License agreement Musterklauseln

License agreement. The MSCI indexes are the exclusive property of MSCI Inc. ("MSCI"). MSCI and the MSCI index names are service mark(s) of MSCI or its affiliates and have been licensed for use for certain purposes by the Issuer. The financial securities referred to herein are not sponsored, endorsed, or promoted by MSCI, and MSCI bears no liability with respect to any such financial securities. The prospectus contains a more detailed description of the limited relationship MSCI has with the Issuer and any related financial securities. No purchaser, seller or holder of this product, or any other person or entity, should use or refer to any MSCI trade name, trademark or service mark to sponsor, endorse, market or promote this product without first contacting MSCI to determine whether MSCI’s permission is required. Under no circumstances may any person or entity claim any affiliation with MSCI without the prior written permission of MSCI. The Settlement Amount under the Securities is calculated by reference to the Underlying, which is provided by the responsible administrator. As at the date of these Final Terms, the administrator is included in the register of administrators and benchmarks established and maintained by the European Securities and Markets Authority ("ESMA") pursuant to article 36 of the Regulation (EU) 2016/1011. Except for the notices referred to in the Conditions, the Issuer does not intend to publish any post- issuance information. The U.S. Treasury Department has issued regulations under which amounts paid or deemed paid on certain financial instruments that are treated as attributable to U.S.-source dividends could be treated, in whole or in part depending on the circumstances, as a "dividend equivalent" payment that is subject to tax at a rate of 30 per cent. (or a lower rate under an applicable treaty). The Issuer has determined that, as of the issue date of the Securities, the Securities will not be subject to withholding under these rules. In certain limited circumstances, however, it is possible for United States alien holders to be liable for tax under these rules with respect to a combination of transactions treated as having been entered into in connection with each other even when no withholding is required. United States alien holders should consult their tax advisor concerning these regulations, subsequent official guidance and regarding any other possible alternative characterisations of their Securities for United States federal income tax pur...
License agreement. These securities are not in any way sponsored, ceded, sold or promoted by the SIX Swiss Exchange Ltd and the SIX Swiss Exchange Ltd makes no warranty or representation whatsoever, express or implied, either as to the results to be obtained from the use of the SMI® index (the "Index") and/or the level at which such index stands at any particular time on any particular day. However, the SIX Swiss Exchange Ltd shall not be liable (whether through negligence or otherwise) to any person for any error in the index and the SIX Swiss Exchange Ltd shall not be under any obligation to disclose such errors. SIX®, SIX Swiss Exchange®, SPI®, Swiss Performance Index (SPI)®, SPI EXTRA®, SPI ex SLI®, SMI®, Swiss Market Index® (SMI)®, SMIM®, SMI MID (SMIM)®, SMI Expanded®, SLI®, SLI Swiss Leader Index®, SXI®, SXI LIFE SCIENCES®, SXI Bio+Medtech®, SBI®, SBI Swiss Bond Index®, VSMI®, SWX Immobilienfonds Index® and SWX Quotematch® are trademarks that have been reg- istered in Switzerland and/or abroad by the SIX Group Ltd respectively SIX Swiss Exchange Ltd. Their use is subject to a licence. (Basket Component 3) The relevant Basket Component 3 is the EURO STOXX 50® Index (Price EUR). The EURO STOXX 50® Index (Price EUR) is a price index. The index level of a price index is determined mainly by the prices of its constituents. Dividends and capital changes are generally not considered. If dividends are paid, the price index also reflects mark- downs. Information about the past and future performance and volatility of the Underlying and/or of the respective Basket Components is free of charge available on the following website(s): xxx.xxxxx.xxx. The Issuer accepts no responsibility for the completeness or accuracy or for the continuous updating of the content contained on the specified website(s). EURO STOXX 50® Index (Price EUR) is the intellectual property (including registered trademarks) of STOXX Limited, Zurich, Switzerland and/or its licensors ("Licensors"), which is used under license. The securities based on the Index are in no way sponsored, endorsed, sold or promoted by STOXX and its Licensors and neither of the Licensors shall have any liability with respect thereto. The Settlement Amount under the Securities is calculated by reference to the respective Basket Com- ponent, which is provided by the respective administrator. As at the date of these Final Terms, the administrators of the Basket Components are included in the register of administrators and bench- marks e...
