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Koninklijke Philips NV – ‘20-F’ for 12/31/17 – ‘EX-4’

On:  Tuesday, 2/20/18, at 5:31pm ET   ·   For:  12/31/17   ·   Accession #:  313216-18-7   ·   File #:  1-05146-01

Previous ‘20-F’:  ‘20-F’ on 2/21/17 for 12/31/16   ·   Next:  ‘20-F’ on 2/27/19 for 12/31/18   ·   Latest:  ‘20-F’ on 2/20/24 for 12/31/23   ·   1 Reference:  By:  Koninklijke Philips NV – ‘20-F’ on 2/23/21 for 12/31/20

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  As Of               Filer                 Filing    For·On·As Docs:Size

 2/20/18  Koninklijke Philips NV            20-F       12/31/17  211:38M

Annual Report by a Foreign Non-Canadian Issuer   —   Form 20-F   —   Sect. 13 / 15(d) – SEA’34
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 20-F        Annual Report by a Foreign Non-Canadian Issuer      HTML   4.73M 
 7: EX-1        Underwriting Agreement                              HTML    130K 
 8: EX-4        Instrument Defining the Rights of Security Holders  HTML     83K 
10: EX-8        Opinion of Counsel re: Tax Matters                  HTML    197K 
13: EX-13       Annual or Quarterly Report to Security Holders      HTML     55K 
14: EX-13       Annual or Quarterly Report to Security Holders      HTML     56K 
 9: EX-7        Letter re: Non-Reliance on a Previously Issued      HTML     73K 
                Audit Report or Completed Interim Review                         
11: EX-12       Statement re: Computation of Ratios                 HTML     59K 
12: EX-12       Statement re: Computation of Ratios                 HTML     59K 
15: EX-15       Letter re: Unaudited Interim Financial Info         HTML     54K 
16: EX-15       Letter re: Unaudited Interim Financial Info         HTML     53K 
17: EX-15       Letter re: Unaudited Interim Financial Info         HTML     60K 
19: R1          Document and Entity Information                     HTML     77K 
20: R2          Consolidated statements of income                   HTML    128K 
21: R3          Consolidated statements of comprehensive income     HTML    125K 
22: R4          Consolidated balance sheets                         HTML    167K 
23: R5          Consolidated statements of cash flows               HTML    173K 
24: R6          Consolidated statements of changes in equity        HTML    111K 
25: R7          Consolidated statements of changes in equity        HTML     60K 
                (Parenthetical)                                                  
26: R8          Significant accounting policies                     HTML    156K 
27: R9          Information by segment and main country             HTML    280K 
28: R10         Discontinued operations and assets classified as    HTML    114K 
                held for sale                                                    
29: R11         Acquisitions and divestments                        HTML     83K 
30: R12         Interests in entities                               HTML     97K 
31: R13         Income from operations                              HTML    184K 
32: R14         Financial income and expenses                       HTML     88K 
33: R15         Income taxes                                        HTML    213K 
34: R16         Earnings per share                                  HTML    138K 
35: R17         Property, plant and equipment                       HTML    154K 
36: R18         Goodwill                                            HTML    112K 
37: R19         Intangible assets excluding goodwill                HTML    190K 
38: R20         Other financial assets                              HTML    105K 
39: R21         Other assets                                        HTML     55K 
40: R22         Inventories                                         HTML     62K 
41: R23         Receivables                                         HTML     87K 
42: R24         Equity                                              HTML    127K 
43: R25         Debt                                                HTML    152K 
44: R26         Provisions                                          HTML    233K 
45: R27         Post-employment benefits                            HTML    174K 
46: R28         Accrued liabilities                                 HTML     78K 
47: R29         Other liabilities                                   HTML     71K 
48: R30         Cash flow statement supplementary information       HTML    103K 
49: R31         Contingent assets and liabilities                   HTML     66K 
50: R32         Related-party transactions                          HTML     66K 
51: R33         Share-based compensation                            HTML    172K 
52: R34         Information on remuneration                         HTML    342K 
53: R35         Fair value of financial assets and liabilities      HTML    243K 
54: R36         Details of treasury risks                           HTML    152K 
55: R37         Subsequent events                                   HTML     54K 
56: R38         Significant accounting policies (Policies)          HTML    230K 
57: R39         Information by segment and main country (Tables)    HTML    280K 
