Exhibit 8(b)(viii) RULE 22c-2 AGREEMENT This Rule 22c-2 Agreement ("Agreement") is entered into by and among Waddell & Reed, Inc. ("W&R"), as principal underwriter for the Ivy Funds Variable Insurance Portfolios (the "Portfolios"), and the...2 Agreement • May 16th, 2014 • Lincoln Life Variable Annuity Account N
Contract Type FiledMay 16th, 2014 Company
Contract2 Agreement • March 9th, 2021
Contract Type FiledMarch 9th, 2021
FIRSTAMENDMENT TO THE RULE 22C-2 AGREEMENT2 Agreement • April 15th, 2016 • VARIABLE ANNUITY ACCT C OF VOYA RETIREMENT INSURANCE & ANNUITY Co
Contract Type FiledApril 15th, 2016 CompanyTHIS FIRST AMENDMENT (“Amendment”) is made as of July 2, 2015, between the Pax World Funds Series Trust I (“Fund ”), a registered investment company with series of mutual fund portfolios (each a “Fund” and collectively the “Funds”), ALPS Distributors, Inc., (“Distributor”), as principal underwriter on behalf of the of the Funds, Voya Retirement Insurance and Annuity Company (formerly ING Life Insurance and Annuity Company), Security Life of Denver Insurance Company, Voya Institutional Trust Company (formerly ING National Trust), Systematized Benefit Administrators Inc., Voya Insurance and Annuity Company (formerly ING USA Annuity and Life Insurance Company), ReliaStar Life Insurance Company and ReliaStar Life Insurance Company of New York to the Rule 22c-2 Agreement among the parties, made as of October 15, 2009, as amended from time to time (the “Agreement”). Voya Retirement Insurance and Annuity Company, Security Life of Denver Insurance Company, Voya Institutional Trust Company, Sys
Amended and Restated Rule 22c-2 Agreement2 Agreement • September 27th, 2021 • C M Life Variable Life Separate Account I
Contract Type FiledSeptember 27th, 2021 CompanyThis Amended and Restated Rule 22c-2 Agreement (“Agreement”) dated November 13, 2012 is entered into by and among Waddell & Reed, Inc. (“Distributor”), as principal underwriter for the Ivy Funds Variable Insurance Portfolios (the “Trust”), and the intermediary firm which is a signatory to this Agreement below (the “Intermediary”), effective as of October 25, 2012.
MAUI DIVISION2 Agreement • February 12th, 2019 • Hawaii
Contract Type FiledFebruary 12th, 2019 Jurisdiction(“Company”), sometimes also referred to herein jointly as “Parties” or individually as “Party.” This Agreement is applicable only to sellers who own and/or operate a Facility as set forth in the Company’s Schedule FIT relating to Feed-in Tariff purchases from Tier 1 and Tier 2 eligible renewable electric energy generating facilities (“Schedule FIT”), and only to the Facility described and installed at the following location
Exhibit (8)(e)(ii) RULE 22C-2 AGREEMENT This AGREEMENT is made effective as of June 12, 2009 by and between the Lincoln Variable Insurance Products Trust, on behalf of its Funds, and AIG Life Insurance Company and American International Assurance...2 Agreement • January 2nd, 2013 • Variable Account I of AGL of Delaware
Contract Type FiledJanuary 2nd, 2013 Company
EXHIBIT 10.2 AGREEMENT2 Agreement • February 19th, 2004 • New York Regional Rail Corp • Railroads, line-haul operating • New York
Contract Type FiledFebruary 19th, 2004 Company Industry Jurisdiction
AMERICAN FUNDS RULE 22c-2 AGREEMENT-2 Agreement • April 25th, 2014 • Separate Account I of National Integrity Life Ins Co
Contract Type FiledApril 25th, 2014 CompanyThis Agreement is entered into as of the 13th day of December 2013 by and between American Funds Service Company (“AFS”), transfer agent for the American Funds Insurance Series (the “Funds”) and National Integrity Life Insurance Company (“Insurance Company”), a life insurance company organized under the laws of the State of New York.
