Common use of Duties of Custodian Clause in Contracts

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 of Trustees to keep the books of account of 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 Fund on behalf of the Portfolio(s), 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 Portfolio as described in the Prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio shall be made at the time or times described from time to time in the Prospectus.

Appears in 12 contracts

Samples: Custodian Contract (Investors Cash Trust), Custodian Contract (Kemper Securities Trust), Custodian Contract (Kemper Funds Trust)

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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 of Trustees Directors of the Fund to keep the books of account of each Portfolio and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio as described in the Prospectus Fund's currently effective prospectus related to such Portfolio and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio shall be made at the time or times described from time to time in the ProspectusFund's currently effective prospectus related to such Portfolio.

Appears in 8 contracts

Samples: Custodian Contract (Davis International Series Inc), Custodian Contract (Hartford Mutual Funds Inc/Ct), Custodian Contract (Hartford Series 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 of Trustees of the Fund to keep the books of account of each Portfolio and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio as described in the Prospectus Fund's currently effective prospectus related to such Portfolio and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio shall be made at the time or times described from time to time in the ProspectusFund's currently effective prospectus related to such Portfolio.

Appears in 8 contracts

Samples: Custodian Contract (Janus Aspen Series), Custodian Contract (Janus Investment Fund), Custodian Contract (Occ Accumulation Trust)

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 of Trustees Directors of the Fund to keep the books of account of each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 weekly the net income of the Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily weekly of the total amount 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 weekly income of each Portfolio the Fund shall be made at the time or times described from time to time in the ProspectusFund's currently effective prospectus.

Appears in 7 contracts

Samples: Custodian Contract (Muniholdings Michigan Insured Fund Ii Inc), Muniholdings New York Insured Fund Ii /New/, Debt Strategies Fund Iii 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 of Trustees of the Fund to keep the books of account of each Portfolio and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio as described in the Prospectus Fund's currently effective prospectus related to such Portfolio and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio shall be made at the time or times described from time to time in the ProspectusFund's currently effective prospectus related to such Portfolio.

Appears in 6 contracts

Samples: Custodian Contract (Painewebber Index Trust), Custodian Contract (Markman Multifund Trust), Custodian Contract (Mitchell Hutchins Securities Trust)

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 of Trustees to keep the books of account of each Portfolio and/or compute the net asset value per share Share of the outstanding Shares of each Portfolio or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)Portfolio, 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 Portfolio as described in the Prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio shall be made at the time or times described from time to time in the Prospectus.

Appears in 3 contracts

Samples: Custodian Agreement (Holland Series Fund Inc), Custodian Agreement (Security Capital U S Real Estate Shares Inc), Custody Agreement (One Group Mutual Funds)

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 of Trustees of the Fund to keep the books of account of each Portfolio and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio as described in the Prospectus Fund's currently effective prospectus related to such Portfolio and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio shall be made at the time or times described from time to time in the ProspectusFund's currently effective prospectus related to such Portfolio.

Appears in 3 contracts

Samples: Custodian Contract (Sunamerica Equity Funds), Custodian Agreement (Loomis Sayles Funds), Custodian Contract (Paine Webber Kidder Peabody Municipal Money Market Series)

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 of Trustees of the Fund to keep the books of account of each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 weekly the net income of the Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily weekly of the total amount 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 weekly income of each Portfolio the Fund shall be made at the time or times described from time to time in the ProspectusFund's currently effective prospectus.

Appears in 3 contracts

Samples: Blackrock New Jersey Strategic Municipal Trust, Blackrock Pennsylvania Strategic Municipal Trust, Blackrock Strategic Municipal Trust

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 of Trustees Directors of the Fund to keep the books of account of each Portfolio and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio as described in the Prospectus Fund's currently effective prospectus related to such Portfolio and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio shall be made at the time or times described from time to time in the ProspectusFund's currently effective prospectus related to such Portfolio.