58: R40         Discontinued operations and assets classified as    HTML    126K 
                held for sale (Tables)                                           
59: R41         Acquisitions and divestments (Tables)               HTML     79K 
60: R42         Interests in entities (Tables)                      HTML     75K 
61: R43         Income from operations (Tables)                     HTML    193K 
62: R44         Financial income and expenses (Tables)              HTML     87K 
63: R45         Income taxes (Tables)                               HTML    211K 
64: R46         Earnings per share (Tables)                         HTML    137K 
65: R47         Property, plant and equipment (Tables)              HTML    156K 
66: R48         Goodwill (Tables)                                   HTML    109K 
67: R49         Intangible assets excluding goodwill (Tables)       HTML    192K 
68: R50         Other financial assets (Tables)                     HTML    102K 
69: R51         Inventories (Tables)                                HTML     60K 
70: R52         Receivables (Tables)                                HTML     89K 
71: R53         Equity (Tables)                                     HTML    138K 
72: R54         Debt (Tables)                                       HTML    154K 
73: R55         Provisions (Tables)                                 HTML    231K 
74: R56         Post-employment benefits (Tables)                   HTML    173K 
75: R57         Accrued liabilities (Tables)                        HTML     76K 
76: R58         Other liabilities (Tables)                          HTML     72K 
77: R59         Cash flow statement supplementary information       HTML    101K 
                (Tables)                                                         
78: R60         Related-party transactions (Tables)                 HTML     62K 
79: R61         Share-based compensation (Tables)                   HTML    167K 
80: R62         Information on remuneration (Tables)                HTML    347K 
81: R63         Fair value of financial assets and liabilities      HTML    242K 
                (Tables)                                                         
82: R64         Details of treasury risks (Tables)                  HTML    129K 
83: R65         Significant accounting policies - Text details      HTML     96K 
                (Detail)                                                         
84: R66         Information by segment and main country - Text      HTML     54K 
                details (Detail)                                                 
85: R67         Information by segment and main country -           HTML     88K 
                Information on income statement (Detail)                         
86: R68         Information by segment and main country - Net       HTML    111K 
                income to Adjusted EBITA (Detail)                                
87: R69         Information by segment and main country - Main      HTML     86K 
                countries (Detail)                                               
88: R70         Discontinued operations - Text details (Detail)     HTML    155K 
89: R71         Discontinued operations - Net of income taxes       HTML     65K 
                (Detail)                                                         
90: R72         Discontinued operations - Results Lighting          HTML     84K 
                (Detail)                                                         
91: R73         Discontinued operations - Results of combined       HTML     77K 
                Lumileds and Automative Lighting businesses                      
                (Detail)                                                         
92: R74         Discontinued operations - Cash flows (Detail)       HTML     63K 
93: R75         Acquisitions and divestments - Text details         HTML    138K 
                (Detail)                                                         
94: R76         Acquisitions and divestments - Spectranetics -      HTML     77K 
                Balance sheet (Detail)                                           
95: R77         Acquisitions and divestments - Spectranetics -      HTML     66K 
                Other intangible assets (Detail)                                 
96: R78         Acquisitions and divestments - Pro-forma            HTML     71K 
                Statements of income for Spectranetics acquisition               
                (Unaudited) (Detail)                                             
97: R79         Interests in entities - Text details (Detail)       HTML     86K 
98: R80         Interests in entities - Interest in group           HTML    103K 
                companies (Detail)                                               
99: R81         Interests in entities - Summarized financial        HTML     62K 
                information for Philips Lighting (Detail)                        
100: R82         Interests in entities - Summarized income           HTML     74K  
                statement of Philips Lighting (Unaudited) (Detail)               
101: R83         Interests in entities - Summarized net asset value  HTML     75K  
