Net Asset Value, Distributions, and Redemptions. Section 1. Determination of Net Asset Value, Net Income, and Distributions. Subject to Article III, Section 7 hereof, the Trustees, in their absolute discretion, may prescribe and shall set forth in the By-Laws or in a duly adopted vote of the Trustees such bases and time for determining the per Share or net asset value of the Shares of any Series (or Class) or net income attributable to the Shares of any Series (or Class), or the declaration and payment of dividends and distributions on the Shares of any Series, as they may deem necessary or desirable.
Appears in 13 contracts
Samples: Agreement and Declaration of Trust (SEI Exchange Traded Funds), Agreement and Declaration of Trust (SEI Exchange Traded Funds), Trust Agreement (SEI Exchange Traded Funds)
Net Asset Value, Distributions, and Redemptions. Section 1. Determination of Net Asset Value, Net Income, Dividends and Distributions. Subject to Article III, Section 7 6 hereof, the Trustees, in their absolute discretion, may prescribe and shall set forth in the By-Laws or in a duly adopted vote of the Trustees such bases and time times for valuing the net assets of the Trust and determining the per Share or net asset value of the Shares of any Shares, which net asset value shall be separately determined for each Series (or Class) or and class), for determining the net income attributable to the Shares of any Series (or Classclass), or the declaration for declaring and payment of paying dividends and other distributions on the Shares of any SeriesSeries (or class), as they may deem necessary or desirable.
Appears in 8 contracts
Samples: Agreement and Declaration of Trust (Fiera Capital Series Trust), Agreement and Declaration of Trust (Fiera Capital Series Trust), Agreement and Declaration of Trust (Bluepoint Investment Series Trust)
Net Asset Value, Distributions, and Redemptions. Section 1. Determination of Net Asset Value, Net Income, and Distributions. Subject to applicable law and Article III, Section 7 6 hereof, the Trustees, in their absolute discretion, may prescribe and shall set forth in the By-Laws or in a duly adopted vote of the Trustees such bases and time for determining the per Share or net asset value of the Shares of any Series (or Class) or net income attributable to the Shares of any Series (or Class), or the declaration and payment of dividends and distributions on the Shares of any SeriesSeries (or Class), as they may deem necessary or desirable.
Appears in 7 contracts
Samples: Trust Agreement (Prudential Core Investment Fund), Agreement and Declaration of Trust (Hotchkis & Wiley Funds /De/), Trust Agreement (Merrill Lynch Principal Protected Trust)
Net Asset Value, Distributions, and Redemptions. Section 1. Determination of Net Asset Value, Net Income, and Distributions. Subject to applicable law and Article III, Section 7 6 hereof, the Trustees, in their absolute discretion, may prescribe and shall set forth in the By-Laws or in a duly adopted vote of the Trustees such bases and time for determining the per Share or net asset value of the Shares of any Series (or Class) or net income attributable to the Shares of any Series (or Class)Series, or the declaration and payment of dividends and distributions on the Shares of any Series, as they may deem necessary or desirable.
Appears in 5 contracts
Samples: Agreement and Declaration of Trust (Target Portfolio Trust), Agreement and Declaration of Trust (Target Portfolio Trust), Trust Agreement (Strategic Partners Series)
Net Asset Value, Distributions, and Redemptions. Section 1. Determination of Net Asset Value, Net Income, and Distributions. Subject to Article III, Section 7 6 hereof, the Trustees, in their absolute discretion, may prescribe and shall set forth in the By-Laws laws or in a duly adopted vote of the Trustees such bases and time for determining the per Share or net asset value of the Shares of any Series (or Class) or net income attributable to the Shares of any Series (or Class)Series, or the declaration and payment of dividends and distributions on the Shares of any Series, as they may deem necessary or desirable.
Appears in 4 contracts
Samples: Agreement and Declaration of Trust (Franklin Government Securities Trust), Agreement and Declaration of Trust (Leahi Investment Trust), Agreement and Declaration of Trust (Professionally Managed Portfolios)
Net Asset Value, Distributions, and Redemptions. Section 1. Determination of Net Asset ValueDETERMINATION OF NET ASSET VALUE, Net Income, and DistributionsNET INCOME AND DISTRIBUTIONS. Subject to Article III, Section 7 6 hereof, the Trustees, in their absolute discretion, may prescribe and shall set forth in the By-Laws Bylaws or in a duly adopted vote of the Trustees such bases and time for determining the per Share or net asset value of the Shares of any Series (or Class) or net income attributable to the Shares of any Series (or Class)Series, or the declaration and payment of dividends and distributions on the Shares of any Series, as they may deem necessary or desirable.
