「transfer statement」を含む例文一覧(48)

  • I will send you the money transfer statement forms.
    あなたに銀行の送金明細書を送ります。 - Weblio Email例文集
  • SYSTEM FOR PREPARING ACCOUNT TRANSFER REQUEST STATEMENT FOR FINANCIAL INSTITUTION
    金融機関向け口座振替依頼書の作成システム - 特許庁
  • 4. in cases where arrangements are made to allow transfer of the Subscription Right alone, a statement to that effect;
    (4) 引受権のみを譲渡することができることとする場合は、その旨 - 日本法令外国語訳データベースシステム
  • Thus, data transfer is enabled only by one statement of address specification to the RAM 5.
    これによりRAM5へのアドレス指定の1ステートのみでデータ転送が可能になる。 - 特許庁
  • Article 228 (1) The defendant shall make a statement to transfer the action to ordinary proceedings in writing, except in cases of making the statement on an appearance date.
    第二百二十八条 被告の通常の手続に移行させる旨の申述は、期日においてする場合を除き、書面でしなければならない。 - 日本法令外国語訳データベースシステム
  • The determination is, in terms of the statement of an optimization program for effectively keeping an offset computation time period within a wafer transfer time period.
    この決定は、オフセット計算期間をウエハ移送期間以内に効果的に維持する、最適化プログラムのステートメントの形態をとる。 - 特許庁
  • (7) The head of a business office, etc. of a specified book-entry transfer institution, etc. or head of a specified overseas business office, etc. of a qualified foreign intermediary shall, where a statement of the holding period of book-entry transfer national government bonds or statement of the holding period of book-entry transfer local government bonds has been submitted, confirm whether or not the holding period and other matters specified by an Ordinance of the Ministry of Finance with regard to the book-entry transfer national government bonds or book-entry transfer local government bonds entered in the said statement of the holding period of book-entry transfer national government bonds or statement of the holding period of book-entry transfer local government bonds are consistent with the day on which entries or records under the book-entry transfer system were made with regard to the book-entry transfer national government bonds or book-entry transfer local government bonds and other matters specified by an Ordinance of the Ministry of Finance as entered or recorded in the books prescribed in Article 5-2(13) of the Act (referred to as the "books for book-entry transfer" in paragraph (9), paragraph (11) and paragraph (24)).
    7 特定振替機関等の営業所等の長又は適格外国仲介業者の特定国外営業所等の長は、振替国債所有期間明細書又は振替地方債所有期間明細書の提出があつた場合には、当該振替国債所有期間明細書又は振替地方債所有期間明細書に記載された振替国債又は振替地方債に係る所有期間その他の財務省令で定める事項が、法第五条の二第十三項に規定する帳簿(第九項、第十一項及び第二十四項において「振替帳簿」という。)に記載又は記録がされた振替国債又は振替地方債につき振替記載等がされた日その他の財務省令で定める事項と同じであるかどうかを確認しなければならない。 - 日本法令外国語訳データベースシステム
  • (ix) if there is a restriction on the transfer of beneficial interest that is represented by Beneficiary Certificates in registered form, a statement to that effect and details thereof;
    九 記名式の受益証券をもって表示される受益権について譲渡の制限があるときは、その旨及びその内容 - 日本法令外国語訳データベースシステム
  • (8) In the case referred to in paragraph (1)(i) or (ii), where a written application for tax exemption of book-entry transfer national government bonds or statement of the holding period of book-entry transfer national government bonds has been submitted to the district director prescribed in item (i)(a) of the said paragraph or a written application for tax exemption of book-entry transfer local government bonds or statement of the holding period of book-entry transfer local government bonds has been submitted to the district director prescribed in item (ii)(a) of the said paragraph, it shall be deemed that the submission to the relevant district director has been made when the business office, etc. of the specified book-entry transfer institution, etc. or the specified overseas business office, etc. of the qualified foreign intermediary, via which submission should be made, has received the said written application for tax exemption of book-entry transfer national government bonds or statement of the holding period of book-entry transfer national government bonds or the said written application for tax exemption of book-entry transfer local government bonds or statement of the holding period of book-entry transfer local government bonds, from the person who submitted the relevant document.
    8 第一項第一号又は第二号の場合において、振替国債非課税適用申告書若しくは振替国債所有期間明細書が同項第一号イに規定する税務署長に提出されたとき又は振替地方債非課税適用申告書若しくは振替地方債所有期間明細書が同項第二号イに規定する税務署長に提出されたときは、当該振替国債非課税適用申告書若しくは振替国債所有期間明細書又は当該振替地方債非課税適用申告書若しくは振替地方債所有期間明細書の提出をした者からその提出の際に経由すべき特定振替機関等の営業所等又は適格外国仲介業者の特定国外営業所等が受け取つた時にこれらの税務署長に提出があつたものとみなす。 - 日本法令外国語訳データベースシステム
  • When a user uses an ATM terminal, an inquiry is made about whether email delivery is desired, and if it is desired, information is acquired on an information type desired by the user, such as a deposit/withdrawal statement or a scheduled transfer statement, the number of statements and an inquiry period.
    利用者がATM端末利用時にメール配信を希望するかを問い合わせ、希望する場合には入出金明細や予定振替明細など利用者が希望する情報種別と、明細数や照会期間の情報を取得する。 - 特許庁
  • (17) Special provisions for the submission by a specified book-entry transfer institution, etc. of a written application for tax exemption of book-entry transfer national government bonds or statement of the holding period of book-entry transfer national government bonds or a written application for tax exemption of book-entry transfer local government bonds or statement of the holding period of book-entry transfer local government bonds, matters concerning the preservation of documents, etc. pertaining to the notice set forth in paragraph (15)(iii) or paragraph (16)(iii), and other necessary matters concerning the application of the provisions of paragraph (1) to paragraph (4) and paragraph (6) to the preceding paragraph shall be specified by a Cabinet Order.
    17 特定振替機関等による振替国債非課税適用申告書若しくは振替国債所有期間明細書又は振替地方債非課税適用申告書若しくは振替地方債所有期間明細書の提出の特例、第十五項第三号又は前項第三号の通知に係る書面等の保存に関する事項その他第一項から第四項まで及び第六項から前項までの規定の適用に関し必要な事項は、政令で定める。 - 日本法令外国語訳データベースシステム
  • The written statement and the evidence of the transfer of right as referred to in Article 13 letters a and b, not using the Indonesian language, shall be accompanied by a translation thereof in the Indonesian language.
