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 of the Fund to keep the books of account of the Fund and/or compute the net asset value per share of the outstanding 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 share. If so directed, the Custodian shall also calculate weekly the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 weekly income of the Fund shall be made at the time or times described from time to time in the Fund's currently effective prospectus.
Appears in 5 contracts
Samples: Custodian Contract (Japan Otc Equity Fund Inc), Custodian Contract (Royce Value Trust Inc), Custodian Contract (Blackrock California Insured Municipal 2008 Term Trust 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 Directors of the Fund to keep the books of account of the Fund and/or compute the net asset value per 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 share. If so directed, the Custodian shall also calculate weekly the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 weekly income of the Fund shall be made at the time or times described from time to time in the Fund's currently effective prospectus.
Appears in 4 contracts
Samples: Custodian Contract (China Fund Inc), Custodian Contract (Muniholdings California Insured Fund v Inc), Custodian Contract (Muniholdings New Jersey Insured Fund Iv 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 Directors Directors/Trustees of the Fund to keep the books of account of the Fund and/or compute the net asset value per share of the outstanding 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 share. If so directed, the Custodian shall also calculate weekly daily the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 weekly daily income of the Fund shall be made at the time or times described from time to time in the Fund's currently effective prospectus.
Appears in 4 contracts
Samples: Custodian Contract (Prudential Small Cap Quantitative Fund Inc), Custodian Contract (Prudential California Municipal Fund), Custodian Contract (Prudential Municipal Series 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 of the Fund to keep the books of account of the Fund and/or compute the net asset value per share of the outstanding 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 share. If so directed, the Custodian shall also calculate weekly the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 weekly income of the Fund shall be made at the time or times described from time to time in the Fund's currently effective prospectus.
Appears in 4 contracts
Samples: Custodian Contract (Brantley Capital Corp), Custodian Contract (Corporate High Yield Fund Iii Inc), Custodian Contract (Gabelli Convertible Securities Fund Inc /De)
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 of the Fund to keep the books of account of the Fund and/or compute the net asset value per share of the outstanding 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 share. If so directed, the Custodian shall also calculate weekly the net income of the Fund as described in the Fund's currently effective prospectus private placement memorandum and shall advise the Fund and the Transfer Agent weekly 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 weekly income of the Fund shall be made at the time or times described from time to time in the Fund's currently effective prospectusprivate placement memorandum.
Appears in 3 contracts
Samples: Custodian Contract (Central Asset Fund Inc), Custodian Contract (Lernoult Investment Fund Inc), Custodian Contract (Central Investment 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 Directors Trustees of the Fund to keep the books of account of the Fund and/or compute the net asset value per share of the outstanding 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 share. If so directed, the Custodian shall also calculate weekly the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 weekly income of the Fund shall be made at the time or times described from time to time in the Fund's currently effective prospectus.
Appears in 2 contracts
Samples: Custodian Contract (BLK Subsidiary Inc), Custodian Contract (Blackrock 2012 Term Trust)
Duties of Custodian. with 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 of the Fund to keep the books of account of the Fund and/or compute the net asset value per 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 share. If so directed, the Custodian shall also calculate weekly daily the net income of the Fund as described in the Fund's currently effective prospectus private offering memorandum ("Memorandum") and shall advise the Fund and the Transfer Agent weekly 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 weekly daily income of the Fund shall be made at the time or times described from time to time in the Fund's currently effective prospectusProspectus.
Appears in 2 contracts
Samples: Custodian Contract (East West Securities Co Inc), Custodian Agreement (Cn Loan 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 Trust to keep the books of account of the Fund Trust and/or compute the net asset value per share of the outstanding shares of each Fund of the Fund Trust or, if directed in writing to do so by the FundTrust, shall itself keep such books of account and/or compute such net asset value per share. If so directed, the Custodian shall also calculate weekly daily the net income of the each Fund as described in the that Fund's currently effective prospectus and shall advise the Fund Trust and the Transfer Agent weekly daily of the total amounts of such net income and, if instructed in writing by an officer of the Fund Trust 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 weekly daily income of the each Fund shall be made at the time or times described from time to time in the Fund'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. 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 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 share. If so directed, the Custodian shall also calculate weekly the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 37 38 the weekly income of the Fund shall be made at the time or times described from time to time in the Fund's currently effective prospectus.