Appears in 3 contracts
Samples: Trust Agreement (Merger Fund Vl), Agreement and Declaration of Trust (Optimum Q Funds), Trust Agreement (Blue & White Funds Trust)
Net Asset Value, Distributions, and Redemptions. Section 16.1. Determination of Net Asset Value, Net Income, Income and Distributions. Subject to applicable law and Article III, Section 7 6 hereof, the Trustees, in their absolute discretion, may prescribe and shall set forth in the By-Laws or in a duly adopted vote of the Trustees such bases and time for determining the per Share or net asset value of the Shares of any Series (or Class) Class or net income attributable to the Shares of any Series (or Class), or the declaration and payment of dividends and distributions on the Shares of any SeriesSeries or Class, as they may deem necessary or desirable.
Appears in 2 contracts
Samples: Agreement and Declaration of Trust (Metropolitan Series Fund), Trust Agreement (Metropolitan Series Fund Inc)
Net Asset Value, Distributions, and Redemptions. Section 1SECTION 1 . Determination of Net Asset ValueDETERMINATION OF NET ASSET VALUE, Net Income, and DistributionsNET INCOME AND DISTRIBUTIONS. Subject to Article III, Section 7 6 hereof, the Trustees, in their absolute discretion, may prescribe and shall set forth in the By-Laws laws or in a duly adopted vote of the Trustees such bases and time for determining the per per-Share or net asset value of the Shares of any Series (or Class) or net income attributable to the Shares of any Series (or Class)Series, or the declaration and payment of dividends and distributions on the Shares of any Series, as they may deem necessary or desirable.
Appears in 1 contract
Net Asset Value, Distributions, and Redemptions. Section SECTION 1. Determination of Net Asset ValueDETERMINATION OF NET ASSET VALUE, Net Income, and DistributionsNET INCOME AND DISTRIBUTIONS. Subject to Article III, Section 7 6 hereof, the Trustees, in their absolute discretion, may prescribe and shall set forth in the By-Laws laws or in a duly adopted vote of the Trustees such bases and time for determining the per per-Share or net asset value of the Shares of any Series (or Class) or net income attributable to the Shares of any Series (or Class)Series, or the declaration and payment of dividends and distributions on the Shares of any Series, as they may deem necessary or desirable.
Appears in 1 contract
Net Asset Value, Distributions, and Redemptions. Section SECTION 1. Determination of Net Asset ValueDETERMINATION OF NET ASSET VALUE, Net Income, and DistributionsNET INCOME AND DISTRIBUTIONS. Subject to Article III, Section 7 6 hereof, the Trustees, in their absolute discretion, may prescribe and shall set forth in the By-Laws laws or in a duly adopted vote of the Trustees such bases and time for determining the per per- Share or net asset value of the Shares of any Series (or Class) and Class or net income attributable to the Shares of any Series (or and Class), or the declaration and payment of dividends and distributions on the Shares of any SeriesSeries and Class, as they may deem necessary or desirable.
Appears in 1 contract
Samples: Trust Agreement (Berkeley Capital Management Funds)
Net Asset Value, Distributions, and Redemptions. Section 1. Determination of Net Asset Value, Net Income, and Distributions. Subject to applicable law and Article III, Section 7 6 hereof, the Trustees, in their absolute discretion, may prescribe and shall set forth in the By-Laws or in a duly adopted vote of the Trustees such bases and time for determining the per Share or net asset value of the Shares of any Series (or Class) or net income attributable to the Shares of 19 any Series (or Class), or the declaration and payment of dividends and distributions on the Shares of any SeriesSeries (or Class), as they may deem necessary or desirable.
Appears in 1 contract
Samples: Trust Agreement (E Harmon Funds)
Net Asset Value, Distributions, and Redemptions. Section SECTION 1. Determination of Net Asset ValueDETERMINATION OF NET ASSET VALUE, Net IncomeNET INCOME, and DistributionsAND DISTRIBUTIONS. Subject to Article III, Section 7 6 hereof, the Trustees, in their absolute discretion, may prescribe and shall set forth in the By-Laws or in a duly adopted vote of the Trustees such bases and time for determining the per Share or net asset value of the Shares of any Series (or Class) or net income attributable to the Shares of any Series (or Class)Series, or the declaration and payment of dividends and distributions on the Shares of any Series, as they may deem necessary or desirable.
Appears in 1 contract
Samples: Agreement and Declaration of Trust (Franklin Floating Rate Trust)
Net Asset Value, Distributions, and Redemptions. Section 1. Determination of Net Asset Value, Net Income, Income and Distributions. Subject to Article III, Section Sections 6 and 7 hereof, the Trustees, in their absolute discretion, as they may deem necessary or desirable, may prescribe and shall set forth in the By-Laws Bylaws or in a duly adopted vote resolution the manner of the Trustees such bases and time for determining the per Share or net asset value of the Shares of any Series (or Class) or net income attributable to the Shares of any Series (or of any Class), or and the declaration and payment of dividends and distributions on the Shares of any Series, as they may deem necessary Series or desirableClass.
Appears in 1 contract
Samples: Agreement and Declaration of Trust (Benham Manager Funds)