                of Philips Lighting (Unaudited) (Detail)                         
102: R84         Income from operations - Text details (Detail)      HTML     59K  
103: R85         Income from operations - Sales and costs by nature  HTML     83K  
                (Detail)                                                         
104: R86         Income from operations - Sales and costs by nature  HTML     57K  
                (Detail Parenthetical)                                           
105: R87         Income from operations - Sales composition          HTML     68K  
                (Detail)                                                         
106: R88         Income from operations - Sales composition (Detail  HTML     54K  
                Parenthetical)                                                   
107: R89         Income from operations - Employee benefit expenses  HTML     65K  
                (Detail)                                                         
108: R90         Income from operations - Employee benefit expenses  HTML     58K  
                (Detail Parenthetical)                                           
109: R91         Income from operations - Employees in FTEs          HTML     71K  
                (Detail)                                                         
110: R92         Income from operations - Employees per              HTML     64K  
                geographical location (Detail)                                   
111: R93         Income from operations - Depreciation and           HTML     71K  
                amortization (Detail)                                            
112: R94         Income from operations - Audit fees (Detail)        HTML     76K  
113: R95         Income from operations - Audit fees (Detail         HTML     56K  
                Parenthetical)                                                   
114: R96         Income from operations - Other business income      HTML     78K  
                (Expenses) (Detail)                                              
115: R97         Financial income and expenses - Text details        HTML     69K  
                (Detail)                                                         
116: R98         Financial income and expenses - Financial income    HTML     98K  
                and expenses (Detail)                                            
117: R99         Income taxes - Text details (Detail)                HTML    105K  
118: R100        Income taxes - Income tax expense (Detail)          HTML     71K  
119: R101        Income taxes - Current income tax expense (Detail)  HTML     60K  
120: R102        Income taxes - Deferred income tax expense          HTML     67K  
                (Detail)                                                         
121: R103        Income taxes - Effective income tax rate (Detail)   HTML     77K  
122: R104        Income taxes - Deferred tax assets and liabilities  HTML    116K  
                (Detail)                                                         
123: R105        Income taxes - Expiry years of net operating loss   HTML     77K  
                carryforwards (Detail)                                           
124: R106        Earnings per share - Earnings per share (Detail)    HTML    104K  
125: R107        Earnings per share - Earnings per share (Detail     HTML     55K  
                Parenthetical)                                                   
126: R108        Property, plant and equipment - Text details        HTML     58K  
                (Detail)                                                         
127: R109        Property, plant and equipment - Property, plant     HTML    122K  
                and equipment (Detail)                                           
128: R110        Property, plant and equipment - Useful lives of     HTML     60K  
                property, plant and equipment (Detail)                           
129: R111        Property, plant and equipment - Operating lease -   HTML     67K  
                minimum payments under sale-and-leaseback                        
                arrangements (Detail)                                            
130: R112        Goodwill - Text details (Detail)                    HTML     82K  
131: R113        Goodwill - Goodwill (Detail)                        HTML     77K  
132: R114        Goodwill - Goodwill allocated to the                HTML     69K  
                cash-generating units (Detail)                                   
133: R115        Goodwill - Impairment assumptions (Detail)          HTML     79K  
134: R116        Intangible assets excluding goodwill - Text         HTML     78K  
                details (Detail)                                                 
135: R117        Intangible assets excluding goodwill - Intangible   HTML    147K  
                assets excluding goodwill (Detail)                               
136: R118        Intangible assets excluding goodwill - Estimated    HTML     73K  
                amortization expense for other intangible assets                 
                (Detail)                                                         
