Offering Price. All shares sold by Distributor under this Agreement shall be sold at the net asset value per share ("Net Asset Value") determined in the manner described in each Fund's prospectus, as it may be amended from time to time, next computed after the order is accepted by Distributor, or one or more of its affiliates or designees. Each Fund shall determine and promptly furnish to Distributor a statement of the Net Asset Value of each class of the Fund's shares at least once each day that the Fund is open for business, as described in its current prospectus.
Appears in 22 contracts
Samples: Distribution Agreement (American Century Quantitative Equity Funds, Inc.), Distribution Agreement (American Century Target Maturities Trust), Distribution Agreement (American Century Government Income Trust)
Offering Price. All shares sold by Distributor under this Agreement shall be sold at the net asset value per share ("Net Asset Value") determined in the manner described in each Fund's prospectus, as it may be amended from time to time, next computed after the order is accepted by Distributor, Distributor or one its agents or more of its affiliates or designeesaffiliates. Each Fund shall determine and promptly furnish to Distributor a statement of the Net Asset Value of each class shares of the said Fund's shares series at least once on each day that on which the Fund is open for business, as described in its current prospectus.
Appears in 16 contracts
Samples: Distribution Agreement (American Century Strategic Asset Allocations Inc), Distribution Agreement (American Century Mutual Funds Inc), Distribution Agreement (American Century Quantitative Equity Funds, Inc.)
Offering Price. All shares sold by Distributor under this Agreement shall be sold at the net asset value per share ("Net Asset ValueOffering Price") determined in the manner described in each Fund's prospectus, as it may be amended from time to time, next computed after the order is accepted by Distributor, or one or more of its affiliates or designees. Each Fund shall determine and promptly furnish to Distributor a statement of the Net Asset Value Offering Price of each class shares of the said Fund's shares series at least once on each day that on which the Fund is open for business, trading as described in its current prospectus.
Appears in 3 contracts
Samples: Distribution Agreement (Benham International Funds), Distribution Agreement (Benham Manager Funds), Distribution Agreement (Benham California Tax Free & Municipal Funds)
Offering Price. All shares sold by Distributor under this Agreement shall be sold at the net asset value per share ("“Net Asset Value"”) determined in the manner described in each Fund's ’s prospectus, as it may be amended from time to time, next computed after the order is accepted by Distributor, or one or more of its affiliates or designees. Each Fund shall determine and promptly furnish to Distributor a statement of the Net Asset Value of each class of the Fund's ’s shares at least once each day that the Fund is open for business, as described in its current prospectus.
Appears in 2 contracts
Samples: Distribution Agreement (American Century Municipal Trust), Distribution Agreement (American Century Municipal Trust)
Offering Price. All shares sold by Distributor under this Agreement shall be sold at the net asset value per share ("Net Asset Value") ), along with any applicable sales charge, each as determined in the manner and at the time described in each Fund's prospectus, as it may be amended from time to time, next computed after the order is accepted by Distributor, or one or more of its affiliates or designees. Each Fund shall determine and promptly furnish to Distributor a statement of the Net Asset Value of each class of the Fund's shares at least once each day that the Fund is open for business, as described in its current prospectus.
Appears in 1 contract
Samples: Distribution Agreement (American Century Asset Allocation Portfolios, Inc.)
Offering Price. All shares sold by Distributor under this Agreement shall be sold at the net asset value per share ("Net Asset Value") determined in the manner described in each Fund's prospectus, as it may be amended from time to time, next computed after the order is accepted by Distributor, or one or more of its affiliates or designees. Each Fund shall determine and promptly furnish to Distributor a statement of the Net Asset Value Offering Price of each class shares of the said Fund's shares series at least once on each day that on which the Fund is open for business, trading as described in its current prospectus.
Appears in 1 contract
Samples: Distribution Agreement (Benham Government Income Trust)