| III-7
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(p) No: (i) Covered Entity nor any employees, officers, directors, or, to UGI’s knowledge,
affiliates, consultants, brokers or agents acting on a Covered Entity’s behalf in connection with
this Agreement: (x) is a Sanctioned Person; (y) to UGI’s knowledge, directly, or indirectly
through any third party, is engaged in any transactions or other dealings with or for the benefit of
any Sanctioned Person or Sanctioned Jurisdiction, or any transactions or other dealings that
otherwise are prohibited by any Anti-Terrorism Laws or Sanctions Laws; (ii) Pool Asset is
Embargoed Property.
(p) Each Covered Entity, and its directors, officers, employees and to the knowledge of
any Seller-Related Party, any agent, or affiliate acting on behalf of such Covered Entity: (a) is
not a Sanctioned Person; (b) does not do any business in or with, or derive any of its operating
income from direct or indirect investments in or transactions involving, any Sanctioned
Jurisdiction or Sanctioned Person; and (c) is not in violation of, and has not, during the past five
(5) years, directly or indirectly, taken any act that could cause any Covered Entity to be in
violation of, applicable International Trade Laws. No Covered Entity nor any of its directors,
officers, employees, or, to the knowledge of any Seller-Related Party, its agents or affiliates
acting on behalf of such Covered Entity has, during the past five (5) years, received any notice or
communication from any Person that alleges, or has been involved in an internal investigation
involving any allegations relating to, potential violation of any International Trade Laws, or has
received a request for information from any Governmental Authority regarding International
Trade Law matters. Each Covered Entity has instituted and maintains policies and procedures
reasonably designed to ensure compliance with applicable International Trade Laws. UGI
represents and warrants that there is no Blocked Property pledged as Pool Assets.
(q) Each Covered Entity has (a) conducted its business in compliance with all
Anti-Corruption Laws and (b) has, and shall ensure that each of its Subsidiaries has,, and its
directors, officers and employees, and to the knowledge of any Seller-Related Party, any agent,
or affiliate acting on behalf of such Covered Entity, is not in violation of, and has not, during the
past five (5) years, directly or indirectly, taken any act that could cause any Covered Entity to be
in violation of Anti-Corruption Laws, including any act in furtherance of an offer, payment,
promise to pay, authorization, or ratification of payment, directly or indirectly, of any money or
anything of value (including any gift, sample, rebate, travel, meal and lodging expense,
entertainment, service, equipment, debt forgiveness, donation, grant or other thing of value,
however characterized) to any Government Official or any other Person to secure any improper
advantage or to obtain or retain business. No Covered Entity nor any of its directors, officers,
employees, or, to the knowledge of any Seller-Related Party, its agents or affiliates acting on
behalf of such Covered Entity has, during the past five (5) years, received any notice or
communication from any Person that alleges, or has been involved in an internal investigation
involving any allegations relating to, potential violation of any Anti-Corruption Laws, or has
received a request for information from any Governmental Authority regarding Anti-Corruption
Law matters. Each Covered Entity has instituted and maintains policies and procedures
reasonably designed to promoteensure compliance with Anti-Corruption Laws and Sanctions
Laws. |