Appears in 3 contracts

Samples: Custodian Contract Between (Western Asset Trust Inc), Mony Series Fund Inc, Gabelli Global Series Funds Inc

Duties of Custodian. with Respect to the Books of Account and ------------------------------------------------------------ Calculation of Net Asset Value and Net Income --------------------------------------------- Income. ---------------------------------------------- The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the applicable Board of Trustees o to keep the books of account of 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 applicable Fund on behalf of the Portfolio(s)Portfolio, 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 Portfolio as described in the applicable Fund's Prospectus related to such Portfolio and shall advise the such Fund and the Transfer Agent daily of the total amount amounts of such net income and, if instructed in writing by an officer of the such 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 each Portfolio shall be made at the time or times described from time to time in the applicable Fund's Prospectus.

Appears in 2 contracts

Samples: Master Custodian (Aim Floating Rate Fund), Master Custodian Contract (Global Investment Portfolio)

Duties of Custodian. with Respect to the Books of Account and ------------------------------------------------------------ Calculation of --------------------------------------------------------------------------- Net Asset Value and Net Income --------------------------------------------- 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 each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio 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: Strategic Partners Series, Prudential Core Investment Fund

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 of Trustees Directors of the Fund to keep the books of account of each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio 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 (Phoenix California Tax Exempt Bonds Inc), Gabelli Gold Fund Inc

Duties of Custodian. with Respect to the Books of Account -------------------------------------------------------- and ------------------------------------------------------------ Calculation of Net Asset Value and Net Income --------------------------------------------- Income. ------------------------------------------------- The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board of Trustees of the Fund to keep the books of account of each Portfolio and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio 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 (Cigna Variable Products Group), Custodian Contract (Cigna Funds Group)

Duties of Custodian. with Respect to the Books of Account and WITH RESPECT TO THE BOOKS OF ACCOUNT AND CALCULATION OF NET ASSET VALUE AND NET INCOME ------------------------------------------------------------ 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 applicable Board of Trustees to keep the books of account of each Portfolio and/or compute the net asset value per share Share of the outstanding Shares of each Portfolio or, if directed in writing to do so by the applicable Fund on behalf of the Portfolio(s)Portfolio, 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 Portfolio as described in the Prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio shall be made at the time or times described from time to time in the Prospectus.

Appears in 2 contracts

Samples: Master Custodian Agreement (Gabelli Gold Fund Inc), Master Custodian Agreement (Ned Davis Research Funds)

Duties of Custodian. with Respect to the Books of Account and ------------------------------------------------------------ Calculation ------------------------------------------------------------------------ of Net Asset Value and Net Income --------------------------------------------- Income. ---------------------------------- The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board Trustees of Trustees the Fund to keep the books of account of each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio 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 (State Street Research Tax Exempt Trust)

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 of Trustees Directors of the Fund to keep the books of account of each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio 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 (Kaufmann 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 of Trustees Directors of the Company to keep the books of account of each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio 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: Msd&t Funds Inc

Duties of Custodian. with Respect to the Books of Account and ------------------------------------------------------------ Calculation of Net Asset Value and Net Income Income. --------------------------------------------- The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board Trustees of Trustees the Fund to keep the books of account of each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio 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: Prudential Equity Income Fund

Duties of Custodian. with Respect to the Books of Account and ------------------------------------------------------------ Calculation of --------------------------------------------------------------------------- Net Asset Value and Net Income --------------------------------------------- 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 each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 and the daily income of each Portfolio 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 National Municipals Fund Inc)

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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 of Trustees Directors of the Fund to keep the books of account of each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio 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: Exhibit 99 (Merrill Lynch Corporate High Yield 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 of Trustees of the Fund to keep the books of account of each Portfolio and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio or, if unless otherwise directed in writing to do so by the Fund on behalf of the Portfolio(s)Portfolio, shall itself keep such books of account and/or compute such net asset value per share. If so directedUntil otherwise directed in writing, the Custodian shall also calculate daily the net income of the Portfolio as described in the Prospectus Fund's currently effective prospectus related to such Portfolio and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio shall be made in accordance with and at the time or times described from time to time in the ProspectusFund's currently effective prospectus related to such Portfolio and in accordance with the procedures agreed to in writing between the Fund and the Custodian and shall at all times comply with the standard of care set forth in Section 13 hereof.

