Duties of Custodian With Respect to the Books. OF ACCOUNT AND ------------------------------------------------------------- CALCULATION OF NET ASSET VALUE AND NET INCOME --------------------------------------------- The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board to keep the books of account of the Fund and/or compute the net asset value per Share of the outstanding Shares or, if directed in writing to do so by the Fund, shall itself keep such books of account and/or compute such net asset value per Share. If so directed, the Custodian shall also calculate daily the net income of the Fund as described in the Prospectus and shall advise the Fund and the Transfer Agent daily of the total amounts of such net income and, if instructed in writing by an officer of the Fund to do so, shall advise the Transfer Agent periodically of the division of such net income among its various components. The calculations of the net asset value per Share and the daily income of the Fund shall be made at the time or times described from time to time in the Prospectus.
Appears in 16 contracts
Samples: Custodian Agreement (Neuberger Berman California Intermediate Municipal Fund Inc), Custodian Agreement (Neuberger Berman California Intermediate Municipal Fund Inc), Custodian Agreement (Neuberger Berman Real Estate Income Fund Inc)
Duties of Custodian With Respect to the Books. OF ACCOUNT AND ------------------------------------------------------------- CALCULATION OF NET ASSET VALUE AND NET INCOME --------------------------------------------- of Account and ------------------------------------------------------------ Calculation of Net Asset Value and Net Income. ---------------------------------------------- The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board of Directors/Trustees of the Fund to keep the books of account of the Fund and/or compute the net asset value per Share share of the outstanding Shares shares of the Fund or, if directed in writing to do so by the Fund, shall itself keep such books of account and/or compute such net asset value per Shareshare. If so directed, the Custodian shall also calculate daily the net income of the Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amounts of such net income and, if instructed in writing by an officer of the Fund to do so, shall advise the Transfer Agent periodically of the division of such net income among its various components. The calculations of the net asset value per Share share and the daily income of the Fund shall be made at the time or times described from time to time in the ProspectusFund's currently effective prospectus.
Appears in 2 contracts
Samples: Custodian Contract (Prudential Structured Maturity Fund Inc), Custodian Contract (Prudential Structured Maturity Fund Inc)
Duties of Custodian With Respect to the Books. OF ACCOUNT AND ------------------------------------------------------------- ------------------------------------------------------------ CALCULATION OF NET ASSET VALUE AND NET INCOME --------------------------------------------- The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board to keep the books of account of the Fund and/or compute the net asset value per Share of the outstanding Shares or, if directed in writing to do so by the Fund, shall itself keep such books of account and/or compute such net asset value per Share. If so directed, the Custodian shall also calculate daily the net income of the Fund as described in the Prospectus and shall advise the Fund and the Transfer Agent daily of the total amounts of such net income and, if instructed in writing by an officer of the Fund to do so, shall advise the Transfer Agent periodically of the division of such net income among its various components. The calculations of the net asset value per Share and the daily income of the Fund shall be made at the time or times described from time to time in the Prospectus.
Appears in 2 contracts
Samples: Custodian Agreement (Pimco Municipal Income Fund Ii), Custodian Agreement (Pimco Municipal Income Fund Iii)
Duties of Custodian With Respect to the Books. OF ACCOUNT AND ------------------------------------------------------------- CALCULATION OF NET ASSET VALUE AND NET INCOME --------------------------------------------- of Account and Calculation of --------------------------------------------------------------------------- Net Asset Value and Net Income. ------------------------------ The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board of Directors/Trustees of the Fund to keep the books of account of the Fund and/or compute the net asset value per Share share of the outstanding Shares shares of the Fund or, if directed in writing to do so by the Fund, shall itself keep such books of account and/or compute such net asset value per Shareshare. If so directed, the Custodian shall also calculate daily the net income of the Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amounts of such net income and, if instructed in writing by an officer office of the Fund to do so, shall advise the Transfer Agent periodically of the division of such net income among its various components. The calculations of the net asset value per Share share and the daily income of the Fund shall be made at the time or times described from time to time in the ProspectusFund's currently effective prospectus.
Appears in 1 contract
Samples: Custodian Agreement (Prudentials Investment Plan Account)
Duties of Custodian With Respect to the Books. OF ACCOUNT AND ------------------------------------------------------------- ------------------------------------------------------------ CALCULATION OF NET ASSET VALUE AND NET INCOME --------------------------------------------- -------------- ------------------------------ The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board to keep the books of account of the Fund each Portfolio and/or compute the net asset value per Share of the outstanding Shares or, if directed in writing to do so by the FundFund on behalf of the Portfolio, shall itself keep such books of account and/or compute such net asset value per Share. If so directed, the Custodian shall also calculate daily the net income of the Fund Portfolio as described in the Prospectus and shall advise the Fund and the Transfer Agent daily of the total amounts of such net income and, if instructed in writing by an officer of the Fund to do so, shall advise the Transfer Agent periodically of the division of such net income among its various components. The calculations of the net asset value per Share and the daily income of the Fund each Portfolio shall be made at the time or times described from time to time in the Prospectus.
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Duties of Custodian With Respect to the Books. OF ACCOUNT AND ------------------------------------------------------------- ------------------------------------------------------------ CALCULATION OF NET ASSET VALUE AND NET INCOME --------------------------------------------- The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board to keep the books of account of the Fund and/or compute the net asset value per Share of the outstanding Shares or, if directed in writing to do so by the Fund, shall itself keep such books of account and/or compute such net asset value per Share. If so directed, the Custodian shall also calculate daily the net income of the Fund as described in the Prospectus and shall advise the Fund and the Transfer Agent daily of the total amounts of such net income and, if instructed in writing by an officer of the Fund to do so, shall advise the Transfer Agent Fund periodically of the division of such net income among its various components. The calculations of the net asset value per Share and the daily income of the Fund shall be made at the time or times described from time to time in the Prospectus.