    第13条 (a)及び(b)にいう書面による宣言及び権利移転の証拠であって,インドネシア語を使用していないものには,インドネシア語の翻訳を添付しなければならない。 - 特許庁
  • (i) if there is any arrangement that no shares of the Wholly Owning Parent Company Incorporated through Share Transfer are allotted to shareholders of a certain class of shares, a statement to such effect and such class of shares; and
    一 ある種類の株式の株主に対して株式移転設立完全親会社の株式の割当てをしないこととするときは、その旨及び当該株式の種類 - 日本法令外国語訳データベースシステム
  • (iv) matters concerning special provisions on the taking back or returning of the goods or rights after the delivery of the goods or the transfer of the rights (if there are no such special provisions, a statement to that effect); and
    四 商品の引渡し又は権利の移転後におけるその引取り又は返還についての特約に関する事項(その特約がない場合には、その旨) - 日本法令外国語訳データベースシステム
  • To deliver the use detailed statement of a credit card or an account transfer service to a user in a form desired by the user without operation by the user on the Internet.
    クレジットカードや口座振替サービスにおける利用明細を利用者がインターネット上にて何ら操作することなく、利用者の所望の形態で利用者に配信する。 - 特許庁
  • in the absence of any such document in relation to a particular transfer, assignment or mortgage, a statement signed by the transferor, assignor or mortgagor confirming the fact of the transfer or assignment or mortgage;
    特定の移転,譲渡又は譲渡抵当に係るそのような書類が存在しない場合は,移転,譲渡又は譲渡抵当の事実を確認する旨の移転者,譲渡人又は譲渡抵当設定者により署名された陳述書 - 特許庁
  • (8) Where a nonresident or foreign corporation submits a statement of the holding period of book-entry transfer national government bonds or a statement of the holding period of book-entry transfer local government bonds via a qualified foreign intermediary to the district director set forth in Article 5-2(1)(i)(b) or (ii)(b) of the Act (including the cases where a qualified foreign intermediary submits the document set forth in the next paragraph pursuant to the provisions of the said paragraph as applied mutatis mutandis pursuant to paragraph (10)), the head of the business office, etc. of the specified book-entry transfer institution, etc. that has received a notice set forth in paragraph (14) of the said Article pursuant to the provisions of the said paragraph shall confirm whether or not the holding period and other matters specified by an Ordinance of the Ministry of Finance with regard to the book-entry transfer national government bonds or book-entry transfer local government bonds entered in the said statement of the holding period of book-entry transfer national government bonds or statement of the holding period of book-entry transfer local government bonds or the said document are consistent with the day on which entries or records under the book-entry transfer system were made with regard to the book-entry transfer national government bonds or book-entry transfer local government bonds and other matters specified by an Ordinance of the Ministry of Finance as entered or recorded in the books prescribed in said paragraph.
    8 非居住者又は外国法人が適格外国仲介業者を経由して振替国債所有期間明細書又は振替地方債所有期間明細書を法第五条の二第一項第一号ロ又は同項第二号ロの税務署長に提出する場合(第十項において準用する次項の規定により適格外国仲介業者が同項の書類を提出する場合を含む。)には、同条第十四項の規定により同項の通知を受けていた特定振替機関等の営業所等の長は、当該振替国債所有期間明細書若しくは振替地方債所有期間明細書又は当該書類に記載された振替国債又は振替地方債に係る所有期間その他の財務省令で定める事項が、同項に規定する帳簿に記載又は記録がされた振替国債又は振替地方債につき振替記載等がされた日その他の財務省令で定める事項と同じであるかどうかを確認しなければならない。 - 日本法令外国語訳データベースシステム
  • in the absence of any such document in relation to a particular transfer, assignment or mortgage, a statement signed by the transferor, assignor or mortgagor confirming the fact of the transfer, assignment or mortgage.
    特定の移転,譲渡又は譲渡抵当に係るそのような書類が存在しない場合は,移転をする者,譲渡人又は譲渡抵当設定者により署名された陳述書であって,移転,譲渡又は譲渡抵当の事実を確認するもの - 特許庁
  • When the principal confirmation is successful, the capital transfer management server 101 returns procedure completion 303 to a capital provider terminal 102, and transmits donation schedule detailed statement 304 to a capital recipient terminal 103 in a prescribed period.
    本人確認ができた場合には、手続完了303を資金提供者端末102に返信し、所定時期に献金予定明細を資金受領者端末304に送信する。 - 特許庁
  • To provide a network relay program for preventing MAC address false statement and efficiently performing frame transfer processing, a network relay device, a communication system and a network relay method.
    MACアドレス詐称を防止すると共に、効率的にフレーム転送処理を行うネットワーク中継プログラム、ネットワーク中継装置、通信システム、ネットワーク中継方法を提供する。 - 特許庁
  • (viii) a sworn, written statement that the parties to the Business Transfer (excluding a Futures Commission Merchant) do not fall under any of the provisions of Article 15, paragraph (2), item (i), (c) through (e), or (i) of the Act;
    八 事業譲渡の当事者(商品取引員を除く。)が法第十五条第二項第一号ハからホまで又はリのいずれにも該当する者でないことを誓約する書面 - 日本法令外国語訳データベースシステム
  • (vii) deleted (viii) a sworn, written statement that the parties to the Business Transfer are not subject to any of the provisions of Article 15, paragraph 2, item 1, (c) through (e), or (i);
    七 削除 八 事業譲渡の当事者(商品取引員を除く。)が法第十五条第二項第一号 ハからホまで 又はリのいずれにも該当する者でないことを誓約する書面 - 経済産業省
  • (i) that a statement to the effect that the relevant Securities have a restriction which prohibits any transfer except in the case of the transfer thereof to a Qualified Institutional Investor (hereinafter referred to as a "Restriction on Resale" in this Article) has been made thereupon, and that such Securities are to be delivered to the acquirer thereof;
    一 当該有価証券に適格機関投資家に譲渡する場合以外の譲渡が禁止される旨の制限(以下この条において「転売制限」という。)が付されている旨が当該有価証券に記載され、当該有価証券の取得者に当該有価証券が交付されること。 - 日本法令外国語訳データベースシステム
  • (12) The provisions of paragraph (8) and paragraph (9) shall apply mutatis mutandis where the person who submits a written application prescribed in the preceding two paragraphs submits the relevant written application. In this case: in paragraph (8), the phrase "paragraph (1)(i) or (ii)" shall be deemed to be replaced with "paragraph (10) or paragraph (11)"; the phrase "a written application for tax exemption of book-entry transfer national government bonds or statement of the holding period of book-entry transfer national government bonds has been submitted to the district director prescribed in item (i)(a) of the said paragraph" shall be deemed to be replaced with "a written application prescribed in paragraph (10) has been submitted to the district director prescribed in paragraph (1)(i)(a)"; the phrase "a written application for tax exemption of book-entry transfer local government bonds or statement of the holding period of book-entry transfer local government bonds has been submitted to the district director prescribed in item (ii)(a) of the said paragraph" shall be deemed to be replaced with "a written application prescribed in paragraph (11) has been submitted to the district director prescribed in paragraph (1)(ii)(a)"; the phrase "the said written application for tax exemption of book-entry transfer national government bonds or statement of the holding period of book-entry transfer national government bonds or the said written application for tax exemption of book-entry transfer local government bonds or statement of the holding period of book-entry transfer local government bonds" shall be deemed to be replaced with "the relevant written application"; in paragraph (9), the phrase "person who submits a written application for tax exemption of book-entry transfer national government bonds or written application for tax exemption of book-entry transfer local government bonds" shall be deemed to be replaced with "person who submits a written application prescribed in the next paragraph or paragraph (11)"; the phrase "the said written application for tax exemption of book-entry transfer national government bonds or written application for tax exemption of book-entry transfer local government bonds" shall be deemed to be replaced with "the relevant written application"; the term "name" shall be deemed to be replaced with "new name."