License agreement. The STOXX Global Select Dividend 100 Index (EUR)is the intellectual property of STOXX Limited, Zurich, Switzerland and/or its licensors ("Licensors"), which is used under license. The securities or other financial instruments based on the index are in no way sponsored, endorsed, sold or promoted by STOXX and its Licensors and neither STOXX nor its Licensors shall have any liability with respect thereto. The Settlement Amount under the Securities is calculated by reference to the Underlying, which is provided by the responsible administrator. As at the date of these Final Terms, the administrator is included in the register of administrators and benchmarks established and maintained by the European Securities and Markets Authority ("ESMA") pursuant to article 36 of the Regulation (EU) 2016/1011. Except for the notices referred to in the Conditions, the Issuer does not intend to publish any post- issuance information. The U.S. Treasury Department has issued regulations under which amounts paid or deemed paid on certain financial instruments that are treated as attributable to U.S.-source dividends could be treated, in whole or in part depending on the circumstances, as a "dividend equivalent" payment that is subject to tax at a rate of 30 per cent. (or a lower rate under an applicable treaty). The Issuer has determined that, as of the issue date of the Securities, the Securities will not be subject to withholding under these rules. In certain limited circumstances, however, it is possible for United States alien holders to be liable for tax under these rules with respect to a combination of transactions treated as having been entered into in connection with each other even when no withholding is required. United States alien holders should consult their tax advisor concerning these regulations, subsequent official guidance and regarding any other possible alternative characterisations of their Securities for United States federal income tax purposes. See "United States Tax Considerations – Dividend Equivalent Payments" in the Base Prospectus for a more comprehensive discussion of the application of Section 871(m) to the Securities. This summary should be read as an introduction to the base prospectus dated 15 June 2021 (as supplemented by the Supplements dated 17 August 2021, 27 September 2021, 26 October 2021, 16 November 2021, 5 April 2022, 12 April 2022 and 18 May 2022 and as further supplemented from time to time) (the "Base Prospectus") of Goldman, Sach...
License agreement. The TOPIX Index Value and the TOPIX Trademarks are subject to the proprietary rights owned by the Tokyo Stock Exchange, Inc. and the Tokyo Stock Exchange, Inc. owns all rights and know-how relating to the TOPIX such as calculation, publication and use of the TOPIX Index Value and relating to the TOPIX Marks. The Tokyo Stock Exchange, Inc. shall reserve the rights to change the methods of calculation or publication, to cease the calculation or publication of the TOPIX Index Value or to change the TOPIX Marks or cease the use thereof. The Tokyo Stock Exchange, Inc. makes no warranty or representation whatsoever, either as to the results stemmed from the use of the TOPIX Index Value and the TOPIX Marks or as to the figure at which the TOPIX Index Value stands on any particular day. The Tokyo Stock Exchange, Inc. gives no assurance regarding accuracy or completeness of the TOPIX Index Value and data contained therein. Further, the Tokyo Stock Exchange, Inc. shall not be liable for the miscalculation, incorrect publication, delayed or interrupted publication of the TOPIX Index Value. No securities are in any way sponsored, endorsed or promoted by the Tokyo Stock Exchange, Inc. The Tokyo Stock Exchange, Inc. shall not bear any obligation to give an explanation of the securities or an advice on investments to any purchaser of the securities or to the public. The Tokyo Stock Exchange, Inc. neither selects specific stocks or groups thereof nor takes into account any needs of the issuing company or any purchaser of the securities, for calculation of the TOPIX Index Value. Including but not limited to the foregoing, the Tokyo Stock Exchange, Inc. shall not be responsible for any damage resulting from the issue and sale of the securities. The Settlement Amount under the Securities is calculated by reference to the Underlying, which is provided by the responsible administrator. As at the date of these Final Terms, the administrator is included in the register of administrators and benchmarks established and maintained by the European Securities and Markets Authority ("ESMA") pursuant to article 36 of the Regulation (EU) 2016/1011. Except for the notices referred to in the Conditions, the Issuer does not intend to publish any post- issuance information. The U.S. Treasury Department has issued regulations under which amounts paid or deemed paid on certain financial instruments that are treated as attributable to U.S.-source dividends could be treated, in whole or in part...