137: R119        Intangible assets excluding goodwill - Expected     HTML     67K  
                useful lives of the intangible assets excluding                  
                goodwill (Detail)                                                
138: R120        Other financial assets - Text details (Detail)      HTML     75K  
139: R121        Other financial assets - Other non-current          HTML     78K  
                financial assets (Detail)                                        
140: R122        Other assets - Text details (Detail)                HTML     61K  
141: R123        Inventories - Text details (Detail)                 HTML     55K  
142: R124        Inventories - Inventories (Detail)                  HTML     63K  
143: R125        Receivables - Text details (Detail)                 HTML     72K  
144: R126        Receivables - Accounts receivables-net (Detail)     HTML     67K  
145: R127        Receivables - Aging analysis (Detail)               HTML     63K  
146: R128        Receivables - Allowance for doubtful accounts       HTML     66K  
                receivable (Detail)                                              
147: R129        Equity - Text details (Detail)                      HTML    145K  
148: R130        Equity - Outstanding number of shares (Detail)      HTML     64K  
149: R131        Equity - Employee option and share plan             HTML     69K  
                transactions (Detail)                                            
150: R132        Equity - Share capital transactions (Detail)        HTML     68K  
151: R133        Equity - Composition of net debt and group equity   HTML     77K  
                (Detail)                                                         
152: R134        Debt - Text details (Detail)                        HTML    109K  
153: R135        Debt - Long-term debt (Detail)                      HTML    119K  
154: R136        Debt - Long-term debts due in the next five years   HTML     72K  
                (Detail)                                                         
155: R137        Debt - Unsecured Bonds (Detail)                     HTML     92K  
156: R138        Debt - Finance lease liabilities (Detail)           HTML     68K  
157: R139        Debt - Short-term debt (Detail)                     HTML     62K  
158: R140        Provisions - Text details (Detail)                  HTML    139K  
159: R141        Provisions - Provisions (Detail)                    HTML     75K  
160: R142        Provisions - Provisions for product warranty        HTML     68K  
                (Detail)                                                         
161: R143        Provisions - Environmental provisions (Detail)      HTML     81K  
162: R144        Provisions - Restructuring related provisions       HTML    102K  
                (Detail)                                                         
163: R145        Provisions - Litigation provisions (Detail)         HTML     78K  
164: R146        Provisions - Other provisions (Detail)              HTML     76K  
165: R147        Post-employment benefits - Text details (Detail)    HTML    110K  
166: R148        Post-employment benefits - Pre-tax costs for        HTML     68K  
                post-employment benefits (Detail)                                
167: R149        Post-employment benefits - Defined-benefit          HTML     93K  
                obligations (Detail)                                             
168: R150        Post-employment benefits - Plan assets (Detail)     HTML     84K  
169: R151        Post-employment benefits - Changes in the effect    HTML     66K  
                of the asset ceiling (Detail)                                    
170: R152        Post-employment benefits - Plan assets allocation   HTML     68K  
                (Detail)                                                         
171: R153        Post-employment benefits - Assumptions used to      HTML     60K  
                calculate the defined-benefit obligations (Detail)               
172: R154        Post-employment benefits - Sensitivity of key       HTML     67K  
                assumptions (Detail)                                             
173: R155        Accrued liabilities - Accrued liabilities (Detail)  HTML     82K  
174: R156        Other liabilities - Other non-current liabilities   HTML     60K  
                (Detail)                                                         
175: R157        Other liabilities - Other current liabilities       HTML     62K  
                (Detail)                                                         
176: R158        Cash flow statement supplementary information -     HTML     61K  
                Text details (Detail)                                            
177: R159        Cash flow statement supplementary information -     HTML    127K  
                Reconciliation of liabilities arising from                       
                financing activities (Detail)                                    
178: R160        Contingent assets and liabilities - Text details    HTML     68K  
                (Detail)                                                         
