Determination of Net Asset Value. The net asset value of the Fund shall be calculated as of on each day the Exchange is open for trading or such other time or times as the trustees may determine in accordance with the provisions of applicable law and the Declaration of Trust and By-Laws of the Trust, and resolutions of the Board of Trustees of the Fund as from time to time in force. For the purpose of the foregoing computations, on each such day when net asset value is not calculated, the net asset value of a share of beneficial interest of the Fund shall be deemed to be the net asset value of such share as of the close of business of the last day on which such calculation was made.
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Samples: Investment Advisory Agreement (Van Kampen American Capital Foreign Securities Fund), Investment Advisory Agreement (Van Kampen American Capital Equity Trust/), Investment Advisory Agreement (Van Kampen American Capital Trust)
Determination of Net Asset Value. The net asset value of the Fund shall be calculated as of the close of the New York Stock Exchange on each day the Exchange is open for trading or such other time or times as the trustees may determine in accordance with the provisions of applicable law and of the Declaration of Trust and By-Laws of the Trust, and resolutions of the Board of Trustees of the Fund as from time to time in force. For the purpose of the foregoing computations, on each such day when net asset value is not calculated, the net asset value of a share of beneficial interest of the Fund shall be deemed to be the net asset value of such share as of the close of business of the last day on which such calculation was made.. 30
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Samples: Investment Advisory Agreement (Van Kampen American Capital Tax Free Trust)
Determination of Net Asset Value. The net asset value of the Fund Portfolio shall be calculated as of the close of the New York Stock Exchange on each day the Exchange is open for trading or such other time or times as the trustees may determine in accordance with the provisions of applicable law and the Declaration of Trust and By-Laws of the Trust, and resolutions of the Board of Trustees of the Fund Portfolio as from time to time in force. For the purpose of the foregoing computations, on each such day when net asset value is not calculated, the net asset value of a share of beneficial interest of the Fund Portfolio shall be deemed to be the net asset value of such share as of the close of business of the last day on which such calculation was made.
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Samples: Investment Advisory Agreement (Van Kampen Life Investment Trust)