Distribution of Load Shares. Broker-Dealer shall offer and sell Load Shares at the public offering price next determined after the order is received, in accordance with the terms of the then current Trust prospectus and statement of additional information for Load Shares ("Load Prospectus").
Appears in 5 contracts
Samples: Selling Agreement (Safeco Tax Exempt Bond Trust), Selling Agreement (Safeco Taxable Bond Trust), Selling Agreement (Safeco Managed Bond Trust)