179: R161        Related-party transactions - Text details (Detail)  HTML     54K  
180: R162        Related-party transactions - Related-party          HTML     63K  
                transactions (Detail)                                            
181: R163        Share-based compensation - Text details (Detail)    HTML    150K  
182: R164        Share-based compensation - Performance share plans  HTML     88K  
                (Detail)                                                         
183: R165        Share-based compensation - Restricted shares        HTML     82K  
                (Detail)                                                         
184: R166        Share-based compensation - Options on               HTML     81K  
                EUR-denominated listed share (Detail)                            
185: R167        Share-based compensation - Options on               HTML     82K  
                USD-denominated listed share (Detail)                            
186: R168        Share-based compensation - Outstanding options      HTML     93K  
                (Detail)                                                         
187: R169        Share-based compensation - Accelerate options       HTML     77K  
                (Detail)                                                         
188: R170        Information on remuneration - Text details          HTML     80K  
                (Detail)                                                         
189: R171        Information on remuneration - Remuneration costs    HTML     77K  
                of the Executive Committee (Detail)                              
190: R172        Information on remuneration - Remuneration costs    HTML     56K  
                of the Executive Committee (Detail Parenthetical)                
191: R173        Information on remuneration - Remuneration costs    HTML    146K  
                of individual members of the Board of Management                 
                (Detail)                                                         
192: R174        Information on remuneration - Number of             HTML    112K  
                performance shares (Holdings) (Detail)                           
193: R175        Information on remuneration - Stock options         HTML    130K  
                (Holdings) (Detail)                                              
194: R176        Information on remuneration - Accumulated annual    HTML     69K  
                pension entitlements and pension-related costs                   
                (Detail)                                                         
195: R177        Information on remuneration - Remuneration of the   HTML    124K  
                Supervisory Board (Detail)                                       
196: R178        Information on remuneration - Remuneration of the   HTML     55K  
                Supervisory Board (Detail Parenthetical)                         
197: R179        Information on remuneration - Shares held by Board  HTML     66K  
                members (Detail)                                                 
198: R180        Fair value of financial assets and liabilities -    HTML     72K  
                Text details (Detail)                                            
199: R181        Fair value of financial assets and liabilities -    HTML    142K  
                Fair value of financial assets and liabilities                   
                (Detail)                                                         
200: R182        Fair value of financial assets and liabilities -    HTML     74K  
                Reconciliation of the fair value hierarchy                       
                (Detail)                                                         
201: R183        Fair value of financial assets and liabilities -    HTML     67K  
                Financial assets subject to offsetting (Detail)                  
202: R184        Fair value of financial assets and liabilities -    HTML     67K  
                Financial liabilities subject to offsetting                      
                (Detail)                                                         
203: R185        Details of treasury risks - Text details (Detail)   HTML    210K  
204: R186        Details of treasury risks - Contractual cash        HTML     86K  
                obligations (Detail)                                             
205: R187        Details of treasury risks - Estimated transaction   HTML    102K  
                exposure and related hedges (Detail)                             
206: R188        Details of treasury risks - Credit risk with        HTML     67K  
                number of counterparties (Detail)                                
207: R9999       Uncategorized Items - phg-20171231.htm              HTML     67K  
209: XML         IDEA XML File -- Filing Summary                      XML    394K  
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208: EXCEL       IDEA Workbook of Financial Reports                  XLSX    283K  
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‘EX-4’   —   Instrument Defining the Rights of Security Holders


