(t) To the knowledge of the Company, the Company and its subsidiaries have operated their
business in material compliance with all applicable privacy, data security and data protection laws and regulations applicable to the receipt, collection, handling, processing, sharing, transfer, usage, disclosure and storage of personally
identifiable information, financial and other highly confidential information and data that the Company or its subsidiaries receive, collect, handle, process, share, transfer, use, disclose, or store in the operation of their respective businesses
(collectively, Personal and Device Data), except where any failures to comply would not, individually or in the aggregate, reasonably be expected to have a Material Adverse Effect. Except as would not, individually or in the
aggregate, reasonably be expected to have a Material Adverse Effect, the Company and its subsidiaries have, and are in material compliance with their, policies and procedures designed to ensure the Company and its subsidiaries comply in all material
respects with such privacy, data security and data protection laws. To the knowledge of the Company, the Company has not experienced any security incident that has resulted in unauthorized third-party acquisition of, or access to, Personal and
Device Data, except where any such incidents would not, individually or in the aggregate, reasonably be expected to have a Material Adverse Effect.
(u) None of the Company or any of its subsidiaries or affiliates, or any director, officer, or employee thereof, or, to the Companys
knowledge, any agent or representative of the Company or of any of its subsidiaries or affiliates, while acting on the behalf of the Company or its subsidiaries or affiliates, has taken or will take any action in furtherance of an offer, payment,
promise to pay, or authorization or approval of the payment, giving or receipt of money, property, gifts or anything else of value, directly or indirectly, to any person to improperly influence official action by that person for the benefit of the
Company or its subsidiaries or affiliates, or to otherwise secure any improper advantage, in violation of (i) the U.S. Foreign Corrupt Practices Act of 1977, (ii) the UK Bribery Act 2010, and (iii) any other applicable law, regulation,
order, decree or directive having the force of law and relating to bribery or corruption (collectively, the Anti-Corruption Laws).
(v) The operations of the Company and each of its subsidiaries are and have been conducted at all times in material compliance with all
applicable anti-money laundering laws, rules, and regulations, including the financial recordkeeping and reporting requirements contained therein, and including the Bank Secrecy Act of 1970, applicable provisions of the USA PATRIOT Act of 2001, the
Money Laundering Control Act of 1986, and the Anti-Money Laundering Act of 2020, (collectively, the Anti-Money Laundering Laws).
(w) (i) None of the Company, any of its subsidiaries, or any director, officer, employee, agent, affiliate, or representative of the Company
or any of its subsidiaries, is an individual or entity (Person) that is, or is owned or, as applicable under Sanctions controlled, by one or more Persons that are:
(A) Included on any list of sanctioned individuals or entities administered or enforced by the United States Government
(including the U.S. Department of the Treasurys Office of Foreign Assets Control and the U.S. Department of State), the United Nations Security Council, the European Union, His Majestys Treasury, or any other applicable sanctions
authority (collectively, Sanctions); or
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