Syntax Etf Trust Sample Contracts

Master Custodian Agreement
Master Custodian Agreement • August 22nd, 2018 • Syntax Etf Trust • Massachusetts

This Agreement is made as of July 20, 2017 (this “Agreement”), between each management investment company identified on Appendix A and each management investment company which becomes a party to this Agreement in accordance with the terms hereof (in each case, a “Fund”), including, if applicable, each series of the Fund identified on Appendix A and each series which becomes a party to this Agreement in accordance with the terms hereof, and State Street Bank and Trust Company, a Massachusetts trust company (the “Custodian”).

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ETF DISTRIBUTION AGREEMENT
Distribution Agreement • August 22nd, 2018 • Syntax Etf Trust • Delaware

This Distribution Agreement (the “Agreement”) is made as of July 24, 2017, by and between Syntax ETF Trust, a Delaware statutory trust (the “Trust”) having its principal place of business at 110 East 59th Street, 31st Floor, New York, NY 10022, and Foreside Fund Services, LLC, a Delaware limited liability company (the “Distributor”) having its principal place of business at Three Canal Plaza, Suite 100, Portland, ME 04101.

TRANSFER AGENCY AND SERVICE AGREEMENT
Transfer Agency and Service Agreement • August 22nd, 2018 • Syntax Etf Trust • Massachusetts

THIS AGREEMENT is made as of the 20th day of July, 2017, by and between STATE STREET BANK AND TRUST COMPANY, Massachusetts trust company having its principal office and place of business at One Lincoln Street, Boston, Massachusetts 02111 (“State Street” or the “Transfer Agent”), and each of the entities listed on Schedule A attached hereto (each, a “Trust).

INVESTMENT ADVISORY AGREEMENT
Investment Advisory Agreement • August 22nd, 2018 • Syntax Etf Trust • New York

This Investment Advisory Agreement (this "Agreement") is made and entered into on August 1, 2017, to be effective upon the commencement of operations of the portfolios of the Trust listed on Schedule A attached hereto, by and between - Syntax ETF Trust, a Delaware statutory trust organized on June 27, 2013 ("Trust"), and Syntax Advisors, LLC, a Limited Liability Corporation ("Advisor").

ADMINISTRATION AGREEMENT
Administration Agreement • August 22nd, 2018 • Syntax Etf Trust • Massachusetts

This Administration Agreement (“Agreement”) dated and effective as of July 20, 2017, is by and between State Street Bank and Trust Company, a Massachusetts trust company (the “Administrator”), and each of the Syntax entities listed on Schedule A attached hereto (each, a “Trust”).

FUND CCO AND AMLO AGREEMENT
Fund Cco and Amlo Agreement • August 22nd, 2018 • Syntax Etf Trust • Delaware

THIS AGREEMENT is made as of July 24, 2017, by and between Syntax ETF Trust, a Delaware statutory trust with its principal office and place of business at 110 East 59th Street, 31st Floor, New York, NY 10022 (the “Fund Company”), and Foreside Fund Officer Services, LLC, a Delaware limited liability company, with its principal office and place of business at Three Canal Plaza, Portland, Maine 04101 (“Foreside”).

INVESTMENT SUB-ADVISORY AGREEMENT
Investment Sub-Advisory Agreement • April 22nd, 2020 • Syntax Etf Trust • New York

This Investment Sub-Advisory Agreement (this "Agreement") is made and entered into on February , 2020 by and among Syntax Advisors, LLC a Limited Liability Corporation located at One Liberty Plaza, 46th floor, New York, New York 10006 "Advisor"), and Swan Global Investments LLC. a Delaware Corporation, located at 1099 Main Avenue Suite 206, Durango, CO 81301("Sub-Advisor")

FIFTH AMENDMENT TO EXPENSE LIMITATION AND REIMBURSEMENT AGREEMENT
Expense Limitation and Reimbursement Agreement • August 13th, 2021 • Syntax Etf Trust • Delaware

This fifth amendment (“Amendment”) to the Expense Limitation and Reimbursement Agreement (the “Agreement”) dated as of March 28, 2018 by and between Syntax Advisors, LLC (the “Advisor”) and the Syntax ETF Trust (“Trust”) is entered into as of August 11, 2021 (the “Effective Date”).

ETF DISTRIBUTION AGREEMENT
Etf Distribution Agreement • December 6th, 2024 • WEBs ETF Trust • Delaware

This distribution agreement (the “Agreement”) is effective this 10th day of October, 2024, and made by WEBs ETF Trust, a Delaware statutory trust (the “Trust”) having its principal place of business at 2497 Aspen Springs Drive, Park City, UT 84060, and Foreside Fund Services, LLC, a Delaware limited liability company (the “Distributor”) having its principal place of business at Three Canal Plaza, Suite 100, Portland, ME 04101.

