Payment for Instructions Sample Clauses
Payment for Instructions. (a) Payment for Net Purchases. Payment for net purchases of shares in the Fund will be wired by the custodian or trustee for the Plan to a Custodial account designated by the Fund, in accordance with the Procedures described in Exhibit B.
Payment for Instructions. (a) PAYMENT FOR NET PURCHASES. Payment for net purchases of shares in the Fund will be wired by the custodian or trustee for the Plan to a Custodial account designated by the Fund, in accordance with the Procedures described in EXHIBIT C.
(b) PAYMENT FOR NET REDEMPTIONS. Payment for net redemptions of shares in the Fund will be wired from the Fund's custodial account to the custodian or trustee for the Plan, in accordance with the Procedures described in EXHIBIT C.
Payment for Instructions
