UTILISATION DES DONNÉES Sample Clauses

UTILISATION DES DONNÉES. (a) Le Titulaire de licence s'engage à ne pas communiquer, revendre ou mettre à disposition de quelque manière que ce soit, ni permettre la communication ou la mise à disposition de tout ou partie du Matériel sous licence à un tiers, et à ne pas retransmettre celui-ci à partir de ses locaux à quelque fin que ce soit, y compris la retransmission à d'autres locaux du Titulaire de licence, sans l'autorisation écrite d'OANDA. (b) Dans le cas où le Titulaire de licence aurait connaissance d'une utilisation non autorisée par un tiers du Matériel sous Licence concédé au Titulaire de licence, il en informera OANDA dans les plus brefs délais. Par la suite, le Titulaire de licence coopérera avec OANDA dans le cadre d'une enquête. (c) Dans la mesure où l'utilisation effective du Matériel sous licence par le Titulaire de licence dépasse à tout moment l'autorisation spécifiée dans les présentes, OANDA se réserve le droit d'imposer, et le Titulaire de licence s'engage par la présente à payer, les frais en vigueur d'OANDA correspondant à l'utilisation effective du Matériel sous licence par le Titulaire de licence. Toute violation de ces dispositions peut être considérée par OANDA comme une violation substantielle des conditions du présent Contrat. (d) Le Titulaire de licence s'engage à ne pas utiliser le Matériel sous licence : (i) pour diffamer, maltraiter, harceler, menacer ou enfreindre de quelque manière que ce soit les droits d'un tiers ; (ii) en association avec la vente d'un produit ou service discriminatoire, obscène, diffamatoire, indécent ou illégal, ou qui, de l'avis raisonnable d'OANDA, porterait atteinte à la réputation d'OANDA ou du Matériel sous licence. (e) Le Titulaire de licence s'engage à ne pas rétroconcevoir le Matériel sous licence et à ne pas vendre, revendre ou transmettre de quelque manière que ce soit tout ou partie des informations contenues dans le Matériel sous licence, sauf dans les cas expressément autorisés par les présentes. Le Titulaire de licence déclare et garantit que, sauf dans les cas autorisés ci-dessus, il limitera son utilisation du Matériel sous Licence à son Usage interne (tel que défini ci-dessous). « Usage interne » désigne l'accès au Matériel sous licence et son utilisation pour la réalisation de recherches et d'analyses, la préparation de documents de recherche et de rapports sur papier (pouvant inclure des quantités non substantielles de données comprenant du Matériel sous licence en tant que partie accessoire desdits docu...
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UTILISATION DES DONNÉES. 9.1 Diagnostic et utilisation de données Si vous consentez au diagnostic et à la collection des utilisations, vous acceptez que SOTI, ses filiales et ses agents puissent collecter, conserver, traiter et utiliser les données diagnostiques, techniques et d’utilisation et les informations connexes – y compris, notamment, les informations techniques concernant votre appareil, votre système et vos applications logicielles, et les périphériques –, qui sont recueillies périodiquement pour faciliter la fourniture de mises à jour du Logiciel, l’assistance produit et d’autres services (le cas échéant) qui vous sont fournis en relation au Logiciel, et pour vérifier la conformité aux modalités de cette Licence. XXXX peut utiliser ces informations, tant qu’elles sont recueillies dans une forme qui ne permet pas de vous identifier personnellement, afin de fournir et améliorer les produits et services de SOTI. Afin de permettre aux partenaires de SOTI et aux fournisseurs tiers d’améliorer leurs logiciel, matériel et services conçus pour être utilisés avec des produits SOTI, SOTI peut également fournir à un tel partenaire ou fournisseur tiers un sous-ensemble d’informations diagnostiques pertinent pour les logiciel, matériel et / ou services de ce partenaire ou fournisseur tiers, pour autant que les informations diagnostiques sont dans une forme qui ne permet pas de vous identifier personnellement.
UTILISATION DES DONNÉES 

