Redemption of Fund Shares. On receipt of investment payments or redemption instructions from Insurance Companies, the Transfer Agent will process the payment or redemption, confirm all transactions, and prepare and maintain all reports and records to assure the safekeeping of the Fund's assets. All shares shall be held in book entry form, and no certificate shall be issued except as has been previously issued.
Appears in 9 contracts
Samples: Transfer Agency and Servicing Agreement (RiverSource Variable Series Trust), Transfer Agency and Servicing Agreement (RiverSource Variable Series Trust), Transfer Agency and Servicing Agreement (RiverSource Variable Series Trust)