Antitrust Compliance Program definition

Antitrust Compliance Program means the program to ensure compliance with this Order and with the Antitrust Laws, as required by Paragraph III of this Order.
Antitrust Compliance Program means the program to ensure compliance with this Judgment and the Antitrust Laws, pursuant to Paragraph 53.
Antitrust Compliance Program means a program, including an effective in-person or web-based antitrust training program, to ensure compliance with this Order.

Examples of Antitrust Compliance Program in a sentence

  • We intend to introduce a regular external audit of the Antitrust Compliance Program to be carried out approximately every three years by a specialist law firm.

  • These interviews were productive, providing us with important information regarding Board oversight of Apple’s Antitrust Compliance Program.

  • In support of its position that it should not prepare a written risk assessment, Apple has pointed to certain authorities that advocate against backward-looking reviews of potential violations of compliance policies.Apple’s decision not to commit its risk assessment to writing undermines an important purpose of our recommendation—to ensure a continuing, dynamic process whereby antitrust risks are identified, addressed, and incorporated into the company’s Antitrust Compliance Program.

  • However, by far the most troubling shortcoming of Apple’s Risk Assessment Memo is the absence of information on how, if at all, the results of the risk assessment have affected the Antitrust Compliance Program.

  • Yet, individuals the monitoring team has learned are particularly relevant to the Antitrust Compliance Program and Apple’s compliance with the Final Judgment, such as the company’s General Counsel; the AFC Chairman; the company’s Chief Compliance Officer; other senior managers, such as the Head of the U.S. iBooks Store; and other lower-level, relevant personnel, such as iBooks account managers, were not interviewed.

  • Nannes responded that O’Brien had not been fired but left voluntarily, and that, in any event, the circumstances of his departure were irrelevant because the company had taken prompt remedial steps in response to his concerns byinstituting a comprehensive Antitrust Compliance Program.

  • While the Second Report noted that we had very little information regarding Board oversight, the interviews we conducted during this reporting period have put us in a much better position to assess the Board’s role in overseeing Apple’s Antitrust Compliance Program.

  • Apple has not informed us of any instance in which the risk assessment has produced modifications of, and enhancements to, the Antitrust Compliance Program.

  • The Risk Assessment Memo contains a lone sentence that touches briefly, in general terms, on this critical element: 104 Apple has provided no specific information regarding how the risk assessment has contributed to modifying or enhancing the Antitrust Compliance Program.

  • We found the January 14 Meeting to be less useful than the March 4 Meeting had been—Apple seemed less prepared to provide us with an in-depth, substantive overview of the status and future of the Antitrust Compliance Program.


More Definitions of Antitrust Compliance Program

Antitrust Compliance Program means a program (including, but not limited to, an effective in-person or web-based antitrust training program) to ensure compliance with this Order and with the Antitrust Laws, as required by Paragraph IV of this Order.

Related to Antitrust Compliance Program

  • Compliance Program means the program established by CNYCC to prevent, detect, and address compliance issues that arise with respect to PPS operations, projects or activities.

  • AML/KYC Procedures means the customer due diligence procedures of a Reporting Finnish Financial Institution pursuant to the anti-money laundering or similar requirements of Finland to which such Reporting Finnish Financial Institution is subject.

  • Trading Compliance Policy means the written policy of the Company pertaining to the purchase, sale, transfer or other disposition of the Company’s equity securities by Directors, Officers, Employees or other service providers who may possess material, nonpublic information regarding the Company or its securities.

  • Safety compliance facility means a licensee that is a commercial entity that receives marihuana from a marihuana facility or registered primary caregiver, tests it for contaminants and for tetrahydrocannabinol and other cannabinoids, returns the test results, and may return the marihuana to the marihuana facility.

  • Regulatory Flood Protection Elevation means the “Base Flood Elevation” plus the “Freeboard”. In “Special Flood Hazard Areas” where Base Flood Elevations (BFEs) have been determined, this elevation shall be the BFE plus two (2) feet of freeboard. In “Special Flood Hazard Areas” where no BFE has been established, this elevation shall be at least two (2) feet above the highest adjacent grade.

  • Anti-Money Laundering and Anti-Terrorism Laws shall have the meaning assigned thereto in Section 3.1(f)(i).

  • StarCompliance Code of Ethics application means the web-based application used to electronically pre-clear personal securities transactions and file many of the reports required herein. The application can be accessed via the AB network at: https://alliance-ng.starcompliance.com/.