Contract2 Agreement • March 26th, 2021
Contract Type FiledMarch 26th, 2021
Product number or participant account number associated with the primary Shareholder, if known, that would provide acceptable assurances of the identity of each Shareholders of the account and the amount, date, and transaction type (purchase,...2 Agreement • May 21st, 2015 • VARIABLE ANNUITY ACCT C OF VOYA RETIREMENT INSURANCE & ANNUITY Co
Contract Type FiledMay 21st, 2015 CompanySchedule A ING “Excessive Trading” Policy The ING family of companies (“ING”), as providers of multi-fund variable insurance and retirement products, has adopted this Excessive Trading Policy to respond to the demands of the various fund families which make their funds available through our variable insurance and retirement products to restrict excessive fund trading activity and to ensure compliance with Section 22c-2 of the Investment Company Act of 1940, as amended. ING’s current definition of Excessive Trading and our policy with respect to such trading activity is outlined below. 1. ING actively monitors fund transfer and reallocation activity within its variable insurance and retirement products to identify Excessive Trading. ING currently defines Excessive Trading as: a. More than one purchase and sale of the same fund (including money market funds) within a 60 calendar day period (hereinafter, a purchase and sale of the same fund is referred to as a “round-trip”). This means tw
Rule 22c-2 Agreement-2 Agreement • April 29th, 2015 • Lincoln New York Account N for Variable Annuities
Contract Type FiledApril 29th, 2015 CompanySHAREHOLDER INFORMATION AGREEMENT entered into as of April 1, 2014 by and between ALPS Variable Investment Trust (the “Fund”) and Lincoln Life & Annuity Company of New York on behalf of its separate accounts, (the “Intermediary”) with an effective date of May 1, 2014.
Contract2 Agreement • April 12th, 2010 • Variable Annuity Account I of Ing Life Insurance & Annuity Co
Contract Type FiledApril 12th, 2010 CompanyThis Rule 22c-2 AGREEMENT (“22c-2 Agreement”), made and entered into as of this 19th day of March, 2010, between Aston Funds, (“Trust” or “Funds”)), Aston Asset Management, LLC (“Advisor”), PFPC Distributors, Inc. (the “Distributor”) as principal underwriter for the Funds, and ING Life Insurance and Annuity Company, ING National Trust, ING USA Annuity and Life Insurance Company, ReliaStar Life Insurance Company, ReliaStar Life Insurance Company of New York, Security Life of Denver Insurance Company and Systematized Benefits Administrators Inc. (individually an “Intermediary” and collectively the “Intermediaries”) WHEREAS, the Distributor, the Funds and the Intermediary have entered into a fund participation and/or selling and service agreement dated 19th of March, 2010; WHEREAS, the Intermediaries have adopted policies and procedures to monitor and deter excessive trading activity within the mutual funds, including the Funds, available through the variable annuity, varia
Nuveen Funds Rule 22c-2 Agreement2 Agreement • April 30th, 2009 • Nuveen Investment Trust V
Contract Type FiledApril 30th, 2009 CompanyAGREEMENT effective as of October 16, 2006 or the compliance date of SEC Rule 22c-2 under the Investment Company Act of 1940, whichever is later, by and between Nuveen Investments, LLC (“Fund Agent”), on behalf of the Nuveen Funds (each a “Fund” and collectively the “Funds”) and the undersigned firm (“Intermediary”).
WITNESSETH:2 Agreement • April 30th, 2007 • WRL Series Life Corporate Account
Contract Type FiledApril 30th, 2007 Company
RULE 22c-2 AGREEMENT2 Agreement • April 29th, 2009 • KILICO Variable Annuity Separate Account - 3
Contract Type FiledApril 29th, 2009 CompanyThis Rule 22c-2 Agreement is entered into by and between Putnam Fiduciary Trust Company (“PFTC”), transfer agent, dividend-disbursing agent and shareholder servicing agent for the Fund, Putnam Retail Management Limited Partnership (“PRM”), underwriter and distributor of the Fund, and Kemper Investors Life Insurance Company (“Intermediary”).
SECTION ONE DEFINITIONS2 Agreement • June 3rd, 1998 • Walbro Corp • Motor vehicle parts & accessories • Michigan
Contract Type FiledJune 3rd, 1998 Company Industry Jurisdiction
AGREEMENT2 agreement • February 6th, 2012 • Lingas Resources, Inc.
Contract Type FiledFebruary 6th, 2012 CompanyThis agreement made and entered into the 15th day of September, 2010, by and between Action Stock Transfer Corporation hereinafter referred to as Action and Lingas Resources, Inc. hereinafter referred to as the Company.