Appears in 1 contract

Samples: Custodian Contract (Tiaa Cref Mutual Fund)

Duties of Custodian. with Respect to the Books of Account and ------------------------------------------------------------ Calculation ------------------------------------------------------------------------ of Net Asset Value and Net Income --------------------------------------------- Income. --------------------------------- The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board of Trustees Directors of the Fund to keep the books of account of each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 weekly the net income of the Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily weekly of the total amount 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 weekly income of each Portfolio 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 Between Blackrock (Blackrock Municipal Target Term Trust 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 of Trustees to keep the books of account of 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 Fund on behalf of the Portfolio(s)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 Portfolio as described in the Prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio shall be made at the time or times described from time to time in the Prospectus.

Appears in 1 contract

Samples: Custodian Contract (Nvest Funds Trust Iii)

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 of Trustees each Fund to keep the books of account of each Portfolio Fund and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)each 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 Portfolio each Fund as described in the each Fund's currently effective Prospectus and shall advise the each Fund and the Transfer Agent daily of the total amount amounts of such net income and, if instructed in writing by an officer of the each 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 each Portfolio Fund shall be made at the time or times described from time to time in the each Fund's currently effective Prospectus.

Appears in 1 contract

Samples: Phoenix Institutional Mutual Funds

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 of Trustees Directors of the Fund to keep the books of account of each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 weekly the net income of the Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily weekly of the total amount 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 weekly income of each Portfolio 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: Muniyield Pennsylvania Fund

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 of Trustees to keep the books of account of each Portfolio the Fund and/or compute the net asset value per share Share of the outstanding Shares of each Portfolio or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 weekly the net income of the Portfolio Fund as described in the Prospectus and shall advise the Fund and the Transfer Agent daily weekly of the total amount 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 weekly income of each Portfolio the Fund shall be made at the time or times described from time to time in the Prospectus.

Appears in 1 contract

Samples: Exhibit 5 (Blackrock High Yield Trust)

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 of Trustees Directors of the Fund to keep the books of account of each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 weekly the net income of the Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily weekly of the total amount 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 weekly income of each Portfolio 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 (Managed High Yield Plus 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 of Directors/Trustees of the Fund to keep the books of account of each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio 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: Nicholas Applegate Fund Inc

Duties of Custodian. with Respect to the Books of Account and ------------------------------------------------------------ Calculation ------------------------------------------------------------------------ of Net Asset Value and Net Income --------------------------------------------- Income. --------------------------------- The Custodian shall cooperate with and supply necessary information to the entity or entities appointed by the Board of Trustees of the Fund to keep the books of account of each Portfolio and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 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

Samples: Custodian Contract (Cigna Variable Products Group)

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 of Trustees to keep the books of account of each Portfolio the Fund and/or compute the net asset value per share of the outstanding Shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio Fund as described in the Prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 each Portfolio the Fund shall be made at the time or times described from time to time in the Prospectus.

Appears in 1 contract

Samples: Custodian Contract (Kemper Small Capitalization Equity Fund)

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 of Directors/Trustees of the Fund to keep the books of account of each Portfolio the Trust and/or compute the net asset value per share of the outstanding Shares shares of each Portfolio the Fund or, if directed in writing to do so by the Fund on behalf of the Portfolio(s)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 Portfolio Fund as described in the Prospectus Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent daily of the total amount 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 and the daily income of each Portfolio 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: Prudential Developing Markets Fund

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