    12 第八項及び第九項の規定は、前二項に規定する申告書を提出する者がこれらの申告書を提出する場合について準用する。この場合において、第八項中「第一項第一号又は第二号」とあるのは「第十項又は第十一項」と、「振替国債非課税適用申告書若しくは振替国債所有期間明細書が同項第一号イ」とあるのは「第十項に規定する申告書が第一項第一号イ」と、「振替地方債非課税適用申告書若しくは振替地方債所有期間明細書が同項第二号イ」とあるのは「第十一項に規定する申告書が第一項第二号イ」と、「当該振替国債非課税適用申告書若しくは振替国債所有期間明細書又は当該振替地方債非課税適用申告書若しくは振替地方債所有期間明細書」とあるのは「これらの申告書」と、第九項中「振替国債非課税適用申告書又は振替地方債非課税適用申告書を提出する者」とあるのは「次項又は第十一項に規定する申告書を提出する者」と、「当該振替国債非課税適用申告書又は振替地方債非課税適用申告書」とあるのは「これらの申告書」と、「氏名」とあるのは「変更後の氏名」と読み替えるものとする。 - 日本法令外国語訳データベースシステム
  • (b) The said nonresident or foreign corporation shall, no later than the day preceding the day on which he/she or it is to receive interest on the said book-entry transfer national government bonds, submit a document stating his/her or its holding period for the said book-entry transfer national government bonds and any other matters specified by an Ordinance of the Ministry of Finance (referred to in paragraph (8) and paragraph (17) as a "statement of the holding period of book-entry transfer national government bonds") to the district director prescribed in (a), via the said specified book-entry transfer institution, etc. or via the said qualified foreign intermediary and the specified book-entry transfer institution, etc. pertaining to the entries or records under the book-entry transfer system regarding the said book-entry transfer national government bonds.
    ロ 当該非居住者又は外国法人が、当該振替国債の利子の支払を受けるべき日の前日までに、その者の当該振替国債に係る所有期間その他の財務省令で定める事項を記載した書類(第八項及び第十七項において「振替国債所有期間明細書」という。)を、当該特定振替機関等を経由し、又は当該適格外国仲介業者及び当該振替国債の振替記載等に係る特定振替機関等を経由してイに規定する税務署長に提出していること。 - 日本法令外国語訳データベースシステム
  • The transfer of rights to a registered mark may only be recorded by the Directorate General if it is accompanied with a written statement from the receiver of rights that the relevant mark will be used for trade of goods and/or services.
    標章に対する権利の移転は,その標章が商品及び/又はサービスの取引に使用される予定であるという譲受人の書面による宣言を付した場合にのみ,総局により登録される。 - 特許庁
  • (h) Among the rights to be indicated on securities (excluding those that have the character of bonds with share options) issued by a foreign juridical person the attribution of which rights is to be decided by the statement or record in the transfer account book pursuant to the provisions of the Act concerning Book-entry Transfer of Company, etc., those that satisfy all of the following requirements:
    チ その権利の帰属が社債等の振替に関する法律の規定により振替口座簿の記載又は記録により定まるものとされる外国法人の発行する債券(新株予約権付社債券の性質を有するものを除く。)に表示されるべき権利のうち、次に掲げる要件のすべてに該当するもの - 日本法令外国語訳データベースシステム
  • (ii) in addition to the matters listed in the preceding item, if there is any arrangement that each class of shares shall be treated differently with respect to allotment of shares of the Wholly Owning Parent Company Incorporated through Share Transfer, a statement to such effect and the details of such different treatment.
    二 前号に掲げる事項のほか、株式移転設立完全親会社の株式の割当てについて株式の種類ごとに異なる取扱いを行うこととするときは、その旨及び当該異なる取扱いの内容 - 日本法令外国語訳データベースシステム
  • (2) Where a nonresident or foreign corporation that is the trustee of a qualified foreign securities investment trust prescribed in Article 5-2(2) of the Act (hereinafter referred to as a "qualified foreign securities investment trust" in this Article) seeks the application of the provisions of Article 5-2(1) of the Act with respect to interest on book-entry transfer national government bonds or book-entry transfer local government bonds to be received thereby for the trust property under the said qualified foreign securities investment trust, the said nonresident or foreign corporation shall submit, for each qualified foreign securities investment trust accepted thereby, a written application for tax exemption of book-entry transfer national government bonds prescribed in Article 5-2(1)(i)(a) of the Act (hereinafter referred to as a "written application for tax exemption of book-entry transfer national government bonds" in this Article) and a statement of the holding period of book-entry transfer national government bonds prescribed in Article 5-2(1)(i)(b) of the Act (referred to as a "statement of the holding period of book-entry transfer national government bonds" in paragraph (7) to paragraph (9)), or a written application for tax exemption of book-entry transfer local government bonds prescribed in Article 5-2(1)(ii)(a) of the Act (hereinafter referred to as a "written application for tax exemption of book-entry transfer local government bonds" in this Article) and a statement of the holding period of book-entry transfer local government bonds prescribed in Article 5-2(1)(ii)(b) of the Act (referred to as a "statement of the holding period of book-entry transfer local government bonds" in paragraph (7), paragraph (8) and paragraph (11)), to the district director prescribed in prescribed in Article 5-2(1)(i)(a) of the Act pursuant to the provisions of Article 5-2(1)(i)(a) and (b) of the Act, or the district director prescribed in Article 5-2(1)(ii)(a) of the Act pursuant to the provisions of Article 5-2(1)(ii)(a) and (b) of the Act.
