Common use of Supervision and Compliance Clause in Contracts

Supervision and Compliance. The activities of the Investment Adviser shall be subject at all times to the direction and control of the Board of Trustees of the Trust and shall comply with: (a) the Trust Instrument and By-Laws of the Trust; (b) the Registration Statement of the Trust, as it may be amended from time to time, including the investment objectives and policies set forth therein; (c) the Investment Company Act and the regulations thereunder; (d) the Internal Revenue Code of 1986 and the regulations thereunder applicable to regulated investment companies; (e) any other applicable laws or regulations; and (f) such other limitations as the Board of Trustees may adopt.

Appears in 4 contracts

Samples: Investment Advisory Agreement (Excelsior Funds Trust), Investment Advisory Agreement (Excelsior Funds Trust), Investment Advisory Agreement (Excelsior Funds Trust)

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Supervision and Compliance. The activities of the Investment Adviser shall be subject at all times to the direction and control of the Board of Trustees of the Trust and shall comply with: (a) the Declaration of Trust Instrument and By-Laws of the Trust; (b) the Registration Statement of the Trust, as it may be amended from time to time, including the investment objectives and policies set forth therein; (cd) the Investment Company Act and the regulations thereunder; (de) the Internal Revenue Code of 1986 and the regulations thereunder applicable to regulated investment companies; (ef) any other applicable laws or regulations; and (fg) such other limitations as the Board of Trustees may adopt.

Appears in 3 contracts

Samples: Investment Advisory Agreement (St James Portfolios), Investment Advisory Agreement (St James Portfolios), Investment Advisory Agreement (St James Portfolios)

Supervision and Compliance. The activities of the Investment Adviser shall be subject at all times to the direction and control of the Board of Trustees of the Trust and shall comply with: (a) the Trust Instrument and By-Laws of the Trust; (b) the Registration Statement of the Trust, as it may be amended from time to time, including the investment objectives and policies set forth therein; (c) the Investment Company Act and the regulations thereunder; (d) the Internal Revenue Code of 1986 and the regulations thereunder applicable to regulated investment companies; (e) any other applicable laws or regulations; and (f) such other limitations as the Board of Trustees may adopt.

Appears in 3 contracts

Samples: Investment Advisory Agreement (Excelsior Institutional Trust), Investment Advisory Agreement (Excelsior Institutional Trust), Investment Advisory Agreement (Excelsior Institutional Trust)

Supervision and Compliance. The activities of the Investment Adviser shall be subject at all times to the direction and control of the Board of Trustees of the Trust and shall comply with: (a) the [Trust Instrument Instrument] or [Declaration of Trust] and By-Laws of the Trust; (b) the Registration Statement of the Trust, as it may be amended from time to time, including the investment objectives and policies set forth therein; (cd) the Investment Company Act and the regulations thereunder; (de) the Internal Revenue Code of 1986 and the regulations thereunder applicable to regulated investment companies; (ef) any other applicable laws or regulations; and (fg) such other limitations as the Board of Trustees may adopt.

Appears in 2 contracts

Samples: Investment Advisory Agreement (Excelsior Institutional Trust), Investment Advisory Agreement (Excelsior Institutional Trust)

Supervision and Compliance. The activities of the Investment Adviser shall be subject at all times to the direction and control of the Board of Trustees of the Trust and shall comply with: (a) the Declaration of Trust Instrument and By-Laws of the Trust; (b) the Registration Statement of the Trust, as it may be amended from time to time, including the investment objectives and policies set forth therein; (c) the Investment Company Act and the regulations thereunder; (d) the Internal Revenue Code of 1986 and the regulations thereunder applicable to regulated investment companies; (e) any other applicable laws or regulations; and (f) such other limitations as the Adviser or the Board of Trustees of the Trust may adopt.

Appears in 1 contract

Samples: Investment Advisory Agreement (Federated Investment Portfolios)

Supervision and Compliance. The activities of the Investment Adviser shall be subject at all times to the direction and control of the Board of Trustees of the Trust and shall comply with: (a) the Trust Instrument and By-By- Laws of the Trust; (b) the Registration Statement of the Trust, as it may be amended from time to time, including the investment objectives and policies set forth therein; (c) the Investment Company Act and the regulations thereunder; (d) the Internal Revenue Code of 1986 and the regulations thereunder applicable to regulated investment companies; (e) any other applicable laws or regulations; and (f) such other limitations as the Board of Trustees may adopt.

Appears in 1 contract

Samples: Investment Advisory Agreement (Excelsior Institutional Trust)

Supervision and Compliance. The activities of the Investment Adviser shall be subject at all times to the direction and control of the Board of Trustees of the Trust and shall comply with: (a) the Trust Instrument and By-Laws of the Trust; (b) the Registration Statement of the Trust, as it may be amended from time to time, including the investment objectives and policies set forth therein; (cd) the Investment Company Act and the regulations thereunder; (de) the Internal Revenue Code of 1986 and the regulations thereunder applicable to regulated investment companies; (ef) any other applicable laws or regulations; and (fg) such other limitations as the Board of Trustees may adopt.

Appears in 1 contract

Samples: Investment Advisory Agreement (Excelsior Institutional Trust)

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Supervision and Compliance. The activities of the Investment Adviser shall be subject at all times to the direction and control of the Board of -2- Trustees of the Trust and shall comply with: (a) the Declaration of Trust Instrument and By-Laws of the Trust; (b) the Registration Statement of the Trust, as it may be amended from time to time, including the investment objectives and policies set forth therein; (c) the Investment Company Act and the regulations thereunder; (d) the Internal Revenue Code of 1986 and the regulations thereunder applicable to regulated investment companies; (e) any other applicable laws or regulations; and (f) such other limitations as the Adviser or the Board of Trustees of the Trust may adopt.

Appears in 1 contract

Samples: Investment Advisory Agreement (Federated Investment Portfolios)

Supervision and Compliance. The activities of the Investment Adviser shall be subject at all times to the direction and control of the Board of Trustees of the Trust and shall comply with: (a) the Declaration of Trust Instrument and By-Laws of the Trust; (b) the Registration Statement of the Trust, as it may -2- be amended from time to time, including the investment objectives and policies set forth therein; (c) the Investment Company Act and the regulations thereunder; (d) the Internal Revenue Code of 1986 and the regulations thereunder applicable to regulated investment companies; (e) any other applicable laws or regulations; and (f) such other limitations as the Board of Trustees of the Trust may adopt.

Appears in 1 contract

Samples: Investment Advisory Agreement (Federated Investment Portfolios)

Supervision and Compliance. The activities of the Investment Adviser shall be subject at all times to the direction and control of the Board of Trustees of the Trust and shall comply with: (a) the Declaration of Trust Instrument and By-Laws of the Trust; (b) the Registration Statement of the Trust, as it may be amended from time to time, including the investment objectives and policies set forth therein; (c) the Investment Company Act and the regulations thereunder; (d) the Internal Revenue Code of 1986 and the regulations thereunder applicable to regulated investment companies; (e) any other applicable laws or regulations; and (f) such other limitations as the Board of Trustees of the Trust may adopt.

Appears in 1 contract

Samples: Agreement (Federated Investment Portfolios)

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