Investment Management Agreement
Investment Management Agreement • December 6th, 2024 • WEBs ETF Trust

Investment Management Agreement made this ___ day of [ ], 2024 by and between WEBs ETF Trust, a Delaware statutory trust, including its separate series (the “Trust”), and WEBs Investments Inc., a Delaware corporation (the “Adviser”).

TRANSFER AGENCY AND SERVICE AGREEMENT
Transfer Agency and Service Agreement • April 30th, 2021 • Syntax Etf Trust • Massachusetts

THIS AGREEMENT is made as of the 20th day of July, 2017, by and between STATE STREET BANK AND TRUST COMPANY, Massachusetts trust company having its principal office and place of business at One Lincoln Street, Boston, Massachusetts 02111 (“State Street” or the “Transfer Agent”), and each of the entities listed on Schedule A attached hereto (each, a “Trust).

THIRD AMENDMENT TO INVESTMENT SUB-ADVISORY AGREEMENT
Investment Sub-Advisory Agreement • June 2nd, 2022 • Syntax Etf Trust • Delaware

This third amendment (“Amendment”) to the Investment Sub-Advisory Agreement (the “Agreement”) dated as of March 2, 2018 by and between Syntax Advisors, LLC (the “Advisor”) and Vantage Consulting Group (“Sub-Advisor”) is entered into as of May 10, 2022 (the “Effective Date”).

CUSTODIAN AGREEMENT
Custodian Agreement • December 6th, 2024 • WEBs ETF Trust • New York

THIS AGREEMENT (this Agreement), dated as of November 01, 2024, between WEBs ETFs Trust (the “Fund”) an open-end management investment company organized under the laws of the State of Delaware and registered with the Commission under the Investment Company Act of 1940 (the 1940 Act), on behalf of itself and each separate series listed on Appendix A to this Agreement, as may be amended from time to time (each a “Portfolio” and collectively the “Portfolios”), and BROWN BROTHERS HARRIMAN & CO., a limited partnership formed under the laws of the State of New York (BBH&Co. or the Custodian). For purposes of this Agreement, reference hereafter to the “Fund” shall mean the Fund and/or the respective Portfolio(s), as the context requires.

FIRST AMENDMENT TO ETF DISTRIBUTION AGREEMENT
Etf Distribution Agreement • June 2nd, 2022 • Syntax Etf Trust • Delaware

This first amendment (“Amendment”) to the novated ETF Distribution Agreement (the “Agreement”) dated as of September 30, 2021, by and between Syntax ETF Trust (the “Trust”) and Foreside Fund Services, LLC (together with the Trust, the “Parties”) is effective as of May 24, 2022.

Syntax ETF Trust - Meeting of the Board of Trustees - Annual Approval and Amendment to Distribution Agreement ETF DISTRIBUTION AGREEMENT
Distribution Agreement • April 30th, 2021 • Syntax Etf Trust • Delaware

This Distribution Agreement (the “Agreement”) is made as of July 24, 2017, by and between Syntax ETF Trust, a Delaware statutory trust (the “Trust”) having its principal place of business at 110 East 59th Street, 31st Floor, New York, NY 10022, and Foreside Fund Services, LLC, a Delaware limited liability company (the “Distributor”) having its principal place of business at Three Canal Plaza, Suite 100, Portland, ME 04101.

APPENDIX A TO Master Custodian Agreement (as of November 1, 2020)
Master Custodian Agreement • April 30th, 2021 • Syntax Etf Trust
MASTER INDEX AND TECHNOLOGY LICENSE AGREEMENT
Master Index and Technology License Agreement • February 27th, 2020 • Syntax Etf Trust • New York

This MASTER INDEX AND TECHNOLOGY LICENSE AGREEMENT (the “Agreement”) is entered into as of the Effective Date (as set forth below), by and between Syntax LLC, a New York limited liability company (“Licensor”), the principal office of which is located at 179 Franklin St, 3rd Floor, New York, New York 10013, and

LEGAL EXECUTION VERSION This FUNDS/PRODUCTS AGREEMENT is entered into with effect from 11 June 2018 among PARTIES
Funds/Products Agreement • December 29th, 2020 • Syntax Etf Trust
SYNTAX ETF TRUST EXPENSE LIMITATION AND REIMBURSEMENT AGREEMENT
Expense Limitation and Reimbursement Agreement • August 22nd, 2018 • Syntax Etf Trust • Delaware

