SERIES SHARES Sample Clauses

SERIES SHARES. 1.1 The Trust and the Distributor agree to make shares of the Series available for purchase by Hartford on behalf of the Separate Accounts on each Business Day. The Trust will execute orders placed for each Separate Account on a daily basis at the net asset value of each Series next computed after receipt by the Trust, or its designee, of such order as of the close of business on each Business Day.
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SERIES SHARES. 1.1 The Trust and the Distributor agree to make shares of the Series available for purchase by the Company on behalf of the Separate Accounts on each Business Day (as hereafter defined). The Trust will execute orders placed for each Separate Account on a daily basis at the net asset value of each Series next computed after receipt by the Trust, or its designee, of such order as of the close of business on each Business Day, or to the extent appropriate, as provided in Schedule C attached hereto.
SERIES SHARES. 1.1 The Distributor agrees to make shares of the Series available for purchase by the Company on behalf of the Separate Accounts on each Business Day (as hereafter defined). Transfer Agent will' execute orders placed for each Separate Account on a daily basis at the net asset value of each Series next computed after receipt by the Trust, or its designee, of such order prior to the price time for each Fund as set forth in its then current prospectus ("Prospectus"), generally the close of regular trading on the New York Stock Exchange on any given Business Day and transmitted to the Transfer Agent as set forth below, or to the extent appropriate, as provided in Schedule C attached hereto and made a part hereof.
SERIES SHARES. 1.1 The Fund and the Distributor agree to make shares of the Series available for purchase by Hartford on behalf of the Separate Accounts on each Business Day. The Fund will execute orders placed for each Separate Account on a daily basis at the net asset value of each Series share next computed after receipt by the Fund, or its designee, of such order as of the close of business on each Business Day.
SERIES SHARES. 1.1 The Fund and the Distributor agree to make shares of the Series available for purchase by the Company on behalf of the Separate Accounts on each Business Day (as hereafter defined) in accordance with the Fund's then current prospectus and statement of additional information. The Fund will execute orders placed for each Separate Account on a daily basis at the net asset value of each Series next computed after receipt by the Fund, or its designee, of such order as of the close of business on each Business Day, or to the extent appropriate, as provided in Schedule C attached hereto.
SERIES SHARES. The Trustees may classify or reclassify any unissued Shares or any Shares previously issued and reacquired of any Series into Shares of such Series or Shares of one or more other Series.
SERIES SHARES. 1.1 The Distributor agrees to make shares of the Series available for purchase by the Company on behalf of the Separate Accounts on each Business Day (as hereafter defined). The Transfer Agent will execute orders ("Orders") from the Company on behalf of the Separate Accounts that are received prior to the price time for each Series as set forth in such Series' then current prospectus ("Prospectus"). Such orders shall be executed by the Transfer Agent on a daily basis at the net asset value of each Series next computed after receipt of such Order by the Transfer Agent, or its designee as of the close of business on each Business Day, or to the extent appropriate, as provided in Schedule C attached hereto.
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