Appears in 1 contract
Samples: Custodian Contract (Muniholdings New York Insured Fund Iv Inc)
Duties of Custodian. with 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 of the Fund to keep the books of account of the Fund and/or compute the net asset value per 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 share. If so directed, the Custodian shall also calculate weekly daily the net income of the Fund as described in the Fund's ’s currently effective prospectus private offering memorandum (“Memorandum”) and shall advise the Fund and the Transfer Agent weekly 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 weekly daily income of the Fund shall be made at the time or times described from time to time in the Fund's ’s currently effective prospectusProspectus.
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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 of the Fund to keep the books of account of the Fund and/or compute the net asset value per 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 share. If so directed, the Custodian shall also calculate weekly daily the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 arid the weekly daily income of the Fund shall be made at the time or times described from time to time in the Fund's Funds 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. 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 of the outstanding 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 share. If so directed, the Custodian shall also calculate weekly the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 weekly income of the Fund shall be made at the time or of times described from form time to time in the Fund's currently effective prospectus.
Appears in 1 contract
Samples: Custodian Contract (Quest for Value Dual Purpose Fund Inc)
Duties of Custodian. with 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 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 weekly daily the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 weekly daily income of the Fund shall be made at the time or times described from time to time in the Fund'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. 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 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 share. If so directed, the Custodian shall also calculate weekly the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 weekly income of the Fund shall be made at the time or times described from time to time in the Fund's currently effective prospectus.and
Appears in 1 contract
Samples: Custodian Contract (Muniholdings Florida Insured Fund V)
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 of the Fund to keep the books of account of the Fund and/or compute the net asset value per share of the outstanding 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 share. If so directed, the Custodian shall also calculate weekly the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly of the total amounts of such .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 net--income among its various components. The calculations of the net asset value per share and the weekly income of the Fund shall be made at the time or times described from time to time in the Fund's currently effective prospectus.
Appears in 1 contract
Samples: Custodian Contract (Hyperion Total Return 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 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 weekly daily the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 weekly daily income of the Fund shall be made at the time or times described from time to time in the Fund'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. 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 of the outstanding 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 share. If so directed, the Custodian shall also calculate weekly the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 weekly income of the Fund shall be made at the time or times described from time to time in the Fund'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. 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 of the outstanding 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 share. If so directed, the The Custodian shall also calculate weekly and at the last business day of each month the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 weekly and month-end income of the Fund shall be made at the time or times described from time to time in the Fund'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. 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 of the outstanding 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 share. If so directed, the Custodian shall also calculate weekly daily the net income of the Fund as described in the Fund's currently effective prospectus related to the Fund and shall advise the Fund and the Transfer Agent weekly 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 weekly daily income of the Fund shall be made at the time or times described from time to time in the Fund'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. 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 of the outstanding 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 share. If so directed, the Custodian shall also calculate weekly daily the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 tbe 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 weekly daily income of the Fund shall be made at the time or times described from time to time in the Fund'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. 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 of the outstanding 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 share. If so directed, the Custodian shall also calculate weekly daily the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly 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 weekly daily income of the Fund shall be made at the time or times described from time to time in the Fund's currently effective prospectus.
Appears in 1 contract
Samples: Custodian Contract (Us Treasury Reserves 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 Trust to keep the books of account of the Fund and/or compute the net asset value per share of the outstanding 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 share. If so directed, the Custodian shall also calculate weekly daily the net income of the Fund as described in the Fund's currently effective prospectus and shall advise the Fund and the Transfer Agent weekly daily of the total amounts of such net 12 income and, if instructed in writing by an officer of the Fund Trust 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 weekly daily income of the Fund shall be made at the time or times described from time to time in the Fund's currently effective prospectus.
Appears in 1 contract