The Supplier shall deliver Corporate Actions Data regarding the ISIN-codes provided by the Customer. The Customer expects to only request the Supplier for Corporate Actions Data regarding international ISIN-codes as the Customer expects to obtain Corporate Actions Data for Danish companies from other sources.
The Customer expects to request the Supplier for delivery of Corporate Actions Data for approximately 15 000 ISIN-codes in the first taxation year of the Contract (2019). In the remaining duration of the Contract the Customer expects an increase in the number of ISIN-codes, to which the Supplier shall deliver Corporate Actions Data, corresponding to 5-10 % yearly.
The Supplier shall provide support to a reasonable extent related to the necessary clarifications regarding the Deliverables and regarding adjustments to the Customer’s delivery of ISIN-codes and/or the Suppliers delivery of Corporate Actions Data in accordance with the Supplier’s Standard Terms.
The Supplier shall deliver Corporate Actions Data regarding the ISIN-codes provided by the Customer. The Customer expects to only request the Supplier for Corporate Actions Data regarding international ISIN-codes as the Customer expects to obtain Corporate Actions Data for Danish companies from other sources.
The number of ISIN-codes, to which the Supplier shall deliver Corporate Actions Data may vary in the duration of the Contract. The Customer expects to request the Supplier for delivery of Corporate Actions Data for approximately 15.000 ISIN-codes in the first taxation year of the Contract (2019). In the remaining duration of the Contract the Customer expects an increase in the number of ISIN-codes, to which the Supplier shall deliver Corporate Actions Data, corresponding to 5-10 % yearly. It is emphasised that the expected amount of ISIN-codes and development in this amount for the duration of the Contract represents an estimate only and does not constitute any contractual obligations of the Customer.
The Supplier shall provide support to a reasonable extent related to the necessary clarifications regarding the Deliverables and regarding adjustments to the Customer’s delivery of ISIN-codes and/or the Suppliers delivery of Corporate Actions Data in accordance with the Supplier’s Standard Terms.