    2 法第五条の二第二項に規定する適格外国証券投資信託(以下この条において「適格外国証券投資信託」という。)の受託者である非居住者又は外国法人が当該適格外国証券投資信託の信託財産につき支払を受ける振替国債又は振替地方債の利子について法第五条の二第一項の規定の適用を受けようとする場合には、当該非居住者又は外国法人は、その受託した適格外国証券投資信託の別に、同項第一号イに規定する振替国債非課税適用申告書(以下この条において「振替国債非課税適用申告書」という。)及び同号ロに規定する振替国債所有期間明細書(第七項から第九項までにおいて「振替国債所有期間明細書」という。)又は法第五条の二第一項第二号イに規定する振替地方債非課税適用申告書(以下この条において「振替地方債非課税適用申告書」という。)及び同号ロに規定する振替地方債所有期間明細書(第七項、第八項及び第十一項において「振替地方債所有期間明細書」という。)を法第五条の二第一項第一号イ及びロの規定により同号イに規定する税務署長又は同項第二号イ及びロの規定により同号イに規定する税務署長に提出するものとする。 - 日本法令外国語訳データベースシステム
  • (b) The said nonresident or foreign corporation shall, no later than the day preceding the day on which he/she or it is to receive interest on the said book-entry transfer local government bonds, submit a document stating his/her or its holding period for the said book-entry transfer local government bonds and any other matters specified by an Ordinance of the Ministry of Finance (referred to in paragraph (8) and paragraph (17) as "statement of the holding period of book-entry transfer local government bonds") to the district director prescribed in (a), via the said specified book-entry transfer institution, etc. and the person who pays the said interest, or via the said qualified foreign intermediary, the specified book-entry transfer institution, etc. pertaining to the entries or records under the book-entry transfer system regarding the said book-entry transfer local government bonds, and the person who pays the said interest.
    ロ 当該非居住者又は外国法人が、当該振替地方債の利子の支払を受けるべき日の前日までに、その者の当該振替地方債に係る所有期間その他の財務省令で定める事項を記載した書類(第八項及び第十七項において「振替地方債所有期間明細書」という。)を、当該特定振替機関等及び当該利子の支払をする者を経由し、又は当該適格外国仲介業者及び当該振替地方債の振替記載等に係る特定振替機関等並びに当該利子の支払をする者を経由してイに規定する税務署長に提出していること。 - 日本法令外国語訳データベースシステム
  • On a settlement statement of a credit card company, a credit use amount and the amount of electronic money turned from the points are written, and an account transfer amount as a charged amount to the customer is calculated by subtracting an electronic money use amount from a use amount and sent to a bank.
    クレジットカード業者の利用明細にはクレジットの利用金額とポイントを電子マネー化した金額が記録され、顧客への請求額となる口座引落金額は利用金額から電子マネー利用分を減じて算出され、銀行に送付される。 - 特許庁
  • (ix) In jointly incorporating a Wholly Owning Parent Company Formed by Share Transfer on Entity Conversion with another converting Mutual Company or a Stock Company, a statement to that effect, and the matters listed in Article 773, paragraph (1), items (ix) and (x) (Share Transfer Plan) of the Companies Act regarding the share options of the Stock Company.
    九 他の組織変更をする相互会社又は株式会社と共同して組織変更株式移転により組織変更株式移転設立完全親会社を設立するときは、その旨並びに当該株式会社の新株予約権についての会社法第七百七十三条第一項第九号及び第十号(株式移転計画)に掲げる事項 - 日本法令外国語訳データベースシステム
  • (c) In cases where a Stock Company determines not to give approval under Article 136, if it is requested that such Stock Company or Designated Purchaser provided for in Article 140 (4) purchase the Shares with Restriction on Transfer referred to in (a), the statement to such effect.
    ハ 株式会社が第百三十六条の承認をしない旨の決定をする場合において、当該株式会社又は第百四十条第四項に規定する指定買取人がイの譲渡制限株式を買い取ることを請求するときは、その旨 - 日本法令外国語訳データベースシステム
  • (c) In cases where a Stock Company determines not to effect the approval under paragraph (1) of the preceding article, if it is requested that such Stock Company or the Designated Purchaser provided for in Article 140 (4) purchase the Shares with Restriction on Transfer referred to in (a), a statement to such effect.
    ハ 株式会社が前条第一項の承認をしない旨の決定をする場合において、当該株式会社又は第百四十条第四項に規定する指定買取人がイの譲渡制限株式を買い取ることを請求するときは、その旨 - 日本法令外国語訳データベースシステム
  • (c) if Share Options under Share Transfer Plan are Share Options attached to Bonds with Share Options, a statement to the effect that the Wholly Owning Parent Company Incorporated through Share Transfer will succeed to the obligations relating to the Bonds pertaining to such Bonds with Share Options and the description of the classes of the Bonds subject to such succession and the total amount for each class of Bonds, or the method for calculating that total amount; and
    ハ 株式移転計画新株予約権が新株予約権付社債に付された新株予約権であるときは、株式移転設立完全親会社が当該新株予約権付社債についての社債に係る債務を承継する旨並びにその承継に係る社債の種類及び種類ごとの各社債の金額の合計額又はその算定方法 - 日本法令外国語訳データベースシステム
  • Article 199 In cases where a Specific Purpose Company intends to receive a transfer of Specified Assets in accordance with the Asset Securitization Plan, if the contract document for receiving such a transfer lacks a statement to the effect that the transferor of the Specified Assets has the obligation to notify the Specific Purpose Company that is the transferee, of any important matters that should be stated in the Securities Registration Statements, etc. (meaning the Securities Registration Statement prescribed in Article 2(7) of the Financial Instruments and Exchange Act and other documents specified by a Cabinet Office Ordinance; the same shall apply hereinafter) of Asset-Backed Securities pertaining to the relevant Specified Assets, said Specific Purpose Company shall not receive the transfer of said Specified Assets.
    第百九十九条 特定目的会社は、資産流動化計画に従い特定資産を譲り受けようとする場合において、その譲受けに係る契約書に、当該特定資産の譲渡人が、当該特定資産に係る資産対応証券に関する有価証券届出書等(金融商品取引法第二条第七項に規定する有価証券届出書その他の内閣府令において規定する書類をいう。以下同じ。)に記載すべき重要な事項につき、譲受人たる当該特定目的会社に告知する義務を有する旨の記載がないときは、当該特定資産を譲り受けてはならない。 - 日本法令外国語訳データベースシステム
  • To automatically generate document data of a worker's property accumulation deposit request form and a worker's property accumulation transfer detailed statement corresponding to new data several days before a transaction when a contract of worker's property accumulation savings is made with a company or when the salary payment day or bonus payment day of a contract company is changed.
