Seligman Investment Grade Fixed Income Fund Inc Sample Contracts

EXHIBIT ITEM 23(l) Purchase Agreement INVESTMENT LETTER
Purchase Agreement • November 29th, 2001 • Seligman Investment Grade Fixed Income Fund Inc
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INVESTMENT MANAGEMENT SERVICES AGREEMENT
Investment Management Services Agreement • January 28th, 2009 • Seligman Core Fixed Income Fund, Inc • Minnesota

This Agreement, dated as of November 7, 2008, is by and between RiverSource Investments, LLC (the “Investment Manager”), a Minnesota limited liability company and Seligman Core Fixed Income Fund, Inc. (the “Fund”), a Maryland corporation.

WAIVER/REIMBURSEMENT AGREEMENT
Waiver/Reimbursement Agreement • January 28th, 2009 • Seligman Core Fixed Income Fund, Inc

WAIVER/REIMBURSEMENT AGREEMENT, dated as of February 2, 2009, between SELIGMAN CORE FIXED INCOME FUND, INC., a Maryland corporation (the “Fund”), and RiverSource Investments, LLC, a Minnesota limited liability company (the “Manager”). The Manager hereby agrees to waive its management fee and/or reimburse the Fund’s “other expenses” to the extent set forth in the Fund’s prospectuses included in the Fund’s Registration Statement, dated February 2, 2009.

WAIVER/REIMBURSEMENT AGREEMENT
Waiver/Reimbursement Agreement • January 29th, 2007 • Seligman Core Fixed Income Fund, Inc

WAIVER/REIMBURSEMENT AGREEMENT, dated as of February 1, 2007, between SELIGMAN CORE FIXED INCOME FUND, INC., a Maryland corporation (the “Fund”), and J. & W. SELIGMAN & CO. INCORPORATED, a Delaware corporation (the “Manager”). The Manager hereby agrees to waive its management fee and/or reimburse the Fund’s “other expenses” to the extent set forth in the Fund’s prospectuses included in the Fund’s Registration Statement, dated February 1, 2007.

MUTUAL FUND SERVICES AGREEMENT
Mutual Fund Services Agreement • January 28th, 2008 • Seligman Core Fixed Income Fund, Inc • New York

This Mutual Fund Services Agreement (“Agreement”) is entered into by and among Prudential Investment Management Services LLC (“PIMS”), Prudential Investments LLC (“PI”), (PIMS and PI collectively referred to as “Service Provider”), Seligman Data Corp. (“SDC”) and Seligman Advisors, Inc. (“SAI”) with respect to the registered investment companies and classes of shares (each a “Fund” and collectively, the “Funds”) to be included on the Platform as described below.

FORM OF INVESTMENT LETTER
Seligman Investment Grade Fixed Income Fund Inc • April 29th, 2003
INVESTMENT LETTER
Seligman Investment Grade Fixed Income Fund Inc • August 2nd, 2001 • Textile mill products
WAIVER/REIMBURSEMENT AGREEMENT
Waiver/Reimbursement Agreement • January 28th, 2008 • Seligman Core Fixed Income Fund, Inc

WAIVER/REIMBURSEMENT AGREEMENT, dated as of February 1, 2008, between SELIGMAN CORE FIXED INCOME FUND, INC., a Maryland corporation (the “Fund”), and J. & W. SELIGMAN & CO. INCORPORATED, a Delaware corporation (the “Manager”). The Manager hereby agrees to waive its management fee and/or reimburse the Portfolio’s “other expenses” to the extent set forth in the Fund’s prospectuses included in the Fund’s Registration Statement filed on or about January 28, 2007 with the Securities and Exchange Commission.

LOAD FUND OPERATING AGREEMENT
Fund Operating Agreement • January 28th, 2008 • Seligman Core Fixed Income Fund, Inc • California

This Load Fund Operating Agreement is made as of July 24, 2007, by and between Seligman Advisors, Inc., a Delaware Corporation (“Distributor”); Seligman Data Corp., a New York corporation (“Shareholder Servicing Agent”); each registered investment company executing it (“Fund Company”), on its own behalf and on behalf of each of its series or classes of shares listed on Schedule I hereto, as amended from time to time (“Fund(s)”); and Charles Schwab & Co., Inc. (“Schwab”), a California corporation (“Agreement”). In the event there are no Funds, then the term “Fund” shall mean “Fund Company.” For the purposes of this Agreement, Distributor and Shareholder Servicing Agent are collectively referred to as “Seligman Parties”. Fund Company and Seligman Parties are referred to collectively herein as “Fund Parties.”

ADMINISTRATIVE SERVICES AGREEMENT
Administrative Services Agreement • January 28th, 2009 • Seligman Core Fixed Income Fund, Inc • Minnesota

This Administrative Services Agreement (“Agreement”), effective as of November 7, 2008, is by and between Ameriprise Financial, Inc. (“Administrator”), a Delaware corporation, and the Corporations and Trusts (“Registrants”) listed in Schedule A, each on behalf of its underlying series. The terms “Fund” or “Funds” are used to refer to either the Registrant or the underlying series as context requires.

Pershing LLC One Pershing Plaza Jersey City, NJ 07399 OPERATING AGREEMENT
Operating Agreement • January 28th, 2008 • Seligman Core Fixed Income Fund, Inc • New York

This Operating Agreement (the “Agreement”) is made effective as of this 17 day of May, 2007, by and among Seligman Advisors, Inc. (“Distributor”), a Delaware corporation, Seligman Data Corp., a New York corporation (“SDC”), and Pershing LLC (“Clearing Broker”), a Delaware limited liability company.

INVESTMENT LETTER
Seligman Investment Grade Fixed Income Fund Inc • August 30th, 2001
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