Data Collection Schedule definition

Data Collection Schedule. As defined in the Custodial Agreement.

Examples of Data Collection Schedule in a sentence

  • Moreover, the attached Data Collection Schedule accurately and completely sets forth the information required to be set forth therein pursuant to Section 2.02 of the Standard Terms.

  • Data Collection Schedule: Because Xxxxxx staff coordinates data collection and reporting for both college and high school Xxxxxx programs, it is critical that the due dates be observed.

  • The Data Collection Schedule shall not be included unless specifically requested in advance by such Servicer, the Depositor or the Trustee.

  • A participant is considered to have completed the study if he or she has completed all phases of thestudy including the last visit or the last scheduled procedure shown in the Data Collection Schedule, withdraws consent, or dies.

  • Annex A: Evaluation Statement of Work 38Annex B: Sources Reviewed 45Annex C: List of People Consulted 47Annex D: Data Collection Schedule 54Annex E: Interview Protocols 55Annex F: Survey Results from Anonymous Mini-Survey 65Annex G: Disclosure of Any Conflicts of Interest 72ACKNOWLEDGMENTSThis evaluation would not have been possible without the support and contribution of many.

  • R-1List of Exhibits Exhibit ES.1: Baseline Characteristics of Relevant Groups of Reading First Schools for2002-2003 xiiExhibit ES.2: Data Collection Schedule for the Reading First Impact Study xiiiExhibit ES.3: Estimated Impacts on Reading Comprehension, Instruction, and Percentage of Students Engaged with Print: Spring 2005, Fall 2005, and Spring 2006 xvExhibit ES.4: Estimated Impacts on Reading Comprehension and Minutes in the Five Dimensions, by Implementation Year, Calendar Year, and Award Status.

  • The Data Collection Schedule shall not be included unless specifically requested in advance by the Purchaser or the Trustee.

  • See the Data Collection Schedule on pages 24-25 of the Data Collection Protocol chapter.

  • The values of losses should also be reported in the FR Y-14Q Operational Loss Data Collection Schedule (E.1) as the event is partially settled.

  • Remaining reserves should be not be included in the FR Y-14Q Operational Loss Data Collection Schedule (E.1) until that portion is settled.

Related to Data Collection Schedule

  • Amortization Schedule means, with respect to each Equipment Note, the amortization schedule for such Equipment Note delivered pursuant to Section 2.02 of the Trust Indenture.

  • Specification Schedule means the Schedule containing details of the Specification.

  • Data Collection System means software designed for collection, tracking and reporting 17 outcomes data for Resident enrolled in the FSP Programs.

  • Prepayment Charge Schedule A data field in the Mortgage Loan Schedule attached hereto as Exhibit A which sets forth the amount or method of calculation of the Prepayment Charge and the term during which such Prepayment Charge is imposed with respect to a Mortgage Loan.

  • Implementation Schedule means the Implementation Schedule in Section VII of the tendering documents.

  • Expected Amortization Schedule means, with respect to any Tranche, the expected amortization schedule related thereto set forth in the Series Supplement.

  • Allocation Schedule has the meaning set forth in Section 2.07.

  • Purchase Price Allocation Schedule has the meaning given to it in Section 2.7(a).

  • Construction Schedule means a construction schedule indicating the planned start and completion dates of the major activities of the Work as set out in Appendix [ ], a future Appendix;

  • Project Completion Schedule means the progressive Project Milestones set forth in Schedule-J for completion of the Project Highway on or before the Scheduled Completion Date;

  • Completion Schedule means the fulfilment of the Related Services by the Supplier in accordance with the terms and conditions set forth in the Contract;

  • Shift Schedule means a written statement setting forth the days and hours upon which the employees are required to work.

  • Delinquency Collection Policies and Procedures The delinquency collection policies and procedures of the Interim Servicer, a copy of which is attached to the Interim Servicing Agreement as Exhibit 11.

  • Receivable Schedule means the list identifying the Receivables attached as Schedule 1 to the Sale and Servicing Agreement and as Schedule A to the Receivables Purchase Agreement (which list may be in an electronic format).

  • Asset Schedule means with respect to any Transaction as of any date, an asset schedule in the form of a computer tape or other electronic medium (including an Excel spreadsheet) generated by Seller and delivered to Buyer and the Custodian, which provides information (including, without limitation, the information set forth on Exhibit E attached hereto) relating to the Purchased Mortgage Loans in a format reasonably acceptable to Buyer.

  • Delegation Schedule means any separate schedule entered into between the Custodian and the Fund or its authorized representative with respect to certain matters concerning the appointment and administration of Subcustodians delegated to the Custodian pursuant to Rule 17f-5 under the 1940 Act.

  • MONTHLY KILOMETREAGE STATEMENT CUM BILL means the format specified by the Company.

  • Progress Schedule means a schedule of the Work, in a form satisfactory to Owner, as further set forth in Section 3.02.

  • Country Limitation Schedule means the schedule published from time to time by Ex-Im Bank setting forth on a country by country basis whether and under what conditions Ex-Im Bank will provide coverage for the financing of export transactions to countries listed therein.

  • Collection site means the location of waste containers on collection day.

  • CREFC® Servicer Realized Loss Template A report substantially in the form of, and containing the information called for in, the downloadable form of the “Servicer Realized Loss Template” available as of the Closing Date on the CREFC® Website, or such other form for the presentation of such information and containing such additional information as may from time to time be approved by the CREFC® for commercial mortgage securities transactions generally.

  • CREFC® Interest Shortfall Reconciliation Template A report substantially in the form of, and containing the information called for in, the downloadable form of the “Interest Shortfall Reconciliation Template” available as of the Closing Date on the CREFC® Website, or such other form for the presentation of such information and containing such additional information as may from time to time be approved by the CREFC® for commercial mortgage securities transactions generally.

  • Receivables Schedule means the schedule of receivables attached as Schedule A, as amended, supplemented or otherwise modified and in effect from time to time.

  • Collection Report means the monthly report prepared by the Primary Servicer setting forth, with respect to each Mortgage Loan and the most recently ended Collection Period prior to the due date of such report, the information described on Exhibit G attached hereto.

  • Wind-Down Budget means a budget to be prepared by the Debtors, and reasonably acceptable to the Deerfield Requisite Supporting Noteholders, the Unaffiliated Requisite Supporting Noteholders, and the Committee, which shall be filed with the Court as part of the Plan Supplement, and which may be amended from time to time after entry of the Confirmation Order, subject to the consent of the Oversight Committee, which consent shall not be unreasonably withheld, and which shall estimate the funds necessary to administer the Plan and wind down the Debtors’ affairs, including the costs of holding and liquidating the Estates’ remaining property, objecting to Claims, making the Distributions required by the Plan, prosecuting claims and Causes of Action that may be held by the Estates against third parties that are not released, waived or transferred pursuant to the Plan (including pursuant to Article X) or otherwise, paying Taxes, filing Tax returns, paying professionals’ fees and expenses, paying the fees and expenses of the Oversight Committee, funding payroll and other employee costs, providing for the purchase of errors and omissions insurance and/or other forms of indemnification for the Plan Administrator, and for all such items and other costs of administering the Plan, the Estates and the Liquidating Debtors (other than the Administrative and Priority Claims Reserve, the Disputed Claims Reserve, and the Professional Fee Reserve).

  • Reference Schedule means the reference schedule in Part A of this Invitation