm Units”) at a purchase price (net of discounts and commissions) of $9.80

  • Additional Units The General Partner may from time to time in its sole and absolute discretion admit any Person as an additional Limited Partner of the Partnership (each such Person, if so admitted, an “Additional Limited Partner” and, collectively, the “Additional Limited Partners”). A Person shall be deemed admitted as a Limited Partner at the time such Person (i) executes this Agreement or a counterpart of this Agreement and (ii) is named as a Limited Partner in the books of the Partnership. Each Substitute Limited Partner shall be deemed an Additional Limited Partner whose admission as an Additional Limited Partner has been approved in writing by the General Partner for all purposes hereunder. Subject to the satisfaction of the foregoing requirements and Sections 4.1(c) and 10.2(b), the General Partner is hereby expressly authorized to cause the Partnership to issue additional Units for such consideration and on such terms and conditions, and to such Persons, including the General Partner, any Limited Partner or any of their Affiliates, as shall be established by the General Partner in its sole and absolute discretion, in each case without the approval of any other Partner or any other Person. Without limiting the foregoing, but subject to Sections 4.1(c) and 10.2(b), the General Partner is expressly authorized to cause the Partnership to issue Units (A) upon the conversion, redemption or exchange of any debt or other securities issued by the Partnership, (B) for less than fair market value or no consideration, so long as the General Partner concludes that such issuance is in the best interests of the Partnership and its Partners, and (C) in connection with the merger of any other Person into the Partnership if the applicable merger agreement provides that Persons are to receive Units in exchange for their interests in the Person merging into the Partnership. The General Partner is hereby expressly authorized to take any action, including without limitation amending this Agreement without the approval of any other Partner, to reflect any issuance of additional Units. Subject to Sections 4.1(c) and 10.2(b), additional Units may be Class A Common Units, Class B Common Units or other Units.

  • Common Units The capital structure of the Company shall consist of one class of common interests (the "Common Units"). The Company shall have authority to issue one thousand (1,000) Common Units. Each Common Unit shall have one vote and shall otherwise be identical with each other Common Unit in every respect.

  • Option Units The Representative is hereby granted an option (the “Over-allotment Option”) to purchase up to an additional 1,500,000 units (the “Option Units”), the gross proceeds of which will be deposited in the Trust Account, for the purposes of covering any over-allotments in connection with the distribution and sale of the Firm Units. Such Option Units shall be identical in all respects to the Firm Units. Such Option Units shall be purchased for each account of the several Underwriters in the same proportion as the number of Firm Units, set forth opposite such Underwriter’s name on Schedule A hereto, bears to the total number of Firm Units (subject to adjustment by the Representative to eliminate fractions). The Firm Units and the Option Units are hereinafter collectively referred to as the “Units,” and the Units, the shares of Common Stock and Warrants included in the Units, and the shares of Common Stock issuable upon exercise of the Warrants are hereinafter referred to collectively as the “Public Securities.” No Option Units shall be sold or delivered unless the Firm Units previously have been, or simultaneously are, sold and delivered. The right to purchase the Option Units, or any portion thereof, may be exercised from time to time and to the extent not previously exercised may be surrendered and terminated at any time upon notice by the Representative to the Company. The purchase price to be paid for each Option Unit will be the same price per Firm Unit set forth in Section 1.1.1 hereof.

  • Membership Units The Company is initially organized with One (1) class of Membership Interests, designated in Units, which Units are initially the only class of equity in the Company. The Units shall have no par value and shall be of a single class with identical rights. The Company shall have a first lien on the Units of any Member for any debt or liability owed by such Member to the Company. Additional and different classes of Membership Interests represented by different Units may be created and issued to new or existing Members on such terms and conditions as the Governors may determine. Such additional and different classes may have different rights, powers and preferences (including, without limitation, voting rights and distribution preferences), which may be superior to those of existing Members. Members shall have no preemptive rights to acquire additional or newly created Units.

  • Restricted Share Units Restricted Share Units means Restricted Share Units granted to Participant under the Plan subject to such terms and conditions as the Committee may determine at the time of issuance.

  • Class B Units Class B Unitholders shall not be entitled to vote in any matters relating to the Company, unless otherwise reserved to the Members by the Act. In addition to the other rights and obligations of Class B Unitholders hereunder, Class B Units shall entitle the holder of such Class B Units to (i) Tax Distributions pursuant to Section 4.01(b), and (ii) a preferred return equal to the Class B Preferred Return Amount. The Class B Preferred Return Amount shall not be required to be paid annually but shall accrue and become payable at the earlier of (x) the fifth (5th) anniversary of the Effective Time, or (y) a liquidation of, or a taxable sale of substantially all of the assets of, the Company. Upon the occurrence of an event referenced in clause (y) above, each Class B Unitholder shall also be paid such Class B Unitholder’s Class B Preferred Return Base Amount, in addition to all of the outstanding, accrued and unpaid Class B Preferred Return Amount. On the seventh (7th) anniversary of the Effective Time, each Class B Unitholder may, at its option and in accordance with the notice and other procedural provisions set forth in Section 11.01(a) (the “7 Year Put Option”), sell all (but not less than all) of its Class B Units to the Company for an amount equal to such Class B Unitholder’s Class B Preferred Return Base Amount plus any outstanding and accrued Class B Preferred Return Amount of such Class B Unitholder (the “Class B Option Consideration”) and, upon the exercise of the 7 Year Put Option by any Class B Unitholder, the Company shall purchase all of such holder’s Class B Units for the Class B Option Consideration. Notwithstanding anything herein to the contrary, no Class B Preferred Return Amount shall be due and payable with respect to such Class B Units pursuant this Section 3.02(b) at such time or times specified in this Section 3.02(b) unless such Class B Units remain issued and outstanding at such time or times and no Redemption or Direct Exchange of such Class B Units described in Article XI hereof has occurred.

  • New Purchase Options to Be Issued 4.1 Partial Exercise or Transfer. Subject to the restrictions in Section 3 hereof, this Purchase Option may be exercised or assigned in whole or in part. In the event of the exercise or assignment hereof in part only, upon surrender of this Purchase Option for cancellation, together with the duly executed exercise or assignment form and funds sufficient to pay any Exercise Price and/or transfer tax, the Company shall cause to be delivered to the Holder without charge a new Purchase Option of like tenor to this Purchase Option in the name of the Holder evidencing the right of the Holder to purchase the number of Units purchasable hereunder as to which this Purchase Option has not been exercised or assigned.

  • The Units The Units to be issued and sold by the Company hereunder have been duly authorized by the Company and, when issued and delivered and paid for as provided herein, will be duly and validly issued, will constitute valid and legally binding obligations of the Company enforceable against the Company in accordance with their terms, except as enforceability may be limited by applicable bankruptcy, insolvency or similar laws affecting the enforcement of creditors’ rights generally or by equitable principles relating to enforceability, and will conform to the descriptions thereof in the Registration Statement, the Pricing Disclosure Package and the Prospectus; and the issuance of the Units is not subject to any preemptive or similar rights.

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