  • Public safety agency means a functional division of a public agency, county, or the state that provides fire fighting, law enforcement, ambulance, medical, or other emergency services.

  • Drug Free Workplace Act Party will assure a drug-free workplace in accordance with 45 CFR Part 76.

  • Compliance Plan means the compliance obligations, program, and procedures described in this Consent Decree at paragraph 13.

  • Compliance Review means an inspection of the home, grounds, and files to determine compliance with these regulations.

  • Imminent danger to the health and safety of the public means the existence of any condition or practice, or any violation of a permit or other requirement of this article, in a surface coal mining and reclamation operation which could reasonably be expected to cause substantial physical harm to persons outside the permit area before such condition, practice, or violation can be abated. A reasonable expectation of death or serious injury before abatement exists if a rational person, subjected to the same conditions, or practices giving rise to the peril, would not expose himself to the danger during the time necessary for abatement.

  • Delegated Anti-Money Laundering Duties means the written anti-money laundering duties that, where applicable, the Trust has delegated to the Transfer Agent to satisfy applicable regulatory requirements relating to anti-money laundering.

  • Anti-Corruption Guidelines means the “Guidelines on Preventing and Combating Fraud and Corruption in Projects Financed by IBRD Loans and XXX Credits and Grants”, dated October 15, 2006.

  • Disaster Management Act means the Disaster Management Act, 2002 (Act No.57 of 2002)

  • Data Protection Laws and Regulations means all laws and regulations, including laws and regulations of the European Union, the European Economic Area and their member states, Switzerland and the United Kingdom, applicable to the Processing of Personal Data under the Agreement.

  • Market Abuse Regulation means Regulation (EU) No 596/2014 of the European Parliament and of the Council of 16 April 2014, as amended or replaced from time to time;

  • Quality Assurance Program means the overall quality program and associated activities including the Department’s Quality Assurance, Design-Builder Quality Control, the Contract’s quality requirements for design and construction to assure compliance with Department Specifications and procedures.

  • New Jersey Stormwater Best Management Practices (BMP) Manual or “BMP Manual” means the manual maintained by the Department providing, in part, design specifications, removal rates, calculation methods, and soil testing procedures approved by the Department as being capable of contributing to the achievement of the stormwater management standards specified in this chapter. The BMP Manual is periodically amended by the Department as necessary to provide design specifications on additional best management practices and new information on already included practices reflecting the best available current information regarding the particular practice and the Department’s determination as to the ability of that best management practice to contribute to compliance with the standards contained in this chapter. Alternative stormwater management measures, removal rates, or calculation methods may be utilized, subject to any limitations specified in this chapter, provided the design engineer demonstrates to the municipality, in accordance with Section IV.F. of this ordinance and N.J.A.C. 7:8-5.2(g), that the proposed measure and its design will contribute to achievement of the design and performance standards established by this chapter.

  • health and safety file means a file, or other record containing the information in writing required by these Regulations "health and safety plan" means a site, activity or project specific documented plan in accordance with the client's health and safety specification;

  • Anti-Terrorism Order means Executive Order No. 13,224 of September 24, 2001, Blocking Property and Prohibiting Transactions with Persons Who Commit, Threaten to Commit or Support Terrorism, 66 U.S. Fed. Reg. 49, 079 (2001), as amended.

  • Anti-Terrorism Law means the USA Patriot Act or any other law pertaining to the prevention of future acts of terrorism, in each case as such law may be amended from time to time.

  • Anti-Terrorism Laws are any laws relating to terrorism or money laundering, including Executive Order No. 13224 (effective September 24, 2001), the USA PATRIOT Act, the laws comprising or implementing the Bank Secrecy Act, and the laws administered by OFAC.

  • National Ambient Air Quality Standards or “NAAQS” means national ambient air quality standards that are promulgated pursuant to Section 109 of the Act, 42 U.S.C. § 7409.

  • Applicable Data Protection Laws means all national, international and local laws, regulations and rules by any government, agency or authority relating to data protection and privacy which are applicable to CPA Global or the Customer, including but not limited to The General Data Protection Regulation (Regulation (EU) 2016/679), (GDPR);

  • National Flood Insurance Program means the program created by the U.S. Congress pursuant to the National Flood Insurance Act of 1968 and the Flood Disaster Protection Act of 1973, as revised by the National Flood Insurance Reform Act of 1994, that mandates the purchase of flood insurance to cover real property improvements located in Special Flood Hazard Areas in participating communities and provides protection to property owners through a Federal insurance program.