Voya INTERMEDIATE BOND PORTFOLIO Sample Contracts

AMONG
Participation Agreement • April 30th, 2004 • Ing Vp Bond Portfolio • Delaware
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WITNESSETH
Sub-Advisory Agreement • April 30th, 2004 • Ing Vp Bond Portfolio
EXHIBIT h(6)(i) AMENDMENT TO PARTICIPATION AGREEMENT THIS AGREEMENT is made by and among ReliaStar Life Insurance Company (the "Company"), a life insurance company organized under the laws of the State of Minnesota, ING VP Bond Portfolio (Trust) an...
Participation Agreement • April 30th, 2004 • Ing Vp Bond Portfolio

THIS AGREEMENT is made by and among ReliaStar Life Insurance Company (the "Company"), a life insurance company organized under the laws of the State of Minnesota, ING VP Bond Portfolio (Trust) an open-end management investment company and corporation organized under the laws of the State of Massachusetts, and ING Funds Distributor, LLC (the "Distributor" (formerly known as ING Funds Distributor, Inc.)). a corporation organized under the laws of the State of Delaware, (collectively, "the Parties").

ARTICLE I DEFINITIONS
Custody Agreement • April 30th, 2004 • Ing Vp Bond Portfolio • New York
R E C I T A L
Administrative Services Agreement • April 27th, 1998 • Aetna Income Shares • Connecticut
FIFTH AMENDMENT TO FUND PARTICIPATION AGREEMENT
Fund Participation Agreement • April 30th, 2004 • Ing Vp Bond Portfolio
W I T N E S S E T H
Sub-Advisory Agreement • February 29th, 2008 • Ing Vp Intermediate Bond Portfolio
AMENDMENT TO FUND PARTICIPATION AGREEMENT
Fund Participation Agreement • April 30th, 2004 • Ing Vp Bond Portfolio
WITNESSETH:
Custodian and Investment Accounting Agreement • April 19th, 2002 • Aetna Income Shares • Massachusetts
February 29, 2012 Mr. Wayne D. Weaver Managing Director and Senior Relationship Manager BNY Mellon Asset Servicing
Custody Agreement • April 26th, 2012 • Ing Intermediate Bond Portfolio

Pursuant to the terms and conditions of the Custody Agreement, Foreign Custody Manager Agreement, Fund Accounting Agreement, Custody & Fund Accounting Fee Schedule, and Global Securities Fee Schedule, each dated January 6, 2003, the Cash Reserve Agreement dated March 31, 2003, and the Letter of Instruction and Indemnification Agreement In Connection With Signature Guarantees and Signature Verifications dated January 12, 2011 (collectively, the “Agreements”), we hereby notify you of the addition of ING Large Cap Growth Fund (the “Fund”), a newly established series of ING Series Fund, Inc., effective on February 29, 2012, to be included on the Amended Exhibit A to the Agreements as shown. This Amended Exhibit A supersedes the previous Amended Exhibit A dated November 30, 2011.

February 9, 2023 Michael Rothemeyer Vice President The Bank of New York Mellon
Custody Agreement, Foreign Custody Manager Agreement, Fund Accounting Agreement • April 25th, 2023 • Voya INTERMEDIATE BOND PORTFOLIO
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INVESTMENT MANAGEMENT AGREEMENT VOYA INTERMEDIATE BOND PORTFOLIO
Investment Management Agreement • April 28th, 2015 • Voya INTERMEDIATE BOND PORTFOLIO • New York

AGREEMENT, effective as of November 18, 2014, between Voya Intermediate Bond Portfolio (the “Trust”), a Massachusetts business trust, and Voya Investments, LLC (the “Adviser”), a limited liability company organized and existing under the laws of the State of Arizona (the “Agreement”).

May 1, 2024 Michael Rothemeyer Vice President The Bank of New York Mellon Room 026-0026 Everett, MA 02149 Dear Mr. Rothemeyer:
Custody Agreement, Foreign Custody Manager Agreement, Fund Accounting Agreement • April 25th, 2024 • Voya INTERMEDIATE BOND PORTFOLIO

Pursuant to the terms and conditions of the Custody Agreement, Foreign Custody Manager Agreement, and Fund Accounting Agreement, each dated January 6, 2003, the Fund Accounting, Custody

Exhibit (g)(2)(i)
Custody Agreement, Foreign Custody Manager Agreement, Fund Accounting Agreement • April 25th, 2022 • Voya INTERMEDIATE BOND PORTFOLIO
July 14, 2017 Michael Rothemeyer The Bank of New York Mellon
Custody Agreement • April 26th, 2018 • Voya INTERMEDIATE BOND PORTFOLIO
SUB-ADVISORY AGREEMENT VOYA INTERMEDIATE BOND PORTFOLIO
Sub-Advisory Agreement • April 28th, 2015 • Voya INTERMEDIATE BOND PORTFOLIO • New York

AGREEMENT, effective as of November 18, 2014, between Voya Investments, LLC, an Arizona limited liability company (the “Manager”), and Voya Investment Management Co. LLC, a Delaware limited liability company (the “Sub-Adviser”).

Exhibit (g)(2)(i)
Custody Agreement, Foreign Custody Manager Agreement, Fund Accounting Agreement • April 21st, 2020 • Voya INTERMEDIATE BOND PORTFOLIO
Exhibit (h)(3)(i)
Custody Agreement • April 28th, 2010 • Ing Intermediate Bond Portfolio

Pursuant to the terms and conditions of the Custody Agreement, Foreign Custody Manager Agreement, Fund Accounting Agreement, Custody & Fund Accounting Fee Schedule, and Global Securities Fee Schedule, each dated January 6, 2003, and the Cash Reserve Agreement dated March 31, 2003 (the “Agreements”), we hereby notify you of the addition of ING Solution Aggressive Growth Portfolio, and ING Solution Conservative Portfolio (together, the “Portfolios”), effective April 30, 2010, to be included on the Amended Exhibit A to the Agreements as shown. This Amended Exhibit A supersedes the previous Amended Exhibit A dated April 30, 2010 in which ING DFA Global Allocation Portfolio, a new series of ING Investors Trust, was added to the Agreement.

TRANSFER AGENCY SERVICES AGREEMENT
Transfer Agency Services Agreement • April 30th, 2009 • Ing Vp Intermediate Bond Portfolio

THIS AGREEMENT (“Agreement”) is dated February 25, 2009 by and between PNC GLOBAL INVESTMENT SERVICING (U.S.) INC., a Massachusetts corporation (“PNC”), and each of the registered investment companies (each, a “Fund”) on behalf of all series thereof (each, a “Portfolio”) listed on Exhibit A attached hereto and made a part hereof.

April 18, 2016 Mary Jean Milner Managing Director The Bank of New York Mellon New York, NY 10286 Dear Ms. Milner:
Voya INTERMEDIATE BOND PORTFOLIO • April 28th, 2016

Pursuant to the terms and conditions of the Custody Agreement, Foreign Custody Manager Agreement, and Fund Accounting Agreement, each dated January 6, 2003, the Cash Reserve Agreement, dated March 31, 2003, the Custody & Fund Accounting Fee Schedule for Voya family of funds and the Global Securities Fee Schedule for Voya family of funds, each effective January 1, 2008, and the Letter of Instruction and Indemnification Agreement In Connection With Signature Guarantees and Signature Verifications, dated January 12, 2011 (collectively, the “Agreements”), we hereby notify you of changes to the Amended Exhibit A to the Agreements. This Amended Exhibit A supersedes the previous Amended Exhibit A dated February 9, 2015.

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