    企業との間で新規に財形貯金の契約があった場合や契約企業の給与日又は賞与日に変更があった場合、その新規データに対応した財形預入依頼書や財形振込明細書の帳票データを取引のある数日前に自動作成すること。 - 特許庁
  • (9) Where a specified book-entry transfer institution, etc. has, pursuant to the provisions of Article 5-2(9) of the Act (including the cases where it is applied mutatis mutandis pursuant to paragraph (12) of the said Article), prepared and preserved a copy of a document prescribed in paragraph (9) of the said Article that has been presented thereto by a nonresident or foreign corporation, and the said nonresident or foreign corporation receives payment of interest on the book-entry transfer national government bonds for which he/she or it has made entries or records under the book-entry transfer system through the said specified book-entry transfer institution, etc., if the said specified book-entry transfer institution, etc. has, no later than the day preceding the day on which the said nonresident or foreign corporation is to receive payment of such interest, prepared a document containing the holding period and any other matters specified by an Ordinance of the Ministry of Finance with regard to the book-entry transfer national government bonds held by the said nonresident or foreign corporation based on the books for book-entry transfer that the said specified book-entry transfer institution, etc. keeps, and submitted the document to the district director set forth in paragraph (1)(i)(b) of the said Article (in the case where the said specified book-entry transfer institution, etc. is a specified account management institution, submission shall be made to the said district director via a specified book-entry transfer institution; in the case where the said specified book-entry transfer institution, etc. is a specified indirect account management institution, submission shall be made to the said district director via [1] the specified account management institution pertaining to the entries or records under the book-entry transfer system regarding the said book-entry transfer national government bonds (in the case where the said specified book-entry transfer institution, etc. makes entries or records under the book-entry transfer system regarding the said book-entry transfer national government bonds through any other specified indirect account management institution, submission shall be made via the said other specified indirect account management institution and specified account management institution pertaining to the entries or records under the book-entry transfer system regarding the said book-entry transfer national government bonds) and [2] a specified book-entry transfer institution), the said nonresident or foreign corporation shall be deemed to have submitted a statement of the holding period of book-entry transfer national government bonds pursuant to the provisions of item (i)(b) of the said paragraph with respect to the interest receivable thereby.
    9 特定振替機関等が法第五条の二第九項(同条第十二項において準用する場合を含む。)の規定により非居住者又は外国法人から提示を受けた同条第九項に規定する書類の写しを作成し、保存している場合において、当該非居住者又は外国法人が当該特定振替機関等から振替記載等を受けている振替国債につきその利子の支払を受ける際、その利子の支払を受けるべき日の前日までに、当該特定振替機関等がその備える振替帳簿に基づき当該非居住者又は外国法人の当該振替国債に係る所有期間その他の財務省令で定める事項を記載した書類を作成し、これを同条第一項第一号ロの税務署長に対し提出したとき(当該特定振替機関等が特定口座管理機関である場合には、特定振替機関を経由して当該税務署長に対し提出したとき、当該特定振替機関等が特定間接口座管理機関である場合には、当該振替国債の振替記載等に係る特定口座管理機関(当該特定振替機関等が他の特定間接口座管理機関から当該振替国債の振替記載等を受ける者である場合には、当該他の特定間接口座管理機関及び当該振替国債の振替記載等に係る特定口座管理機関)及び特定振替機関を経由して当該税務署長に対し提出したとき)は、当該非居住者又は外国法人は、その支払を受けるべき利子につき同号ロの規定による振替国債所有期間明細書の提出をしたものとみなす。 - 日本法令外国語訳データベースシステム
  • (i) the price for Purchase, etc., the Number of Share Certificates, etc. Planned to be Purchased, the period of Purchase, etc. (including the statement included in the public notice under the second sentence of the preceding paragraph), the transfer and other settlement procedures and other terms of Purchase, etc. set by the Tender Offeror (hereinafter collectively referred to as the "Terms of Purchase, etc." in this Section);
    一 買付け等の価格、買付予定の株券等の数、買付け等の期間(前項後段の規定により公告において明示した内容を含む。)、買付け等に係る受渡しその他の決済及び公開買付者が買付け等に付した条件(以下この節において「買付条件等」という。) - 日本法令外国語訳データベースシステム
  • (11) Where a specified book-entry transfer institution, etc. has, pursuant to the provisions of Article 5-2(9) of the Act (including the cases where it is applied mutatis mutandis pursuant to paragraph (12) of the said Article), prepared and preserved a copy of a document prescribed in paragraph (9) of the said Article that has been presented thereto by a nonresident or foreign corporation, and the said nonresident or foreign corporation receives payment of interest on the book-entry transfer local government bonds for which he/she or it has made entries or records under the book-entry transfer system through the said specified book-entry transfer institution, etc., if the said specified book-entry transfer institution, etc. has, no later than the day preceding the day on which the said nonresident or foreign corporation is to receive payment of such interest, prepared a document containing the holding period and any other matters specified by an Ordinance of the Ministry of Finance with regard to the book-entry transfer local government bonds held by the said nonresident or foreign corporation based on the books for book-entry transfer that the said specified book-entry transfer institution, etc. keeps, and submitted the document to the district director set forth in paragraph (1)(ii)(b) of the said Article via the person who pays interest on the said book-entry transfer local government bonds (in the case where the said specified book-entry transfer institution, etc. is a specified account management institution, submission shall be made to the said district director via a specified book-entry transfer institution and the said person who pays the interest; in the case where the specified book-entry transfer institution, etc. is a specified indirect account management institution, submission shall be made to the said district director via [1] the specified account management institution pertaining to the entries or records under the book-entry transfer system regarding the said book-entry transfer local government bonds (in the case where the said specified book-entry transfer institution, etc. makes entries or records under the book-entry transfer system regarding the said book-entry transfer local government bonds through any other specified indirect account management institution, submission shall be made via the said other specified indirect account management institution and the specified account management institution pertaining to the entries or records under the book-entry transfer system regarding the said book-entry transfer local government bonds), [2] a specified book-entry transfer institution, and [3] the said person who pays the interest), the said nonresident or foreign corporation shall be deemed to have submitted a statement of the holding period of book-entry transfer local government bonds pursuant to the provisions of item (ii)(b) of the said paragraph with respect to the interest receivable thereby.