Appears in 1 contract
Samples: Custodian Agreement (North American Senior Floating Rate Fund Inc)
Duties of Custodian With Respect to the Books. OF ACCOUNT AND ------------------------------------------------------------- CALCULATION OF NET ASSET VALUE AND NET INCOME --------------------------------------------- of Account and Calculation of --------------------------------------------------------------------------- Net Asset Value and Net Income ------------------------------ The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board of Directors of the Fund to keep the books of account of the Fund and/or compute the net asset value per Share share of the outstanding Shares shares of the Fund or, if directed in writing to do so by the Fund, shall itself keep such books of account and/or compute such net asset value per Shareshare. If so directed, the Custodian shall also calculate daily the net income of the Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amounts of such net income and, if instructed in writing by an officer of the Fund to do so, shall advise advice the Transfer Agent periodically of the division of such net income among its various components. The calculations of the net asset value per Share share and the daily income of the Fund shall be made at the time or to times described from time to time in the ProspectusFund's currently effective prospectus.
Appears in 1 contract
Samples: Custodian Contract (Painewebber Financial Services Growth Fund Inc)
Duties of Custodian With Respect to the Books. OF ACCOUNT AND ------------------------------------------------------------- CALCULATION OF NET ASSET VALUE AND NET INCOME of Account and ------------------------------------------------------------ Calculation of Net Asset Value and Net Income --------------------------------------------- The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board of Directors of the Fund to keep the books of account of the Fund and/or compute the net asset value per Share share of the outstanding Shares shares of the Fund or, if directed in writing to do so by the Fund, shall itself keep such books of account and/or compute such net asset value per Shareshare. If so directed, the Custodian shall also calculate daily the net income of the Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amounts of such net income and, if instructed in writing by an officer of the Fund to do so, shall advise the Transfer Agent periodically of the division of such net income among its various components. The calculations of the net asset value per Share share and the daily income of the Fund shall be made at the time or times described from time to time in the ProspectusFund's currently effective prospectus.
Appears in 1 contract
Samples: Custodian Contract (Gabelli International Growth Fund Inc)
Duties of Custodian With Respect to the Books. OF ACCOUNT AND ------------------------------------------------------------- CALCULATION OF NET ASSET VALUE AND NET INCOME --------------------------------------------- The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board to keep the books of account of the Fund each Portfolio and/or compute the net asset value per Share of the outstanding Shares or, if directed in writing to do so by the FundFund on behalf of the Portfolio, shall itself keep such books of account and/or compute such net asset value per Share. If so directed, the Custodian shall also calculate daily the net income of the Fund Portfolio as described in the Prospectus and shall advise the Fund and the Transfer Agent daily of the total amounts of such net income and, if instructed in writing by an officer of the Fund to do so, shall advise the Transfer Agent periodically of the division of such net income among its various components. The calculations of the net asset value per Share and the daily income of the Fund each Portfolio shall be made at the time or times described from time to time in the Prospectus.
Appears in 1 contract
Duties of Custodian With Respect to the Books. OF ACCOUNT AND ------------------------------------------------------------- CALCULATION OF NET ASSET VALUE AND NET INCOME --------------------------------------------- of Account and Calculation of --------------------------------------------------------------------------- Net Asset Value and Net Income. ------------------------------ The Custodian shall cooperate with and supply Supply necessary information to the entity or entities entitles appointed by the Board Trustees of the Fund to keep the books of account of the Fund each Portfolio and/or compute the net asset value per Share of the outstanding Shares of each Portfolio or, if directed in writing to do so by the FundPortfolio, shall itself keep such books of account and/or compute such net asset value per Share. If so directed, the Custodian shall also calculate daily the net income of the Fund each Portfolio as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund Portfolio Manager and the Transfer Agent daily of the total amounts of such net income and, if instructed in writing by an officer of the Fund to do so, shall advise the Transfer Agent periodically of the division of such net income among its various components. The calculations of the net asset value per Share and the daily income of the Fund each Portfolio shall be made at the time or times described from time to time in the ProspectusFund's currently effective prospectus.
Appears in 1 contract
Duties of Custodian With Respect to the Books. OF ACCOUNT AND ------------------------------------------------------------- CALCULATION OF NET ASSET VALUE AND NET INCOME --------------------------------------------- of Account and Calculation of --------------------------------------------------------------------------- Net Asset Value and Net Income. ------------------------------ The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board of Directors of the Fund to keep the books of account of the Fund and/or compute the net asset value per Share share of the outstanding Shares shares of the Fund or, if directed in writing to do so by the Fund, shall itself keep such books of account and/or compute such net asset value per Shareshare. If so directed, the Custodian shall also calculate daily the net income of the Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amounts of such net income and, if instructed in writing by an officer office of the Fund to do so, shall advise the Transfer Agent periodically of the division of such net income among its various components. The calculations of the net asset value per Share share and the daily income of the Fund shall be made at the time or times described from time to time in the ProspectusFund's currently effective prospectus.
Appears in 1 contract
Samples: Custodian Contract (Prudential Global Genesis Fund Inc)