Exhibit 10.2 Agreement with Tommi Ferguson AGREEMENT THIS CONSULTING AGREEMENT (the "Agreement") is entered into as of this 5th day of March, 2002, between World Health Alternatives, Inc., a Florida Corporation with its principal offices located at...2 Agreement • April 26th, 2002 • World Health Alternatives Inc • Pennsylvania
Contract Type FiledApril 26th, 2002 Company Jurisdiction
TRAVERSE CITY AREA PUBLIC SCHOOLS TRAVERSE CITY ADMINISTRATORS' ASSOCIATION MASTER AGREEMENT2 Agreement • March 18th, 2017
Contract Type FiledMarch 18th, 2017
Contract2 Agreement • January 12th, 2011
Contract Type FiledJanuary 12th, 2011AMENDMENT NO. 2AGREEMENTBETWEEN THE COUNTY OF SAN MATEO AND MOTOROLA, INC. THIS AMENDMENT NO. 2 TO THE AGREEMENT, entered into this day of , 2011, by and between the COUNTY OF SAN MATEO, hereinafter called "County," and MOTOROLA, INC., hereinafter called "Contractor"; W I T N E S S E T H: WHEREAS, pursuant to Government Code Section 31000, County may contract with independent contractors for the furnishing of such services to or for County or any Department thereof; and WHEREAS, the parties entered into an Agreement for the purpose of designing, building and implementing/migrating an ANSI/EIA/TIA-102 compliant P25/700MHz Interoperable Radio Communications System (SMIRC) on April 27, 2010, as amended on September 14, 2010; and WHEREAS, the parties wish to amend the Agreement to add up to$14,735,094, for a new total maximum fiscal obligation of $20,000,000 contingent upon the County obtaining funding. NOW, THEREFORE, IT IS HEREBY AGREED BY THE PARTIES HERETO AS FOLLOWS: 1. Section 1,
Contract2 Agreement • December 18th, 2009 • Variable Annuity Acct C of Ing Life Insurance & Annuity Co
Contract Type FiledDecember 18th, 2009 CompanyThis AGREEMENT, effective October 10, 2007, will become operational as of the 16th day of October, 2007, between Thornburg Securities Corporation (the “Underwriter”) as principal underwriter for each of the funds listed on the attached Schedule A (the “Funds”) and [ING Life Insurance and Annuity Company, ING National Trust, ING USA Annuity and Life Insurance Company, ReliaStar Life Insurance Company, ReliaStar Life Insurance Company of New York, and Systematized Benefits Administrators Inc. (individually an “Intermediary” and collectively the “Intermediaries”). WHEREAS, the Underwriter and the Intermediary have entered into a fund participation and/or selling and service agreement dated [______________________]; WHEREAS, the Intermediaries have adopted policies and procedures to monitor and deter excessive trading activity with in the mutual funds, including the Funds, available through the variable annuity, variable life insurance and variable retirement plan products wh
OFFICE OF THE CITY ATTORNEY CITY OF ANAHEIM2 Agreement • September 7th, 2010 • California
Contract Type FiledSeptember 7th, 2010 Jurisdiction
Contract-2 Agreement • May 21st, 2015 • VARIABLE ANNUITY ACCT C OF VOYA RETIREMENT INSURANCE & ANNUITY Co
Contract Type FiledMay 21st, 2015 CompanyThis AGREEMENT, dated April 16, 2007, is effective as of the 16th day of October, 2007, between T. Rowe Price Services, Inc. (the “Fund”) as principal underwriter for each of the T. Rowe Price family of funds (the “Funds”) and ING Life Insurance and Annuity Company, ING National Trust, ING USA Annuity and Life Insurance Company, ReliaStar Life Insurance Company, ReliaStar Life Insurance Company of New York, Security Life of Denver Insurance Company and Systematized Benefits Administrators Inc. (individually an “Intermediary” and collectively the “Intermediaries”). WHEREAS, the Intermediaries have adopted policies and procedures to monitor and deter excessive trading activity within the mutual funds, including the Funds, available through the variable annuity, variable life insurance and variable retirement plan products which they offer (the “Variable Products”); and WHEREAS, the Intermediaries’ policies and procedures to monitor and deter excessive trading ac
2+2 Agreement for AS @ SWIC to BA Management @ Webster Transfer Guide2 Agreement • January 3rd, 2018
Contract Type FiledJanuary 3rd, 2018
Shareholder Information Rule 22c-2 Agreement2 Agreement • April 30th, 2007 • Stewart W P & Co Growth Fund Inc
Contract Type FiledApril 30th, 2007 CompanyAGREEMENT entered into as of _____________ ___, 2007, by and between the W.P. Stewart & Co. Growth Fund, Inc. (the “Fund”) and [insert name of financial intermediary] (“Intermediary”) with an effective date of April 16, 2007. Prior to the effective date of this Agreement, the Fund and the Intermediary agree that any request made to the Intermediary by the Fund for Client-Shareholder transaction information, and the Intermediary’s response to such request, shall be governed by whatever practices the Fund and the Intermediary had utilized in the absence of a formal agreement, if any, to govern such requests.