This Exhibit is an HTML Document rendered as filed.  [ Alternative Formats ]



 C:   C:   <> 
  Royal Philips - 20F - Exhibit 4 (c)  

Exhibit 4 (c)

Service contract between the Company and M.J. van Ginneken

The following contract is the services contract of Mr M.J. van Ginneken, containing terms and conditions for the provision of services and other arrangements that apply with effect from November 1, 2017 (“the Commencement Date”) as member of the Board of Management of Royal Philips (“Koninklijke Philips N.V.”, hereinafter also referred to as the Company)

1. Commencement of Engagement

2. Duration of the Engagement

3. Compensation

Your annual compensation as of the Commencement Date amounts to EUR 550,000 gross, which amount includes holiday allowances, to be paid in twelve equal monthly installments after deduction of the statutory tax and social security premiums to be withheld by the Company. Annual review and subsequent upwards adjustment, if any, of your annual compensation, will be determined at the discretion of the Supervisory Board of the Company and on the advice of the Remuneration Committee of the Supervisory Board. Only compensation increases determined and approved by the Supervisory Board will replace the compensation amount mentioned above. You will be informed in writing by means of a compensation statement. The annual compensation as may be amended on the basis of this clause from time to time shall be referred to as the Annual Base Compensation.

4. Annual Incentive

In addition to the Annual Base Compensation, you shall be eligible each year for an annual incentive, subject to certain targets being met. This incentive shall be determined annually by the Supervisory Board. You shall be notified in writing of these annual incentive targets.

The on-target (= 100% score) annual incentive amount to be realized by you is currently set by the Supervisory Board at 60% of your Annual Base Compensation.

The Supervisory Board shall determine in its sole reasonable discretion to what extent the annual incentive targets have been met.

5. Long Term Incentive Plan

The Supervisory Board, where relevant within the framework approved by the Company’s General Meeting of Shareholders, can decide by discretion to grant Performance Shares under the Global Philips Performance Share Plan and/or other equity related incentives to the members of the Executive Committee on a year-to-year basis. As a member of the Executive Committee you are in principle eligible to participate in such plan.

For 2018 the Long Term Incentive grant value equals 150% of your Annual Base Compensation.

To improve Philips’ Corporate Governance and to further align the interests of senior Philips Executives with the interests of our shareholders, you are required to hold a certain level of Philips shares equal to 300% of your actual Annual Base Compensation. The Supervisory Board may decide to adapt the Philips Share Ownership Guidelines on an annual basis.

The minimum number of Philips shares required to be held can be accumulated by:

For further details you are referred to the Philips Share Ownership Guidelines Executive Committee in the enclosed Information Package.

6. Claw back

The Supervisory Board may in its sole discretion but acting in good faith, resolve to recoup some or all of the incentive compensation - including any benefits derived therefrom- in all appropriate cases (taking into account all relevant factors, including whether the assertion of a recoupment claim may in its opinion prejudice the interests of the Company and its group companies in any related proceeding or investigation), granted to you as an Annual Incentive, as Performance Shares grants, as shares acquired by you under such grants, as other equity related incentive or otherwise (hereinafter referred to as ‘ Incentive Compensation’), if:

By accepting a payment, grant, vesting and/or delivery of the Incentive Compensation, you agree to fully co-operate with the Company in order to give effect to this clause.

Furthermore by accepting any payment, grant, vesting and/or delivery of the Incentive Compensation you provide an irrevocable power of attorney to the Company to transfer any shares held by you in the account administered by the Company’s global plan administrator and to perform any other acts necessary or desirable to give effect to this clause. This power of attorney is governed by Dutch law exclusively.

7. Pension Rights

As from the Commencement Date, you shall be included in the Pension Regulations of “Stichting Philips Pensioenfonds” applicable to executives, in respect of your pensionable salary up to the current statutory limit of EUR 103,317 which may change from time to time (“Statutory Pensionable Salary”) if and as soon as you meet the requirements set out in those pension regulations. In respect of your pensionable salary exceeding the Statutory Pensionable Salary, you shall be entitled to the pension allowance applicable as of January 1, 2015 to members of the Executive Committee, in accordance with the rules and conditions governing this pension allowance. The level of the pension allowance is and remains at the discretion of the Company. Currently the pension allowance for the part of your Annual Base Compensation exceeding the Statutory Pensionable Salary is set at 25% of your Annual Base Compensation exceeding the Statutory Pensionable Salary.