Related to UTILISATION DES DONNÉES

  • Utilisation 4.1 On the Initial Closing Date, the Expenses Loan Provider made an Advance in the aggregate amount of £45,650,000 (the Initial Advance) to Loan Note Issuer No.1, which shall be deemed to be three separate Advances as follows: (a) the first advance being in the amount of £35,000,000 for the credit of the Series Cash Reserve Account (the First Advance); (b) the second advance being in the amount of £8,750,000 for the credit of the Programme Reserve Account (the Second Advance); and (c) the third advance being in the amount of £1,900,000 for the credit of the Loan Note Issuer No.1 Distribution Account (the Third Advance, and together with the First Advance and the Second Advance, the 2013 Advances). 4.2 Loan Note Issuer No.1 may utilise the Facility on any Closing Date by delivering to the Expenses Loan Provider by no later than the close of business on the Business Day prior to such Closing Date a Utilisation Request. 4.3 Each Utilisation Request is irrevocable and will not be regarded as having been duly completed unless: (a) the proposed Utilisation Date is a Business Day which corresponds with a Closing Date; and (b) it specifies the amount of each Advance to be made pursuant to the Utilisation Request. 4.4 One or more Advances may be requested in each Utilisation Request. 4.5 Loan Note Issuer No.1 is deemed to repeat the representations set out in Clause9 (Representations of Loan Note Issuer No.1 and the Expenses Loan Provider) on the date of each Utilisation Request. 4.6 If the Expenses Loan Provider decides, in its absolute discretion, to make an Advance pursuant to the Utilisation Request, the Expenses Loan Provider will deliver to Loan Note Issuer No. 1, by no later than the close of business on the Business Day prior to the Closing Date on which such Advance is to be made, a Utilisation Notice specifying the terms on which the Advance will be made including, without limitation, the Applicable Margin in respect of each Advance. A Utilisation Notice may specify the terms of one or more Advances requested pursuant to a Utilisation Request. 4.7 The Expenses Loan Provider may also specify in a Utilisation Notice any increase which it proposes to make to the Facility Limit. 4.8 By no later than the close of business on the Business Day prior to the Closing Date on which an Advance is to be made, Loan Note Issuer No.1 will deliver a Utilisation Confirmation to the Expenses Loan Provider confirming the terms of each Advance and the increase in the Facility Limit (if any) as set out in the Utilisation Notice. 4.9 On the Closing Date on which an Advance is to be made following the receipt of a Utilisation Confirmation and if such Advance is subject to scheduled principal repayments, the Expenses Loan Provider will deliver to Loan Note Issuer No.1 an amortisation schedule in substantially the form of Schedule 2 (Pro-forma Amortisation Schedule) attached hereto setting out the Repayment Amounts to be paid in relation to each such Advance as well as clearly specifying the Initial Interest Payment Date in relation to such Advance (the Amortisation Schedule) provided that (a) in respect of the Third Advance, the Expenses Loan Provider will deliver to Loan Note Issuer No.1 an amortisation schedule in substantially the form of Schedule 1 (Third Advance Amortisation Schedule) (the Third Advance Amortisation Schedule), (b) in respect of the First Advance, the Final Repayment Date shall be the Interest Payment Date in May 2018, and (c) in respect of the Second Advance, the Final Repayment Date shall be the Interest Payment Date in May 2020. 4.10 Advances made under this Agreement will not be consolidated.

  • Drawdown Subject to the terms and conditions of this Agreement, each Advance shall be made to the Borrowers following receipt by the Agent from the Borrowers of a Drawdown Notice not later than 10:00 a.m. on the third Banking Day before the date, which shall be a Banking Day falling within the Drawdown Period for such Advance, on which the Borrowers propose such Advance is made. A Drawdown Notice shall be effective on actual receipt by the Agent and, once given, shall, subject as provided in clause 3.6.1, be irrevocable.

