Method for definition

Method for treating mastitis in a domestic animal" US: Appl. No. 463580 Filed: July 29, 1997 CA: Appl. No. 2297012 Filed: July 29, 1998 EPC (DE, GB, FR, IT, CH, NL, SE) : Appl. No. 98,937,047.3 Filed: July 29, ▇▇▇▇ ▇▇▇▇▇▇: Appl. No. 88,100,078 Filed: January 5, 1999 Korea: Appl. No. 00-7,000,601 Filed: July 29, ▇▇▇▇ ▇▇▇▇▇▇▇▇▇: Appl. No. 85844-98 Filed: July 29, ▇▇▇▇ ▇▇▇ ▇▇▇▇▇▇▇: Appl. No. 503,027 Filed: July 29, ▇▇▇▇ ▇▇▇▇▇: Appl. No. 98,807,682.9 Filed: July 29, ▇▇▇▇ ▇▇▇▇▇: Appl. No. P2000-504.861 Filed: July 29, 1998
Method for using an [Confidential Treatment Requested] for the detection of [Confidential Treatment Requested] in the [Confidential Treatment Requested] field of a [Confidential Treatment Requested]. Priority: Application [Confidential Treatment Requested] contract). - Patent application filed for [Confidential Treatment Requested], comprising one or more [Confidential Treatment Requested] used for [Confidential Treatment Requested] contract). - Method for detection of [Confidential Treatment Requested] in the [Confidential Treatment Requested] field using [Confidential Treatment Requested] for the [Confidential Treatment Requested] detection of several [Confidential Treatment Requested] Ciba.

Examples of Method for in a sentence

  • For any Option, Net Share Settlement; provided that if the Relevant Settlement Method set forth below for such Option is not Net Share Settlement, then the Settlement Method for such Option shall be such Relevant Settlement Method, but only if Counterparty shall have notified Dealer of the Relevant Settlement Method in the Notice of Final Settlement Method for such Option.

  • For any Option, Net Share Settlement; provided that if the Relevant Settlement Method set forth below for such Option is not Net Share Settlement, then the Settlement Method for such Option shall be such Relevant Settlement Method, but only if Counterparty shall have notified Dealer of the Relevant Settlement Method in the Notice of Exercise or Notice of Final Settlement Method, as applicable, for such Option.

  • For any Option, Net Share Settlement; provided that if the Relevant Settlement Method set forth below for such Option is not Net Share Settlement, then the Settlement Method for such Option shall be such Relevant Settlement Method, but only if the Settlement Method Election Conditions have been satisfied and Counterparty shall have notified Dealer of the Relevant Settlement Method in the Notice of Exercise or Notice of Final Settlement Method, as applicable, for such Option.

  • For any Option, Cash Settlement; provided that if the Relevant Settlement Method set forth below for such Option is not Cash Settlement, then the Settlement Method for such Option shall be such Relevant Settlement Method, but only if Counterparty shall have notified Dealer of the Relevant Settlement Method in the Notice of Final Settlement Method for such Option.

  • For any Option, the 40 consecutive Valid Days commencing on, and including, the 42nd Scheduled Valid Day immediately prior to the Expiration Date; provided that if the Notice of Final Settlement Method for such Option specifies that Settlement in Shares or Low Cash Combination Settlement applies to the related Convertible Note, the Settlement Averaging Period shall be the 80 consecutive Valid Days commencing on, and including, the 82nd Scheduled Valid Day immediately prior to the Expiration Date.

  • If for any reason Starfield or its Reseller is unable to charge Your Payment Method for the full amount owed Starfield for the Certificate Service, or if Starfield or its Reseller is charged a penalty for any fee it previously charged to your Payment Method, You agree that Starfield and its Resellers may pursue all available remedies in order to obtain payment.

  • For any Option, Net Share Settlement; provided that if the Relevant Settlement Method set forth below for such Option is not Net Share Settlement, then the Settlement Method for such Option shall be such Relevant Settlement Method, but only if Counterparty (or any agent authorized by Counterparty and previously identified to Dealer by Counterparty in writing) shall have notified Dealer of the Relevant Settlement Method in the Notice of Final Settlement Method for such Option.

  • Method for repayment of a payroll error shall be mutually agreed upon between the nurse and management.

  • For any Option, the 25 consecutive Valid Days commencing on, and including, the 26th Scheduled Valid Day immediately prior to the Expiration Date; provided that if the Notice of Final Settlement Method for such Option specifies that Settlement in Shares or Low Cash Combination Settlement applies to the related Convertible Note, the Settlement Averaging Period shall be the 50 consecutive Valid Days commencing on, and including, the 51st Scheduled Valid Day immediately prior to the Expiration Date.

  • For any Option, Net Share Settlement; provided that if the Relevant Settlement Method set forth below for such Option is not Net Share Settlement, then the Settlement Method for such Option shall be such Relevant Settlement Method, but only if Counterparty shall have notified Dealer of the Relevant Settlement Method in the Notice of Final Settlement Method.