In addition you will receive an individual transition allowance of EUR 55,104 per annum (gross) (the “Transition Allowance”) through 2019, which will be paid to you in monthly installments. For the years 2020 through 2022, you are entitled to a reduced Transition Allowance:

No Transition Allowance shall be due to you beyond 2022.

8. Car/Mobility Allowance

You are entitled to a monthly Car/Mobility Allowance amounting to EUR 2,630. The Car/Mobility allowance can be used for a leased company car or to be paid out in monthly (gross) installments.

You are not entitled to conclude a new lease agreement or switch to the cash alternative before the expiration date of the present lease agreement.

Your current personal contribution, if any, will be recalculated as per the Commencement Date.

9. Business Entertainment Expenses Allowance

With respect to your position within the Company, you may be eligible for a fixed allowance for business entertainment expenses. Currently the tax-free allowance in your case is EUR 8,640 per annum. This sum is meant to enable you amongst others to cover the expenses you incur in entertaining guests on behalf of the Company.

The above-mentioned allowance will be paid in four equal installments at the end of each quarter.

Parties agree that changes in fiscal legislation could make it necessary or desirable for the Company to change the above arrangement.

10. Senior Executive Ambassador Program

You are invited to participate in the Senior Executive Ambassador Program to use Philips products that will be made available to you at your home.

11. Insurances

12. Incapacity for work

The present Company policy for Executive Committee members with regard to incapacity for work or sickness is that for a maximum period of three years from the start of disablement, but at the very latest up to the end of the Contract, the balance between your Annual Base Compensation at the start of the total disability and the aggregate amount of any statutory allowance distributed to you on account of the total disablement together with possible allowances distributed for the same reason by the Philips Pension Fund will - subject to your compliance with the Company’s directives - be paid by the Company.

The Company shall not be bound by the aforesaid obligation if you have a claim against third parties in respect of your disablement. Upon surrender to the Company of such claim - in so far as it relates to loss of Annual Base Compensation - an amount equal to the aforesaid balance shall - but for no longer than the period stated in the foregoing clause - be paid by the Company in advance.

This policy is subject to change at the discretion of the Company. No compensation will be paid in case the new policy is less favorable than the present policy.

13. Holidays

The holiday entitlement for members of the Executive Committee is 25 working days per calendar year.

14. General Terms of engagement

By signing the Contract, you declare to have received, to have read and to agree with the General Terms of Employment of the Company, which apply mutatis mutandis to your engagement and are attached to this Contract as Annex 1. These General Terms of Employment amongst others contain a non-competition clause. You hereby acknowledge and agree that you are fully bound by the restrictions set out in the aforementioned non-competition clause for the duration of such non-competition clause as set out in the clause itself.

15. Philips rules about corporate governance and corporate citizenship

Underpinning Philips’ commitment to responsible corporate citizenship, integrity and transparency, the following terms and principles have been set.

These terms and principles apply equally to corporate actions and to the behavior of members of the Executive Committee in conducting Philips’ business. By signing this Contract, you declare that you are bound by, and that you shall adhere to and act according to, the terms and principles mentioned above. The Company may alter the terms and principles unilaterally at its discretion. For more information on the terms and principles, we refer you to the Information Package. Any changes will be available on the Philips Global Intranet website.

The Compliance Officer with respect to Inside Information will contact you, as you are designated as “Qualified Insider”.

16. Personal Registration

Your data will be recorded in one or more personnel registration systems.

17. Applicable Law and jurisdiction


Dates Referenced Herein   and   Documents Incorporated by Reference

This ‘20-F’ Filing    Date    Other Filings
Filed on:2/20/186-K
For Period end:12/31/17SD
11/1/17
1/1/15
 List all Filings 


1 Subsequent Filing that References this Filing

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 2/23/21  Koninklijke Philips NV            20-F       12/31/20  201:27M
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Filing Submission 0000313216-18-000007   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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