Schedule of Reinsurance Sample Clauses

Schedule of Reinsurance. A. The Effective Date for this Reinsurance Agreement shall be November 1, 1996. B. The monthly premium for the Reinsurance Coverage defined in paragraph C. below shall be $0.27 per Member. This amount shall be guaranteed for a period of 3 years following the effective date of this Reinsurance Agreement, provided, however, that Preferred Life shall have the authority to review and revise rates at the beginning of each contract year. C. The Reinsurance Coverage to be provided under this Reinsurance Agreement shall be defined as follows: 1. For Eligible Hospital Services, the Deductible amount for such Reinsurance Coverage shall be $200,000 of the Loss for each Member for each Contract Year. Once the Deductible has been satisfied, Preferred Life shall indemnify the Plan for: a. The excess Loss for Eligible Hospital Services in that Contract Year for any Member at the start of the Contract Year shall be reimbursed as follows:
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Schedule of Reinsurance. A. The Effective Date for this Reinsurance Agreement shall be January 1,1999. B. The monthly premium for the Reinsurance Coverage defined in paragraph C. below shall be $2.01
Schedule of Reinsurance. A. The Effective Date for this Reinsurance Agreement shall be August 1, 1996 through October 31, 2000 for Medicaid Members for Metro and October 1, 1996 through October 31, 2000 for Medicaid Members for Non-Metro. B. The monthly premium for the Reinsurance Coverage defined in paragraph C. below shall be $0.77 per Medicaid Member for Metro and $0.63 per Medicaid Member for Non-Metro. This amount shall be guaranteed for a period of 3 years following the effective date of this Reinsurance Agreement, provided, however, that Preferred Life shall have the authority to review and revise rates at the beginning of each contract year. C. The Reinsurance Coverage to be provided under this Reinsurance Agreement shall be defined as follows: 1. For Eligible Hospital Services, the Deductible amount for such Reinsurance Coverage shall be $115,000 of the Loss for each Member for each Contract Year. Once the Deductible has been satisfied, Preferred Life shall indemnify the Plan for: a. The excess Loss for Eligible Hospital Services in that Contract Year for any Member who is under one year of age at the start of the Contract Year shall be reimbursed as follows:
Schedule of Reinsurance. A. The Effective Date for this Reinsurance Agreement shall be November 1, 1996. B. The monthly premium for the Reinsurance Coverage defined in paragraph C. below shall be $0.70 per Commercial Member and $0.86 per Point of Service Member. This amount shall be guaranteed for a period of 3 years following the effective date of this Reinsurance Agreement, provided, however, that Preferred Life shall have the authority to review and revise rates at the beginning of the contract year. C. The Reinsurance Coverage to be provided under this Reinsurance Agreement shall be defined as follows: 1. For Eligible Hospital Services, the Deductible amount for such Reinsurance Coverage shall be $85,000.00 of the Loss for each Member for each Contract Year. Once the Deductible has been satisfied, Preferred Life shall indemnify the Plan for: a. The excess Loss for Eligible Hospital Services in that Contract Year for any Member who is under one year of age at the start of the Contract Year shall be reimbursed as follows:

Related to Schedule of Reinsurance

  • Schedule of Rates The specific rates and costs applicable to this Agreement are set forth in Exhibit B – Schedule of Rates, which is attached hereto and incorporated herein by reference as if set forth in full.

  • Schedule of Receivables The information set forth in the Schedule of Receivables has been produced from the Electronic Ledger and was true and correct in all material respects as of the close of business on the Cutoff Date.

  • Amendments to Schedule of Receivables If the Servicer, during a Collection Period, assigns to a Receivable an account number that differs from the original account number identifying such Receivable on the Schedule of Receivables, the Servicer shall deliver to the Issuer, the Owner Trustee and the Indenture Trustee, on or before the Payment Date relating to such Collection Period, an amendment to the Schedule of Receivables reporting the newly assigned account number, together with the old account number of each such Receivable. The first such delivery of amendments to the Schedule of Receivables shall include monthly amendments reporting account numbers appearing on the Schedule of Receivables with the new account numbers assigned to such Receivables during any prior Collection Period.

  • Schedule of Representations The representations and warranties set forth on the Schedule of Representations with respect to the Receivables as of the date hereof, and as of the Closing Date, are true and correct.

  • Schedule of Services Consultant shall perform the Services in a prompt and timely manner in accordance with the Schedule of Services set forth in Exhibit "B" attached hereto and incorporated herein by reference. Consultant represents that it has the professional and technical personnel required to perform the Services expeditiously. Upon request of City, Consultant shall provide a more detailed schedule of anticipated performance to meet the Schedule of Services.

  • Schedule of Rates and Charges Any subconsultant rates and charges set forth in the Schedule of Rates and Charges must be the subconsultant’s actual rates and charges exclusive of any markup. The City will compensate the Consultant in accordance with those rates and charges.

  • Receivable Schedule The information set forth in the Receivable Schedule was true and correct in all material respects as of the close of business on the Cutoff Date, and no selection procedures believed to be adverse to the Depositor and/or the Noteholders were utilized in selecting the Receivables from those retail installment sale contracts which met the criteria contained in this Receivables Purchase Agreement. The information set forth in the data tape or other listing regarding the Receivables made available to the Depositor and its assigns was true and correct in all material respects as of the close of business on the Cutoff Date.

  • Wage Schedule ‌ The pay rate (including increments and stated extras) as agreed to and hereinafter in this Schedule provided, shall be in effect during the term of the Agreement, from April 1, 2019 to March 31, 2022.

  • Schedule of Filings Attached hereto as Schedule 6 is a schedule setting forth, with respect to the filings described in Section 5 above, each filing and the filing office in which such filing is to be made.

  • Vacation Schedule 1. Vacation periods shall be fixed by the Employer to suit the requirements of his business, but as far as possible and practicable, vacations will be given during the summer months, and for employees with school-age children, during the school vacations. Vacation periods shall be unbroken unless by mutual consent between Employer and employee, or where it is impractical. Grievances relating to this Section shall be subject to the Adjustment and Arbitration Procedure in this Agreement. 2. Time off, based upon service in the Industry Vacation Plan, may be granted to an employee by mutual agreement between the Employer and the employee. The Employer shall not be required to give time off based upon service under the Industry Vacation Plan. However, if such additional industry vacation time off is granted to an employee, such time off shall be counted as time worked for the purpose of computing the employee's earned vacation benefits on his next anniversary date of employment.

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