    11 特定振替機関等が法第五条の二第九項(同条第十二項において準用する場合を含む。)の規定により非居住者又は外国法人から提示を受けた同条第九項に規定する書類の写しを作成し、保存している場合において、当該非居住者又は外国法人が当該特定振替機関等から振替記載等を受けている振替地方債につきその利子の支払を受ける際、その利子の支払を受けるべき日の前日までに、当該特定振替機関等がその備える振替帳簿に基づき当該非居住者又は外国法人の当該振替地方債に係る所有期間その他の財務省令で定める事項を記載した書類を作成し、これを当該振替地方債の利子の支払をする者を経由して同条第一項第二号ロの税務署長に対し提出したとき(当該特定振替機関等が特定口座管理機関である場合には、特定振替機関及び当該利子の支払をする者を経由して当該税務署長に対し提出したとき、当該特定振替機関等が特定間接口座管理機関である場合には、当該振替地方債の振替記載等に係る特定口座管理機関(当該特定振替機関等が他の特定間接口座管理機関から当該振替地方債の振替記載等を受ける者である場合には、当該他の特定間接口座管理機関及び当該振替地方債の振替記載等に係る特定口座管理機関)及び特定振替機関並びに当該利子の支払をする者を経由して当該税務署長に対し提出したとき)は、当該非居住者又は外国法人は、その支払を受けるべき利子につき同号ロの規定による振替地方債所有期間明細書の提出をしたものとみなす。 - 日本法令外国語訳データベースシステム
  • (i) that a statement to the effect that the relevant Securities are to be subject to a restriction which prohibits a person who has acquired or purchased said Securities from transferring the Securities so acquired or purchased except in the case of the bulk transfer thereof (referred to as a "Restriction on Resale" in this paragraph) is made thereon, and that such Securities are to be delivered to the acquirer thereof;
    一 当該有価証券を取得し、又は買い付けた者がその取得又は買付けに係る有価証券を一括して譲渡する場合以外に譲渡することが禁止される旨の制限(以下この項において「転売制限」という。)が付されている旨が当該有価証券に記載され、当該有価証券の取得者に当該有価証券が交付されること。 - 日本法令外国語訳データベースシステム
  • Subject to the provisions of rule 8, where an application, notice, statement or other document or any fee authorized or required by the Act or the rules is made, served, left or sent or paid, at or to an office inadvertently which is not the appropriate office of the Trade Marks Registry, the Registrar may on his own or on a request in writing, transfer such application, notice, statement or document to the appropriate office if he is satisfied that it was a bona fide error by the applicant
    規則8の規定に従うことを条件として,法又は本規則により認められ又は必要とされる申請書,通知書,陳述書,又はその他の書類が,不注意により商標登録局の所轄支局でない支局において又は当該支局宛てに作成され,送達され,提出若しくは送付され,又は納付された場合において,登録官がそれを出願人による善意の誤りであったと納得するときは,登録官は,自己の裁量で又は書面をもってする請求に基づいて,当該申請書,通知書,陳述書又は書類を所轄支局に転送することができる。 - 特許庁
  • Article 201 In cases where a Specific Purpose Company intends to receive the transfer of beneficial interest in trust in accordance with the Asset Securitization Plan, if the contractual document pertaining to the trust lacks a statement to the effect that the trustee of said trust bears the obligation to notify the beneficiary without delay of any facts that the trustee has come to know with regard to important matters related to the administration and disposition of trust property pertaining to said trust (limited to matters which include matters to be stated in the Securities Registration Statements, etc. related to the Asset-Backed Securities that the Specific Purpose Company issues in accordance with the Asset Securitization Plan), the Specific Purpose Company shall not receive the transfer of beneficial interest.
    第二百一条 特定目的会社は、資産流動化計画に従い信託の受益権を譲り受けようとする場合において、当該信託に係る契約書に、当該信託の受託者が当該信託に係る信託財産の管理及び処分に関する重要な事項(当該特定目的会社が当該資産流動化計画に従い発行する資産対応証券に係る有価証券届出書等に記載すべき事項を含むものに限る。)につき知った事実を遅滞なく受益者に通知する義務を有する旨の記載がないときは、当該受益権を譲り受けてはならない。 - 日本法令外国語訳データベースシステム
  • Subsequently, former Prime Minister Fukuda made a statement on international environmental cooperation. With an understanding that the world must keep striving to improve energy efficiency until innovative technologies that can drastically reduce greenhouse gas emissions are developed and can become practically usable, he stated that Japan will help transfer its advanced environmental technologies to many countries to contribute to improving the global energy efficiency. He proposed that the world share the common goal of improving the global energy efficiency by 30% by 2020.
    次に、国際環境協力について、「温室効果ガスを大幅に削減できるような革新的な技術が実際に利用可能となるまでの当分の間は、世界全体でエネルギー効率を徹底的に高める努力」をしていかなければならないとの問題意識の下、具体的な方策として、我が国がもつ優れた環境関連技術を多くの国に移転することにより、世界全体のエネルギー効率の改善に取り組むことを表明し、世界全体で2020年までに30%のエネルギー効率の改善を世界が共有する目標とすることを提案した。 - 経済産業省
  • No application for the registration of a trade-mark may be amended where the amendment would change (a) the identity of the applicant, except after recognition of a transfer by the Registrar; (b) the trade-mark, except in respects that do not alter its distinctive character or affect its identity; (c) the date of first use or making known in Canada of the trade-mark to an earlier date, except where the evidence proves that the change is justified by the facts; (d) the application from one not alleging use or making known of the trade-mark in Canada before the filing of the application to one alleging such use or making known; or (e) the statement of wares or services so as to be broader than the statement of wares or services contained in the application at the time the application was filed pursuant to section 30 of the Act.
    商標登録出願について,補正が次の変更に係わる場合は,如何なる補正もすることができない。 (a) 登録官による移転の認可後を除き,出願人の同一性の変更 (b) 商標の識別性を変更しないか又はその同一性に影響を与えない場合を除き,商標の変更 (c) 証拠がその事実によって変更の正当性を証明する場合を除き,その商標のカナダで最初に使用した日又は公知にした日のうち何れか先の日への変更 (d) 出願前にその商標がカナダで使用され又は公知になった旨の主張のない出願から,使用され又は公知になった旨の主張のある出願への変更,又は (e) 法律第30条に従って行われた出願時に願書に含まれていた商品又はサービスの記載を拡張する商品又はサービスの記載への変更 - 特許庁
  • Article 13 (1) Where a seller or a Service Provider intends to receive a charge for goods or rights or a consideration for services in whole or in part from a person who has made an application for entering into a sales contract for the Designated Goods or Designated Rights or a Service Contract for the Designated Services, prior to the delivery of the goods, the transfer of the rights, or the offering of the services in conducting Mail Order Sales, when it receives the application for entering into a sales contract for the goods or rights or a Service Contract for the services by Postal Mail, etc. and receives the charge for the goods or rights or the consideration for the services in whole or in part, it shall notify said person in writing of its acceptance or non-acceptance of the application (when it has notified the person who made the application about the acceptance or non-acceptance of the application prior to the receipt of the application, it shall be a statement to the effect) or other matters specified by an Ordinance of the Ministry of Economy, Trade and Industry without delay, pursuant to the provisions of an Ordinance of the Ministry of Economy, Trade and Industry. However, this does not apply when the seller or the Service Provider sent the goods, transferred the rights, or offered the services without delay after receiving the charge for the goods or rights or the consideration for the services in whole or in part.
