Common use of Xxxx Fee Clause in Contracts

Xxxx Fee. The monthly Fund Fee ("Monthly Fund Fee") shall be the sum of the daily Fund Fee accruals ("Daily Fund Fee Accruals") for each month. The Daily Fund Fee Accrual for any particular day will be computed by multiplying the fraction of one (1) over the number of calendar days in the year by the Fund Fee Rate of 0.2500% on assets up to $15 billion and 0.2125% on assets above $15 billion and multiplying this product by the net assets of the Fund for that day, as determined in accordance with the Fund`s prospectus as of the close of business on the previous business day on which the Fund was open for business.

Appears in 2 contracts

Samples: Investment Management Agreement (Price T Rowe Growth Stock Fund Inc), Investment Management Agreement (Price T Rowe Equity Income Fund)

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Xxxx Fee. The monthly Fund Fee ("Monthly Fund Fee") shall be the sum of the daily Fund Fee accruals ("Daily Fund Fee Accruals") for each month. The Daily Fund Fee Accrual for any particular day will be computed by multiplying the fraction of one (1) over the number of calendar days in the year by the Fund Fee Rate of 0.25000.300% on assets up to $15 billion and 0.21250.255% on assets above $15 billion and multiplying this product by the net assets of the Fund for that day, as determined in accordance with the Fund`s prospectus as of the close of business on the previous business day on which the Fund was open for business.

Appears in 1 contract

Samples: Investment Management Agreement (Price T Rowe Blue Chip Growth Fund Inc)

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Xxxx Fee. The monthly Fund Fee ("Monthly Fund Fee") shall be the sum of the daily Fund Fee accruals ("Daily Fund Fee Accruals") for each month. The Daily Fund Fee Accrual for any particular day will be computed by multiplying the fraction of one (1) over the number of calendar days in the year by the Fund Fee Rate of 0.25000.350% on assets up to $15 billion and 0.21250.2975% on assets above $15 billion and multiplying this product by the net assets of the Fund for that day, as determined in accordance with the Fund`s prospectus as of the close of business on the previous business day on which the Fund was open for business.

Appears in 1 contract

Samples: Investment Management Agreement (Price T Rowe Mid Cap Growth Fund Inc)

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