Shareholder Account Services. If authorized in the Prospectus, ICCC shall arrange for the following services, in accordance with the applicable terms set forth in the Prospectus: (i) the issuance of Shares obtained through any pre-authorized check plan and direct purchases through broker wire orders, checks and applications; (ii) exchanges of shares of any fund for Shares of the Fund with which the Fund has exchange privileges; (iii)automatic redemption from an account where that shareholder participates in an automatic redemption plan; and (iv) redemption of Shares from an account with a check writing privilege.
Appears in 12 contracts
Samples: Master Services Agreement (Deutsche Investors Funds Inc), Master Services Agreement (Flag Investors Communications Fund Inc), Master Services Agreement (Flag Investors Emerging Growth Fund Inc)
Shareholder Account Services. If authorized in the Prospectus, ICCC shall arrange for the following services, in accordance with the applicable terms set forth in the Prospectus: (i) the issuance of Shares obtained through any pre-authorized check plan and direct purchases through broker wire orders, checks and applications; (ii) exchanges of shares of any fund for Shares of the Fund with which the Fund has exchange privileges; (iii)automatic iii) automatic redemption from an account where that shareholder participates in an automatic redemption plan; and (iv) redemption of Shares from an account with a check writing privilege.
Appears in 3 contracts
Samples: Master Services Agreement (Cash Reserve Fund Inc), Master Services Agreement (Deutsche Investors Funds Inc), Master Services Agreement (Scudder Rreef Securities Trust)
Shareholder Account Services. If authorized in the ---------------------------- Prospectus, ICCC shall arrange for the following services, in accordance with the applicable terms set forth in the Prospectus: (i) the issuance of Shares obtained through any pre-authorized check plan and direct purchases through broker wire orders, if any, checks and applications; (ii) exchanges of shares of any fund for Shares of the Fund Trust with which the Fund Trust has exchange privileges; (iii)automatic iii) automatic redemption from an account where that shareholder participates in an automatic redemption plan; and (iv) redemption of Shares from an account with a check writing privilege.
Appears in 1 contract
Samples: Transfer Agency Agreement (Deutsche Asset Management)