    第十三条 販売業者又は役務提供事業者は、指定商品若しくは指定権利又は指定役務につき売買契約又は役務提供契約の申込みをした者から当該商品の引渡し若しくは当該権利の移転又は当該役務の提供に先立つて当該商品若しくは当該権利の代金又は当該役務の対価の全部又は一部を受領することとする通信販売をする場合において、郵便等により当該商品若しくは当該権利又は当該役務につき売買契約又は役務提供契約の申込みを受け、かつ、当該商品若しくは当該権利の代金又は当該役務の対価の全部又は一部を受領したときは、遅滞なく、経済産業省令で定めるところにより、その申込みを承諾する旨又は承諾しない旨(その受領前にその申込みを承諾する旨又は承諾しない旨をその申込みをした者に通知している場合には、その旨)その他の経済産業省令で定める事項をその者に書面により通知しなければならない。ただし、当該商品若しくは当該権利の代金又は当該役務の対価の全部又は一部を受領した後遅滞なく当該商品を送付し、若しくは当該権利を移転し、又は当該役務を提供したときは、この限りでない。 - 日本法令外国語訳データベースシステム
  • Article 20 Where a seller or a Service Provider intends to receive a charge for goods or rights or a consideration for services in whole or in part from a person who has made an application for entering into a sales contract for Designated Goods or Designated Rights or a Service Contract for Designated Services, prior to the delivery of the goods, the transfer of the rights, or the offering of the services in conducting Telemarketing Sales, when it receives an application for entering into a sales contract for the goods or rights or a Service Contract for the services by Postal Mail, etc. and receives the charge for the goods or rights or the consideration for the services in whole or in part, it shall notify said person in writing of its acceptance or non-acceptance of the application (when it has notified the person who made the application about the acceptance or non-acceptance of the application prior to the receipt of the application, it shall be a statement to that effect) or other matters specified by an Ordinance of the Ministry of Economy, Trade and Industry without delay, pursuant to the provisions of an Ordinance of the Ministry of Economy, Trade and Industry. However, this does not apply when the seller or the Service Provider sent the goods, transferred the rights, or offered the services without delay after receiving the charge for the goods or rights or the consideration for the services in whole or in part.
    第二十条 販売業者又は役務提供事業者は、指定商品若しくは指定権利又は指定役務につき売買契約又は役務提供契約の申込みをした者から当該商品の引渡し若しくは当該権利の移転又は当該役務の提供に先立つて当該商品若しくは当該権利の代金又は当該役務の対価の全部又は一部を受領することとする電話勧誘販売をする場合において、郵便等により当該商品若しくは当該権利又は当該役務につき売買契約又は役務提供契約の申込みを受け、かつ、当該商品若しくは当該権利の代金又は当該役務の対価の全部又は一部を受領したときは、遅滞なく、経済産業省令で定めるところにより、その申込みを承諾する旨又は承諾しない旨(その受領前にその申込みを承諾する旨又は承諾しない旨をその申込みをした者に通知している場合には、その旨)その他の経済産業省令で定める事項をその者に書面により通知しなければならない。ただし、当該商品若しくは当該権利の代金又は当該役務の対価の全部又は一部を受領した後遅滞なく当該商品を送付し、若しくは当該権利を移転し、又は当該役務を提供したときは、この限りでない。 - 日本法令外国語訳データベースシステム
  • (2) Article 27-2(2) to (6) inclusive, Article 27-3 (excluding the second sentence of paragraph (1) and item (ii) of paragraph (2)), Article 27-4, Article 27-5 (limited to the non-itemized part thereof; the same shall apply in paragraph (5) and Article 27-22-3(5)), Articles 27-6 to 27-9 inclusive (excluding Article 27-8(6), (10) and (12)), Article 27-11 to 15 inclusive (excluding Article 27-11(4) and Article 27-13(3) and (4)(i)), Article 27-17, Article 27-18, Article 27-21(1) and paragraph (1) of the preceding Article shall apply mutatis mutandis to Purchase, etc. conducted under the preceding paragraph by means of Tender Offer. In this case, the term "Share Certificates, etc." in these provisions (excluding Article 27-3(4) and the proviso to Article 27-11(1)) shall be deemed to be replaced with "Listed Share Certificates, etc."; the term "Sales, etc. (meaning sales or other type of transfer for value; hereinafter the same shall apply in this Section)" shall be deemed to be replaced with "Sales, etc."; the term "the following matters" in Article 27-3(2) shall be deemed to be replaced with "the matters listed in items (i) and (iii) below"; the part "period of Purchase, etc. (including the statement included in the public notice under the second sentence of the preceding paragraph)" in Article 27-3(2)(i) shall be deemed to be replaced with "period of Purchase, etc."; the part "The Tender Offeror, Persons in Special Relationship with the Tender Offeror (meaning Persons in Special Relationship as defined in Article 27-2(7); hereinafter the same shall apply in this Section), or other person concerned as specified by a Cabinet Order" in Article 27-3(3) shall be deemed to be replaced with "the Tender Offeror or other person concerned as specified by a Cabinet Order"; the part "to the Issuer of the Share Certificates, etc. to which the Tender Offer is made (and the person who has already submitted a Tender Offer Notification with regard to any Share Certificates, etc. issued by the Issuer as of the day on which the Tender Offer Notification is submitted, if any), and, if the Share Certificates, etc. for which the Tender Offer is made fall under any of the categories listed in the following items, also send a copy of the Tender Offer Notification to the exchange or association specified in the following items for each kind of Share Certificates, etc. set forth in the respective items" in the first sentence of Article 27-3(4) shall be deemed to be replaced with "to the exchange or association specified in the following items for each kind of Securities set forth in the respective items, and also send a copy of the Tender Offer Notification to the person who has already submitted a Tender Offer Notification with regard to any Share Certificates, etc. issued by the Issuer as of the day on which the Tender Offer Notification is submitted, if any"; the term "Share Certificates, etc." in the items of Article 27-3(4) shall be deemed to be replaced with "Listed Share Certificates, etc."; the part "lower the price for Purchase, etc. (excluding those implemented in cases where the Public Notice for Commencing Tender Offer and the Tender Offer Notification state as one of the Terms of Purchase, etc. that the price for Purchase, etc. may be lowered according to standards specified by a Cabinet Office Ordinance if the Subject Company (meaning Subject Company defined in Article 27-10(1)) conducts share split or other act specified by a Cabinet Order.)" in Article 27-6(1)(i) shall be deemed to be replaced with "lower the price for Purchase, etc."; the part "the details of the change in the Terms of Purchase, etc. (excluding the extension of the period for Purchase, etc. made under Article 27-10(3))" in Article 27-6(2) shall be deemed to be replaced with "the details of the change in the Terms of Purchase, etc."; the part "any change in the Terms of Purchase, etc. (excluding the extension of the period for Purchase, etc. made under Article 27-10(3))" in Article 27-8(2) shall be deemed to be replaced with "any change in the Terms of Purchase, etc."; the part "the Tender Offeror states as one of the Terms of Purchase, etc. in the Public Notice for Commencing Tender Offer and Tender Offer Notification that the Tender Offer may be withdrawn if there occurs any important change in the business or property of the Issuer of the Share Certificates, etc. for which the Tender Offer is made or its Subsidiary (meaning Subsidiary as defined in Article 2(iii) of the Companies Act) or there occurs any other circumstance that would significantly impede the achievement of the purpose of the Tender Offer (limited to those specified by a Cabinet Order), or where a decision of commencement of bankruptcy proceedings is made against the Tender Offeror or there occurs any other material change in circumstances as specified by a Cabinet Order" in the proviso to Article 27-11(1) shall be deemed to be replaced with "Purchase, etc. of Listed Share Certificates, etc. conducted through the Tender Offer violates other laws and regulations or where there occurs any circumstances specified by a Cabinet Order as those involving the risk of violation of other laws and regulations"; the part "states any of the following as one of the Terms of Purchase, etc. in the Public Notice for Commencing Tender Offer and Tender Offer Notification (with regard to the term specified in item (ii), limited to cases where the Share Certificates, etc. Holding Rate (meaning Share Certificates, etc. Holding Rate as defined in Article 27-2(8)) of Share Certificates, etc. in possession by the Tender Offeror after the Tender Offer, or, in cases where there are Persons in Special Relationship as specified in Article 27-2(1)(i) with the Tender Offeror, the Share Certificates, etc. Holding Rate calculated by adding the Share Certificates, etc. Holding Rate of the Persons in Special Relationship as defined in Article 27-2(8) to that for the person who conducted the Purchase, etc.) will not exceed the rate specified by a Cabinet Order)" in Article 27-13(4) shall be deemed to be replaced with "states the term specified in item (ii) below as one of the Terms of Purchase, etc. in the Public Notice for Commencing Tender Offer and Tender Offer Notification"; the part ", the Subject Company's Position Statement and the Tender Offeror's Answer (including" in Article 27-14(1) shall be deemed to be replaced with "(including"; the part ", Article 27-10(9) (including the cases where it is applied mutatis mutandis pursuant to Article 27-10(10)) and Article 27-10(13) (including the cases where it is applied mutatis mutandis pursuant to Article 27-10(14)) at" in Article 27-14(3) shall be deemed to be replaced with "at"; the part ", Tender Offer Report, Subject Company's Position Statement or Tender Offeror's Answer" in Article 27-15(1) shall be deemed to be replaced with "or Tender Offer Report"; the term "Tender Offeror, etc. and the Subject Company" in Article 27-15(2) shall be deemed to be replaced with "Tender Offeror"; and the term "Tender Offeror, Persons in Special Relationship with the Tender Offeror" in paragraph (1) of the preceding Article shall be deemed to be replaced with "Tender Offeror."