License agreement. The MSCI indices are the exclusive property of MSCI Inc. ("MSCI"). MSCI and the MSCI index names are service mark(s) of MSCI or its affiliates and are licensed for use for certain purposes by Goldman Sachs International and its affiliates. These securities, based on such index, have not been passed on by MSCI as to their legality or suitability, and are not issued, sponsored, endorsed, sold or promoted by MSCI, and MSCI bears no liability with respect to any such securities. No purchaser, seller or holder of the securities, or any other person or entity, should use or refer to any MSCI trade name, trademark or service mark to sponsor, endorse, market or promote the securities without first contacting MSCI to determine whether MSCI’s pe any person or entity claim any affiliation with MSCI without the prior written permission of MSCI. The general terms supplement contains a more detailed description of the limited relationship MSCI has with The Goldman Sachs Group, Inc. and any related securities. The Settlement Amount under the Securities is calculated by reference to the Underlying, which is provided by the responsible administrator. As at the date of these Final Terms, the administrator is not included in the register of administrators and benchmarks established and maintained by the Eu- ropean Securities and Markets Authority ("ESMA") pursuant to article 36 of the Regulation (EU) 2016/1011. As far as the Issuer is aware, the transitional provisions in Article 51 of the Regulation (EU) 2016/1011 (as amended by Regulation (EU) 2019/2089) apply, such that the administrator is not currently required to obtain authorisation or registration (or, if located outside the European Union, recognition, endorsement or equivalence). Except for the notices referred to in the Conditions, the Issuer does not intend to publish any post- issuance information. The U.S. Treasury Department has issued regulations under which amounts paid or deemed paid on certain financial instruments that are treated as attributable to U.S.-source dividends could be treated, in whole or in part depending on the circumstances, as a "dividend equivalent" payment that is subject to tax at a rate of 30 per cent. (or a lower rate under an applicable treaty). The Issuer has determined that, as of the issue date of the Securities, the Securities will not be subject to withholding under these rules. In certain limited circumstances, however, it is possible for United States alien holders to be liabl...

Related to License agreement

  • Software Ist Gegenstand des Vertrages die Überlassung von Software, gilt folgendes: 11.1 Sofern nicht individuell etwas anderes vereinbart ist, erhält der Kunde an den erworbenen Programmen ein einfaches Recht, die Software für eigene Zwecke zu nutzen. Der Kunde ist zur Weitergabe der vertragsgegenständlichen Software nur mit unserer vorherigen schriftlichen Zustimmung berechtigt. Der Kunde ist nicht berechtigt, die Software für andere einzusetzen oder Dritten zur Datenverarbeitung zur Verfügung zu stellen, auch nicht durch Nutzung auf eigenen Rechnern des Kunden. 11.2 Der Kunde ist nicht berechtigt, Unterlizenzen zu erteilen. 11.3 Der Kunde ist nicht berechtigt, die Software zu kopieren, Vervielfältigungsstücke zu verbreiten, die Software zu bearbeiten oder öffentlich zugänglich zu machen. Als Ausnahme zum Kopierverbot ist der Kunde berechtigt, eine Sicherungskopie zu fertigen. 