Retail Distribution Sample Clauses

Retail Distribution. The Companies will be responsible for (i) metering, billing and delivery with respect to XXXX Customers (and the XXXX Supplier will have no responsibility with respect thereto) and (ii) distribution services (and the XXXX Supplier will have no responsibility with respect thereto).
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Retail Distribution. The Companies will be responsible for (i) metering, billing and delivery with respect to SSO Customers (and SSO Suppliers will have no responsibility with respect thereto) and (ii) distribution services (and SSO Suppliers will have no responsibility with respect thereto).
Retail Distribution. AES Ohio will be responsible for (i) metering, billing and delivery with respect to SSO Customers (and SSO Suppliers will have no responsibility with respect thereto) and (ii) distribution services (and SSO Suppliers will have no responsibility with respect thereto).
Retail Distribution. ‌ DP&L will be responsible for (i) metering, billing and delivery with respect to XXXX Customers (and the XXXX Supplier will have no responsibility with respect thereto) and (ii) distribution services (and the XXXX Supplier will have no responsibility with respect thereto).
Retail Distribution. (i) During the Term Artemis or its designated Affiliate, shall be the exclusive distributor through all retail channels and all means of exploitation in the United States of all Records derived from Company Masters released by Company (collectively, the "Products"). During each month, Company shall be accounted to by Artemis or its designated Affiliate with respect to "Net Xxxxxxxx" (which, for purposes of this agreement, shall mean gross xxxxxxxx less returns and credits) of the Products distributed hereunder in such applicable month, after deduction of the distribution fee charged to Artemis by its distributor, a reasonable reserve against returns (but not to exceed reserves being held by Artemis' distributor), and any other costs (e.g., co-op advertising costs) paid by Artemis on Company's behalf, all of which Artemis shall have the right to retain from Net Xxxxxxxx prior to accounting to Company.
Retail Distribution. 1.1 Subject to the terms andconditions hereof, the Company shall engage LIV to retail its products in the Territory and act as a fulfillment partner for all online sates of the Company's website xxxxxx.xxx. Furthermore, LIV will act as retail partner With the Company in storefront locations in the Territory. In addition, Company shall advise and assist on technology matters of its online retail platform and website and other retail customer service concerns with regards to the products of the Company sold online;
Retail Distribution. 20 10.20 Periodic Review of Scheduling Procedures..............................20 Exhibit A - Definitions......................................................A-1 MEMBER TRANSMISSION SERVICE AGREEMENT THIS MEMBER TRANSMISSION SERVICE AGREEMENT, dated as of March 1, 1997 (together with permitted amendments hereto, this "Agreement"), is entered into by and between Georgia Transmission Corporation (An Electric Membership Corporation), an electric membership corporation organized and existing under the laws of the State of Georgia ("GTC"), and Oglethorpe Power Corporation (An Electric Membership Generation & Transmission Corporation), an electric membership corporation organized and existing under the laws of the State of Georgia (the "Transmission Customer" or "OPC").
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Retail Distribution. GTC shall not, without the consent of the Transmission Customer, voluntarily provide transmission service directly to retail customers within the Transmission Customer's assigned geographic area (if any) established in accordance with the Georgia Territorial Electric Service Act, as such statute may be amended or replaced (i) if such service is to deliver capacity or energy for the retail customer's own use and (ii) if FERC could not order such service as the result of Section 212(b)(2) of the Federal Power Act. GTC may, however, provide such service if it is otherwise required by state or federal law or is provided to an electric utility, as defined in the Federal Power Act, for such utility's own use. GTC shall be deemed in compliance with this Section 10.19 if it acts in reliance upon an opinion of its counsel to the effect that GTC is required by law to provide the service in question or the service in question is not a violation of this Section 10.19.
Retail Distribution. The Dayton Power and Light Company will be responsible for (i) metering, billing and delivery with respect to SSO Customers (and SSO Suppliers will have no responsibility with respect thereto) and (ii) distribution services (and SSO Suppliers will have no responsibility with respect thereto).

Related to Retail Distribution

  • Final Distribution The liquidator will distribute any assets remaining after the discharge or accommodation of the Company’s debts, obligations and liabilities to the Member.

  • Liquidating Distribution As soon as is reasonably practicable after the Closing, the Acquired Fund will make a liquidating distribution to Acquired Fund Shareholders consisting of the Acquiring Fund Shares received at the Closing.

  • Cash Distributions Whenever the Company intends to make a distribution of a cash dividend or other cash distribution, the Company shall give notice thereof to the Depositary at least twenty (20) days (or such other number of days as the Depositary and the Company may from time to time agree to) prior to the proposed distribution specifying, inter alia, the record date applicable for determining the holders of Deposited Securities entitled to receive such distribution. Upon the timely receipt of such notice, the Depositary shall establish an ADS Record Date upon the terms described in Section 4.9. Upon receipt of confirmation from the Custodian of the receipt of any cash dividend or other cash distribution on any Deposited Securities, or upon receipt of proceeds from the sale of any Deposited Securities or any other entitlements held in respect of Deposited Securities under the terms hereof, the Depositary will (i) if at the time of receipt thereof any amounts received in a Foreign Currency can, in the judgment of the Depositary (pursuant to Section 4.8), be converted on a practicable basis into Dollars transferable to the United States, promptly convert or cause to be converted such cash dividend, distribution or proceeds into Dollars (on the terms described in Section 4.8), (ii) if applicable and unless previously established, establish the ADS Record Date upon the terms described in Section 4.9, and (iii) distribute promptly the amount thus received (net of (a) the applicable fees and charges of, and expenses incurred by, the Depositary and (b) taxes withheld) to the Holders entitled thereto as of the ADS Record Date in proportion to the number of ADSs held as of the ADS Record Date. The Depositary shall distribute only such amount, however, as can be distributed without attributing to any Holder a fraction of one cent, and any balance not so distributed shall be held by the Depositary (without liability for interest thereon) and shall be added to and become part of the next sum received by the Depositary for distribution to Holders of ADSs outstanding at the time of the next distribution. If the Company, the Custodian or the Depositary is required to withhold and does withhold from any cash dividend or other cash distribution in respect of any Deposited Securities an amount on account of taxes, duties or other governmental charges, the amount distributed to Holders on the ADSs representing such Deposited Securities shall be reduced accordingly. Such withheld amounts shall be forwarded by the Company, the Custodian or the Depositary to the relevant governmental authority. Evidence of payment thereof by the Company shall be forwarded by the Company to the Depositary upon request.

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