    2 第二十七条の二第二項から第六項まで、第二十七条の三(第一項後段及び第二項第二号を除く。)、第二十七条の四、第二十七条の五(各号列記以外の部分に限る。第五項及び第二十七条の二十二の三第五項において同じ。)、第二十七条の六から第二十七条の九まで(第二十七条の八第六項、第十項及び第十二項を除く。)、第二十七条の十一から第二十七条の十五まで(第二十七条の十一第四項並びに第二十七条の十三第三項及び第四項第一号を除く。)、第二十七条の十七、第二十七条の十八、第二十七条の二十一第一項及び前条第一項の規定は、前項の規定により公開買付けによる買付け等を行う場合について準用する。この場合において、これらの規定(第二十七条の三第四項及び第二十七条の十一第一項ただし書を除く。)中「株券等」とあるのは「上場株券等」と、第二十七条の二第六項中「売付け等(売付けその他の有償の譲渡をいう。以下この章において同じ。)」とあるのは「売付け等」と、第二十七条の三第二項中「次に」とあるのは「第一号及び第三号に」と、同項第一号中「買付け等の期間(前項後段の規定により公告において明示した内容を含む。)」とあるのは「買付け等の期間」と、同条第三項中「公開買付者、その特別関係者(第二十七条の二第七項に規定する特別関係者をいう。以下この節において同じ。)その他政令で定める関係者」とあるのは「公開買付者その他政令で定める関係者」と、同条第四項前段中「当該公開買付けに係る株券等の発行者(当該公開買付届出書を提出した日において、既に当該発行者の株券等に係る公開買付届出書の提出をしている者がある場合には、当該提出をしている者を含む。)に送付するとともに、当該公開買付けに係る株券等が次の各号に掲げる株券等に該当する場合には、当該各号に掲げる株券等の区分に応じ、当該各号に定める者」とあるのは「次の各号に掲げる当該公開買付けに係る上場株券等の区分に応じ、当該各号に定める者に送付するとともに、当該公開買付届出書を提出した日において、既に当該公開買付者が発行者である株券等に係る公開買付届出書の提出をしている者がある場合には、当該提出をしている者」と、同項各号中「株券等」とあるのは「上場株券等」と、第二十七条の五ただし書中「次に掲げる」とあるのは「政令で定める」と、第二十七条の六第一項第一号中「買付け等の価格の引下げ(公開買付開始公告及び公開買付届出書において公開買付期間中に対象者(第二十七条の十第一項に規定する対象者をいう。)が株式の分割その他の政令で定める行為を行つたときは内閣府令で定める基準に従い買付け等の価格の引下げを行うことがある旨の条件を付した場合に行うものを除く。)」とあるのは「買付け等の価格の引下げ」と、同条第二項中「買付条件等の変更の内容(第二十七条の十第三項の規定により買付け等の期間が延長された場合における当該買付け等の期間の延長を除く。)」とあるのは「買付条件等の変更の内容」と、第二十七条の八第二項中「買付条件等の変更(第二十七条の十第三項の規定による買付け等の期間の延長を除く。)」とあるのは「買付条件等の変更」と、第二十七条の十一第一項ただし書中「公開買付者が公開買付開始公告及び公開買付届出書において公開買付けに係る株券等の発行者若しくはその子会社(会社法第二条第三号に規定する子会社をいう。)の業務若しくは財産に関する重要な変更その他の公開買付けの目的の達成に重大な支障となる事情(政令で定めるものに限る。)が生じたときは公開買付けの撤回等をすることがある旨の条件を付した場合又は公開買付者に関し破産手続開始の決定その他の政令で定める重要な事情の変更が生じた」とあるのは「当該公開買付けにより当該上場株券等の買付け等を行うことが他の法令に違反することとなる場合又は他の法令に違反することとなるおそれがある事情として政令で定める事情が生じた」と、第二十七条の十三第四項中「次に掲げる条件を付した場合(第二号の条件を付す場合にあつては、当該公開買付けの後における公開買付者の所有に係る株券等の株券等所有割合(第二十七条の二第八項に規定する株券等所有割合をいい、当該公開買付者に同条第一項第一号に規定する特別関係者がある場合にあつては、当該特別関係者の所有に係る株券等の同条第八項に規定する株券等所有割合を加算したものをいう。)が政令で定める割合を下回る場合に限る。)」とあるのは「第二号に掲げる条件を付した場合」と、第二十七条の十四第一項中「、意見表明報告書及び対質問回答報告書(これらの」とあるのは「(その」と、同条第三項中「並びに第二十七条の十第九項(同条第十項において準用する場合を含む。)及び第十三項(同条第十四項において準用する場合を含む。)の規定」とあるのは「の規定」と、第二十七条の十五第一項中「、公開買付報告書、意見表明報告書又は対質問回答報告書」とあるのは「又は公開買付報告書」と、同条第二項中「公開買付者等及び対象者」とあるのは「公開買付者等」と、前条第一項中「公開買付者若しくはその特別関係者」とあるのは「公開買付者」と読み替えるものとする。 - 日本法令外国語訳データベースシステム

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