  • Drawdown Notice At any time during the Commitment Period, the Company may request the Investor to purchase shares of Common Stock by delivering a Drawdown Notice to the Investor, subject to the conditions set forth in Section 7.2; provided, however, the amount for each Advance as designated by the Company in the applicable Drawdown Notice shall not be more than the Maximum Advance Amount and the aggregate amount of the Advances pursuant to this Agreement shall not exceed the Commitment Amount. The Company acknowledges that the Investor may sell shares of the Company’s Common Stock corresponding with a particular Drawdown Notice after the Drawdown Notice is received by the Investor. There shall be a minimum of five (5) Trading Days between each Drawdown Notice Date.

  • Completion of a Utilisation Request (a) Each Utilisation Request is irrevocable and will not be regarded as having been duly completed unless: (i) the proposed Utilisation Date is a Business Day within the Availability Period; (ii) the currency and amount of the Utilisation comply with Clause 5.3 (Currency and amount); and (iii) the proposed Interest Period complies with Clause 9 (Interest Periods). (b) Only one Loan may be requested in each Utilisation Request.

  • Costs of Utilisation 8 Interest 8.1 Calculation of interest The rate of interest on each Loan for each Interest Period is the percentage rate per annum which is the aggregate of the applicable:

  • Stabilisation In connection with the distribution of any Notes, any Dealer designated as a Stabilisation Manager in the applicable Final Terms may over-allot or effect transactions which support the market price of the Notes at a level higher than that which might otherwise prevail, but in doing so such Dealer shall act as principal and not as agent of the Issuer. Any stabilisation will be conducted in accordance with all applicable regulations. Any loss resulting from over-allotment and stabilisation shall be borne, and any net profit arising therefrom shall be retained, as against the Issuer, by any Stabilisation Manager for its own account.

  • Delivery of a Utilisation Request The Borrower may utilise the Facility by delivery to the Agent of a duly completed Utilisation Request not later than the Specified Time.

  • Conditions of Utilisation 4.1 Initial conditions precedent

  • Drawdown Date The date on which any Loan is made or is to be made, and the date on which any Loan which is made prior to the Maturity Date, as applicable, is converted in accordance with §4.1.

  • Conditions Precedent to Each Competitive Bid Borrowing The obligation of each Lender that is to make a Competitive Bid Advance on the occasion of a Competitive Bid Borrowing to make such Competitive Bid Advance as part of such Competitive Bid Borrowing is subject to the conditions precedent that (a) the Agent shall have received the written confirmatory Notice of Competitive Bid Borrowing with respect thereto, (b) on or before the date of such Competitive Bid Borrowing, but prior to such Competitive Bid Borrowing, the Agent shall have received a Competitive Bid Note payable to the order of such Lender for each of the one or more Competitive Bid Advances to be made by such Lender as part of such Competitive Bid Borrowing, in a principal amount equal to the principal amount of the Competitive Bid Advance to be evidenced thereby and otherwise on such terms as were agreed to for such Competitive Bid Advance in accordance with Section 2.03, and (c) on the date of such Competitive Bid Borrowing the following statements shall be true (and each of the giving of the applicable Notice of Competitive Bid Borrowing and the acceptance by the Borrower of the proceeds of such Competitive Bid Borrowing shall constitute a representation and warranty by the Borrower that on the date of such Competitive Bid Borrowing such statements are true): (i) the representations and warranties contained in Section 4.01 (except the representations set forth in subsection (f) or (g)(i) thereof) are correct in all material respects on and as of the date of such Competitive Bid Borrowing, before and after giving effect to such Competitive Bid Borrowing and to the application of the proceeds therefrom, as though made on and as of such date; and (ii) no event has occurred and is continuing, or would result from such Competitive Bid Borrowing or from the application of the proceeds therefrom, that constitutes a Default.

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