PURCHASE AND SALE OF SECURITIES; CREDITS TO ACCOUNT. 1. Promptly after each purchase or sale of Securities by the Fund, the Fund shall deliver to Custodian a Certificate or Instructions, or with respect to a purchase or sale of a Security generally required to be settled on the same day the purchase or sale is made, Oral Instructions specifying all information Custodian may reasonably request to settle such purchase or sale. Custodian shall account for all purchases and sales of Securities on the actual settlement date unless otherwise agreed by Custodian. 2. The Fund understands that when Custodian is instructed to deliver Securities against payment, delivery of such Securities and receipt of payment therefor may not be completed
Appears in 8 contracts
Samples: Custody Agreement (Dryden Municipal Bond Fund), Custody Agreement (Jennison Sector Funds Inc), Custody Agreement (Strategic Partners Opportunity Funds)