AGREEMENT made as of March 28, 2018 by and between Syntax ETF Trust (the "Trust"), on behalf of the series listed on Schedule A (the “Fund”), and Syntax Advisors, LLC (the "Advisor"):

FOURTH AMENDMENT TO EXPENSE LIMITATION AND REIMBURSEMENT AGREEMENT
Expense Limitation and Reimbursement Agreement • June 2nd, 2022 • Syntax Etf Trust

This fourth amendment (“Amendment”) to the Expense Limitation and Reimbursement Agreement (the “Agreement”) dated as of March 28, 2018 by and between Syntax Advisors, LLC (the “Advisor”) and the Syntax ETF Trust (“Trust”) is entered into as of March 3, 2022 (the “Effective Date”).

MASTER CUSTOM INDEX AGREEMENT
Master Custom Index Agreement • February 27th, 2020 • Syntax Etf Trust • New York

This MASTER CUSTOM INDEX AGREEMENT (the “Agreement”) is entered into as of the Effective Date (as set forth below), by and between S&P Opco, LLC (a subsidiary of S&P Dow Jones Indices LLC), a Delaware limited liability company (“S&P”), the principal office of which is located at 55 Water Street, New York, New York 10041, and

FIRST AMENDMENT TO INVESTMENT ADVISORY AGREEMENT
Investment Advisory Agreement • August 13th, 2021 • Syntax Etf Trust • Delaware

This first amendment (“Amendment”) to the Investment Advisory Agreement (the “Agreement”) dated as of August 1, 2017 by and between Syntax Advisors, LLC (the “Advisor”) and the Syntax ETF Trust (“Trust”) is entered into as of February 19, 2020 (the “Effective Date”).

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Amendment to Investment Advisory Agreement
Investment Advisory Agreement • February 27th, 2020 • Syntax Etf Trust

This Amendment (“Amendment”) dated as of February 24, 2020 (“Effective Date”) to the Investment Advisory Agreement (“Agreement”) dated August 1, 2017 by and between Syntax ETF Trust, a Delaware statutory trust organized on June 27, 2013 (“Trust”), and Syntax Advisors, LLC, a Limited Liability Corporation (“Advisor”). The Agreement is incorporated herein by reference.

ADMINISTRATIVE AGENCY AGREEMENT
Administrative Agency Agreement • December 6th, 2024 • WEBs ETF Trust • Massachusetts

THIS AGREEMENT is made as of November 1st , 2024, by and between BROWN BROTHERS HARRIMAN & CO., a limited partnership organized under the laws of the State of New York (the "Administrator"), and WEBs ETF Trust, a statutory Trust registered in Delaware (the “Fund” on behalf of each series listed on Appendix A to this Agreement each a “Portfolio” and collectively, the "Portfolios") and registered with the Securities and Exchange Commission under the Investment Company Act of 1940 (“the 1940 Act”).

AMENDMENT TO INVESTMENT ADVISORY AGREEMENT
Investment Advisory Agreement • June 2nd, 2022 • Syntax Etf Trust • Delaware

This amendment (“Amendment”) to the Investment Advisory Agreement (the “Agreement”) dated as of August 1, 2017 by and between Syntax Advisors, LLC (the “Advisor”) and the Syntax ETF Trust (“Trust”) is entered into as of March 3, 2022 (the “Effective Date”).

SECOND AMENDMENT TO ETF DISTRIBUTION AGREEMENT
Etf Distribution Agreement • February 27th, 2020 • Syntax Etf Trust • Delaware

This second amendment (“Amendment”) to the ETF Distribution Agreement (the “Agreement”) dated as of July 24, 2017 by and between Syntax ETF Trust (the “Trust”) and Foreside Fund Services, LLC (“Foreside”) is entered into as of February 24, 2020 (the “Effective Date”).

THIRD AMENDMENT TO EXPENSE LIMITATION AND REIMBURSEMENT AGREEMENT
Expense Limitation and Reimbursement Agreement • April 22nd, 2020 • Syntax Etf Trust • Delaware

This third amendment (“Amendment”) to the Expense Limitation and Reimbursement Agreement (the “Agreement”) dated as of March 28, 2018 by and between Syntax Advisors, LLC (the “Advisor”) and the Syntax ETF Trust (“Trust”) is entered into as of February 19, 2020 (the “Effective Date”).