RULE 22~-2 AGREEMENT-2 Agreement • October 19th, 2011 • Principal National Life Insurance Co Variable Life Separate Account
Contract Type FiledOctober 19th, 2011 CompanyThis Agreement entered into as of April 16,2007by and between Principal Life InsuranceCompany (the Company) and Neuberger Berman Advisers ManagementTrust (the Fund) with an effective date of October 16,2007.
Contract2 Agreement • July 1st, 2019
Contract Type FiledJuly 1st, 2019
Contract2 Agreement • December 31st, 2015
Contract Type FiledDecember 31st, 2015
This AGREEMENT, is effective as of the 16th day of April, 2007 and is to become operational on October 16, 2007, between American Funds Service Company (the “Fund Agent”) as transfer agent for each of the American Funds (“Funds”) and ING Life...2 Agreement • June 15th, 2007 • Variable Annuity Acct C of Ing Life Insurance & Annuity Co
Contract Type FiledJune 15th, 2007 Company
RULE 22C-2 AGREEMENT2 Agreement • April 9th, 2014 • Variable Annuity Acct C of Ing Life Insurance & Annuity Co
Contract Type FiledApril 9th, 2014 Company
Rule 22c-2 Agreement2 Agreement • April 30th, 2007 • Llac Variable Account
Contract Type FiledApril 30th, 2007 CompanyTHIS AGREEMENT is entered into as of April 16, 2007, or the effective date of Rule 22c-2 as it applies to you (“Intermediary”), by and between Columbia Management Services, Inc. (“Fund Agent”), the transfer agent for the Columbia Funds family of funds (the “Funds”), and Intermediary.
AMENDMENT NO. 2 AGREEMENT2 Agreement • April 17th, 2023
Contract Type FiledApril 17th, 2023This Amendment No. 2 dated this day of , 2023, is made a part of the Agreement approved on May 11, 2021, and modified by Amendment No. 1 approved on April 26, 2022, between the Norman Utilities Authority (Owner) and Biostar E Light JV, LLC (Provider) for energy services.
This AGREEMENT, dated no later than April 16, 2007, is effective as of the 16th day of October, 2007, between MFS Fund Distributors, Inc. (“MFD”) as principal underwriter for the MFS Funds (each a “Fund” and collectively the “Funds”) and ING Life...2 Agreement • June 15th, 2007 • Variable Annuity Acct C of Ing Life Insurance & Annuity Co
Contract Type FiledJune 15th, 2007 Company
2+2 Agreement: AA Liberal Arts at NHTI, Concord's Community College and BS in Childhood Studies at Plymouth State University+2 Agreement • December 8th, 2014
Contract Type FiledDecember 8th, 2014Years 1 and 2 at NHTI, Concord's Community College Course ID Course Title Credits Year One at NHTI, Concord's Community College EN 101 English Composition 4 EN English Elective (not EN 100, EN 120) 3 IT 102 PC Applications (Computer Literacy) 3 GS 100 College Success Seminar or GS 102 Study Strategies 1/2 MT 124 College Algebra or higher level math course 4 not MT 129 Arts and Science Elective 3 [ED 101] Arts and Science Elective 3 General Elective 3 [ED 104] Humanities/Fine Arts/Foreign Language Elec 3 Science with lab (not BI 100, CH 100, PH 100) 4 Social Science Elective 3 Sub-total Credits for Year One at NHTI 34/35 Year Two at NHTI, Concord's Community College Arts and Science Elective 3 Arts and Science Elective 3 Arts and Science Elective 3 General Elective 3 Humanities/Fine Arts/Foreign Language Elec 3 Humanities/Fine Arts/Foreign Language Elec 3 MT Mathematics Elective (not MT 129) 4/5 [MT 251] Science with
RULE 22c-2 AGREEMENT2 Agreement • April 27th, 2007 • Protective Variable Annuity Separate Account • New York
Contract Type FiledApril 27th, 2007 Company JurisdictionThis Rule 22c-2 Agreement, dated as of the date set forth below (the “Agreement”), is between Calvert Distributors, Inc. (“CDI”), as principal underwriter for each of the registered investment companies and their series within the Calvert Group of Funds other than any “excepted fund” as defined in Securities and Exchange Commission (“SEC”) Rule 22c-2(b) under the Investment Company Act of 1940 (each a “Fund” and, collectively, the “Funds”), and the undersigned Company (the “Company”), a financial intermediary for purposes of Rule 22c-2 under the Investment Company Act of 1940 (“Rule 22c-2”) with respect to mutual funds distributed by CDI and serviced by Calvert Shareholder Services, Inc. (“CSSI”). This Agreement supplements and does not supersede any prior agreement between CDI or CSSI and the Company, as amended from time to time, relating to the distribution and/or servicing of Shares (as defined herein) of the Funds. To the extent of any conflict between any such prior agreement and