11.4 Der Kunde führt schriftliche Aufzeichnungen über die von ihm erworbenen Lizenzen sowie deren Einsatz. Jede Änderung des Aufstellungsortes der Programme ist schriftlich festzuhalten. 11.5 Alle über vorstehende Rechtseinräumung hinausgehenden Rechte, seien es Urheberrechte, gewerbliche Schutze oder andere Rechte, stehen ausschließlich uns zu. 11.6 Enthält der dem Kunden überlassene Datenträger aus technischen Gründen Software, die von der dem Kunden gewährten Softwarelizenz nicht umfasst ist, darf diese Software nur aufgrund einer gesonderten Lizenz genutzt werden, die vom Kunden zu beschaffen ist. Die Software kann technische Mittel zur Verhinderung der Nutzung nicht lizenzierter Software aufweisen. 11.7 Der Kunde wird auf allen vollständigen und auf teilweisen Kopien der Software unsere Urheberrechtsvermerke und alle sonstigen Hinweise für gewerbliche Schutzrechte auf uns in der Weise anbringen bzw. belassen, wie sie in der Originalversion der Software festgelegt sind. 11.8 Der Kunde hat keinen Anspruch auf Überlassung des Quellcodes. 11.9 Wir liefern die vertragsgegenständlichen Programme durch Übergabe des Programmdatenträgers. Wünscht der Kunde die Installation durch uns, ist dies eine Zusatzleistung, die durch Zusatzauftrag als Dienstleistung in Auftrag gegeben werden kann. Das gilt auch für die Einweisung in das Programm. Eine solche wird durch uns gegen gesonderten Auftrag und gesonderte Vergütung nach Aufwand entsprechend dem jeweils gültigen Stundensatz gemäß unseren jeweils gültigen Preislisten zuzüglich Reisekosten und Spesen erbracht. 11.10 ist Gegenstand unserer Leistung die Lieferung von fremder Software, ist der Kunde verpflichtet, sich über die Lizenzbestimmungen des Herstellers zu informieren und diese zu beachten. 11.11 Dokumentationen, insbesondere von Fremdanbietern, werden in der Weise ausgeliefert, wie sie vom Hersteller zur Verfügung gestellt werden. Das kann auch eine Auslieferung in einer Fremdsprache bedeuten. Wir sind nicht verpflichtet, Dokumentationen über Programme von Fremdherstellern in die deutsche Sprache zu übersetzen.

  • Dokumentation und Einhaltung der Klauseln (a) Die Parteien müssen die Einhaltung dieser Klauseln nachweisen können. (b) Der Auftragsverarbeiter bearbeitet Anfragen des Verantwortlichen bezüglich der Verarbeitung von Daten gemäß diesen Klauseln umgehend und in angemessener Weise. (c) Der Auftragsverarbeiter stellt dem Verantwortlichen alle Informationen zur Verfügung, die für den Nachweis der Einhaltung der in diesen Klauseln festgelegten und unmittelbar aus der Verordnung (EU) 2016/679 und/oder der Verordnung (EU) 2018/1725 hervorgehenden Pflichten erforderlich sind. Auf Verlangen des Verantwortlichen gestattet der Auftragsverarbeiter ebenfalls die Prüfung der unter diese Klauseln fallenden Verarbeitungstätigkeiten in angemessenen Abständen oder bei Anzeichen für eine Nichteinhaltung und trägt zu einer solchen Prüfung bei. Bei der Entscheidung über eine Überprüfung oder Prüfung kann der Verantwortliche einschlägige Zertifizierungen des Auftragsverarbeiters berücksichtigen. (d) Der Verantwortliche kann die Prüfung selbst durchführen oder einen unabhängigen Prüfer beauftragen. Die Prüfungen können auch Inspektionen in den Räumlichkeiten oder physischen Einrichtungen des Auftragsverarbeiters umfassen und werden gegebenenfalls mit angemessener Vorankündigung durchgeführt. (e) Die Parteien stellen der/den zuständigen Aufsichtsbehörde(n) die in dieser Klausel genannten Informationen, einschließlich der Ergebnisse von Prüfungen, auf Anfrage zur Verfügung.