SUB-ADVISORY AGREEMENT with Vident Advisory, LLC d/b/a Vident Asset Management
Sub-Advisory Agreement • December 6th, 2024 • WEBs ETF Trust • Delaware

This Investment Sub-Advisory Agreement (the “Agreement”) is made as of this [ ] day of [ ], 2024 by and among WEBS Investments Inc., a Delaware corporation with its principal place of business at 2497 Aspen Springs Drive, Park City, Utah 84060(the “Adviser”), WEBs ETF Trust (the “Trust”), and Vident Advisory, LLC (doing business as Vident Asset Management), a Delaware limited liability company with its principal place of business located at 1125 Sanctuary Parkway, Suite 515, Alpharetta, Georgia 30009 (the “Sub-Adviser”).

Re: Agreement and Plan of Reorganization, dated as of the date hereof (the “Plan”), by Syntax ETF Trust (the “Trust”), on behalf of (a) the five series of the Trust identified in Schedule A as an Acquired Fund (each, an “Acquired Fund,” and together,...
Agreement and Plan of Reorganization • May 2nd, 2024 • Exchange Listed Funds Trust

This opinion is furnished to you pursuant to the Plan. You have requested our opinions as to certain U.S. federal income tax consequences of the reorganizations of each Acquired Fund and the corresponding Acquiring Fund that will consist of, pursuant to the Plan: (1) the transfer of all of the assets of the Acquired Fund to the corresponding Acquiring Fund as shown on Schedule A attached hereto in exchange for (i) shares of beneficial interests of such Acquiring Fund (“Acquiring Fund Shares”) and cash in lieu of fractional shares of the Acquiring Fund and (ii) the assumption of the liabilities of the Acquired Fund by the corresponding Acquiring Fund; (2) the distribution of the Acquiring Fund Shares and cash in lieu of fractional shares of the Acquiring Fund to the shareholders of the corresponding Acquired Fund; and (3) followed immediately by the complete liquidation of the Acquired Fund. The transactions described in (1) through (3) of the immediately preceding sentence, collectivel

SYNTAX ETF TRUST EXPENSE LIMITATION AND REIMBURSEMENT AGREEMENT
Expense Limitation and Reimbursement Agreement • February 27th, 2020 • Syntax Etf Trust • Delaware

AGREEMENT made as of February 19, 2020 by and between Syntax ETF Trust (the “Trust”), on behalf of the series listed on Schedule A (the “Fund”), and Syntax Advisors, LLC (the “Advisor”):

FIRST AMENDMENT TO INVESTMENT ADVISORY AGREEMENT
Investment Advisory Agreement • January 14th, 2020 • Syntax Etf Trust • Delaware

This first amendment (“Amendment”) to the Investment Advisory Agreement (the “Agreement”) dated as of August 1, 2017 by and between Syntax Advisors, LLC (the “Advisor”) and the Syntax ETF Trust (“Trust”) is entered into as of January 6, 2020 (the “Effective Date”).

ETF DISTRIBUTION AGREEMENT
Etf Distribution Agreement • January 14th, 2020 • Syntax Etf Trust • Delaware

This first amendment (" Amendment"') to the ETF Distribution Agreement (the Agreement"") dated as of July 24, 201 7 by and between Syntax ETF Trust (the "Trust") and Foreside Fund Services , LLC (" Foreside") is entered into as of January 6, 2020 (the Effective Date).

SYNTAX ETF TRUST AMENDMENT TO EXPENSE LIMITATION AND REIMBURSEMENT AGREEMENT
Expense Limitation and Reimbursement Agreement • January 14th, 2020 • Syntax Etf Trust

This Amendment, dated and effective as of July 15, 2019, is by and between Syntax ETF Trust (the "Trust"), on behalf of the series listed on Schedule A (the "Fund"), and Syntax Advisors., LLC (the “Advisor”)

Sublicense Agreement
Sublicense Agreement • December 6th, 2024 • WEBs ETF Trust

This Sublicense Agreement (the “Sublicense Agreement”), dated as of December [ ], 2024, is made by and among WEBs ETF Trust (the “Sublicensee”) and WEBs Investments Inc. (“Licensee” or “Sublicensor”).

DATA LICENSE AGREEMENT [BUY-SIDE BUSINESS UNITS ONLY]
Data License Agreement • December 29th, 2020 • Syntax Etf Trust • New York

Licensee wishes to receive the data contained in the product(s) set forth in each Schedule A (the product(s) listed in each Schedule A together with the data or any portion thereof contained therein, individually and collectively the ìServiceî) attached hereto and made a part hereof. Additional Schedules A may be added to this Agreement from time to time by written agreement of the parties. The parties to this Agreement, by their signatures below, acknowledge that they have read and agree to be bound by the terms and conditions of this Agreement and each Schedule A signed by Licensee and MSCI.

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