Van Eck Funds Sample Contracts

October 29, 1993 Van Eck Securities Corporation 122 East 42nd Street New York, New York 10168 Ladies/Gentlemen: Pursuant to Section 1 of the Distribution Agreement, dated July 30,1985 (the "Agreement"), between Van Eck Funds (the "Trust") and Van Eck...
Distribution Agreement • February 25th, 2005 • Van Eck Funds

Pursuant to Section 1 of the Distribution Agreement, dated July 30,1985 (the "Agreement"), between Van Eck Funds (the "Trust") and Van Eck Securities Corporation (the "Distributor"), please be advised that the Trust has established an additional series of the Trust, namely, Global Balanced Fund (the "Fund") which will issue two classes of shares, namely, Class A Shares and Class B Shares. The Trustees of the Trust have adopted the Agreement to retain the Distributor to render services contemplated by the Agreement for the Fund. Class A Shares will be sold at "net asset value per share" of the Fund plus a front-end sales charge and the Class B Shares will be sold at "net asset value per share" of the Fund, in accordance with the then current prospectus of the Trust, as from time to time amended.

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VAN ECK FUNDS
Master Trust Agreement • March 1st, 1999 • Van Eck Funds
PREAMBLE
Data Access Services Agreement • February 25th, 2005 • Van Eck Funds • Massachusetts
VAN ECK FUNDS 122 East 42nd Street New York, New York 10168
Distribution Agreement • March 1st, 1999 • Van Eck Funds

Pursuant to Section I of the Distribution Agreement, dated July 30, 1985 (the "Agreement"), between Van Eck Funds (the"Trust") and Van Eck Securities Corporation (the "Distributor"), please be advised an additional series of the Trust, namely, Global Hard Assets Fund (the "Fund") has adopted the Agreement and retained the Distributor to render services contemplated by the Agreement for the Fund. The Fund will issue two classes of shares, namely, Class A and Class C shares. Class A Shares will be sold at "net asset value per share" plus a front-end sales charge and the Class C shares will be sold at "net asset value per share" plus a redemption charge for shares redeemed within twelve months of the date of purchase in accordance with the then current prospectus of the Trust, as from time to time amended.

July 1, 1994 Van Eck Associates Corporation 122 East 42nd Street New York, New York 10168 Ladies/Gentlemen: Pursuant to Section 12 of the Accounting and Administrative Services Agreement, dated April 20, 1994 (the "Agreement"), between Van Eck Funds...
Accounting and Administrative Services Agreement • February 25th, 2005 • Van Eck Funds

Pursuant to Section 12 of the Accounting and Administrative Services Agreement, dated April 20, 1994 (the "Agreement"), between Van Eck Funds (the "Trust") and Van Eck Associates Corporation (the "Administrator"), please be advised that the Trust has established two additional series of the Trust, namely, Asia Infrastructure Fund and Global SmallCap Fund (the "Fund") which will each issue two classes of shares, namely, Class A Shares and Class B Shares. The Trustees of the Trust have adopted the Agreement to retain the Administrator to render services contemplated by the Agreement for the Fund. A certification by the Secretary of the Trust of the resolution adopted by the Board of Trustees and an amended Exhibit A reflecting the addition of the Fund to the Plan are attached.

AMENDED AND RESTATED BY-LAWS OF VANECK FUNDS
By-Laws • April 25th, 2016 • Van Eck Funds
WITNESSETH:
Custodian Agreement • March 19th, 2001 • Van Eck Funds • Massachusetts
INVESTMENT ADVISORY AGREEMENT
Investment Advisory Agreement • November 22nd, 2010 • Van Eck Funds • New York

AGREEMENT made this 29th day of May, 2009 between Van Eck Associates Corporation, a corporation organized under the laws of the State of Delaware and having its principal place of business in New York, New York (the “Adviser”), and Van Eck Funds, a Massachusetts business trust having its principal place of business in New York, New York (the “Trust”).

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VAN ECK FUNDS AMENDMENT NO. 7
Amendment to Master Trust Agreement • March 1st, 1999 • Van Eck Funds
VAN ECK FUNDS 122 East 42nd Street New York, New York 10168
Distribution Agreement • March 1st, 1999 • Van Eck Funds

Pursuant to Section I of the Distribution Agreement, dated July 30, 1985 (the "Agreement"), between Van Eck Funds (the"Trust") and Van Eck Securities Corporation (the "Distributor"), please be advised an additional series of the Trust, namely, Global Hard Assets Fund (the "Fund") has adopted the Agreement and retained the Distributor to render services contemplated by the Agreement for the Fund. The Fund will issue two classes of shares, namely, Class A and Class C shares. Class A Shares will be sold at "net asset value per share" plus a front-end sales charge and the Class C shares will be sold at "net asset value per share" plus a redemption charge for shares redeemed within twelve months of the date of purchase in accordance with the then current prospectus of the Trust, as from time to time amended.

PROCEDURAL AGREEMENT AMONG MERRILL LYNCH FUTURES INC. World Income Fund Series of Van Eck Funds and Citibank
Procedural Agreement • March 1st, 1999 • Van Eck Funds • New York
VAN ECK FUNDS 122 East 42nd Street New York, New York 10168
Distribution Agreement • March 1st, 1999 • Van Eck Funds

Pursuant to Section 1 of the Distribution Agreement, dated July 30,1985 (the "Agreement"), between Van Eck Funds (the "Trust") and Van Eck Securities Corporation (the "Distributor"), please be advised that the Trust has established an additional class of shares, namely, Class C shares, for four series of the Trust, namely, Gold/Resources Fund, International Investors Gold Fund, Asia infrastructure Fund and Global SmallCap Fund (the "Fund"). The Trustees of the Trust have adopted the Agreement to retain the Distributor to render services contemplated by the Agreement for the Fund. Class C Shares will be sold at "net asset value per share" of each Fund plus a redemption charge for shares redeemed within twelve months of the date of purchase in accordance with the then current prospectus of the Trust, as from time to time amended.

VAN ECK FUNDS AMENDMENT NO. 28 TO THE AMENDED AND RESTATED MASTER TRUST AGREEMENT
Amendment No. 28 to the Amended and Restated Master Trust Agreement • December 6th, 2013 • Van Eck Funds

Amendment No. 28 (the “Amendment”) to the Amended and Restated Master Trust Agreement dated February 6, 1992, as amended (the “Agreement”) of Van Eck Funds (the “Trust”), made at New York, New York, this 28th day of October, 2013.

VAN ECK FUNDS AMENDMENT NO. 18 TO THE AMENDED AND RESTATED MASTER TRUST AGREEMENT
Amendment to the Amended and Restated Master Trust Agreement • April 30th, 2004 • Van Eck Funds
Exhibit (a)(11) VAN ECK FUNDS AMENDMENT NO. 10 TO AMENDED AND RESTATED MASTER TRUST AGREEMENT Amendment No. 10 to the Amended and Restated Master Trust Agreement dated February 6, 1992 (amending the Master Trust Agreement dated April 3, 1985) (the...
Amendment No. 10 to Amended and Restated Master Trust Agreement • April 30th, 2004 • Van Eck Funds

Amendment No. 10 to the Amended and Restated Master Trust Agreement dated February 6, 1992 (amending the Master Trust Agreement dated April 3, 1985) (the "Agreement"), of Van Eck Funds (the "Trust"), made at New York, New York, this 19th day of December, 1996.

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