Midas Series Trust Sample Contracts

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MUTUAL FUND SERVICES AGREEMENT Fund Accounting Services Transfer Agency Services Dividend Disbursing Services
Mutual Fund Services Agreement • April 22nd, 2002 • Midas Fund Inc • Indiana
WITNESSETH:
Custody and Investment Accounting Agreement • March 1st, 2000 • Midas Fund Inc
CUSTODY AGREEMENT
Custody Agreement • August 28th, 2018 • Midas Series Trust • New York

THIS CUSTODY AGREEMENT ("Agreement"), dated as of June 1, 2018, is entered into by and between THE HUNTINGTON NATIONAL BANK, a national bank organized under the laws of the United States (the "Custodian" or "Bank"), and severally and not jointly each Company listed on Appendix B to this Agreement, acting solely with respect to each of its series listed on such Appendix B (each such series a "Fund"), or, if no such series is listed, acting on its own behalf.

AMENDED AND RESTATED SPECIAL CUSTODY and PLEDGE AGREEMENT
Special Custody and Pledge Agreement • April 30th, 2013 • Midas Series Trust • New York

AGREEMENT (hereinafter "Agreement"), dated as of December 10, 2012, among State Street Bank and Trust Company, a Massachusetts trust company, in its capacity as custodian hereunder ("Custodian"), Midas Series Trust, on behalf of its series, Midas Magic (the "Fund"), and BNP Paribas, acting through its New York Branch (the "Counterparty").

EXECUTION COPY
BNPP Ny Lending Agreement • April 30th, 2013 • Midas Series Trust • New York
REVOLVING CREDIT AGREEMENT between MIDAS SERIES TRUST,
Revolving Credit Agreement • August 28th, 2018 • Midas Series Trust • Ohio

This REVOLVING CREDIT AGREEMENT ("Agreement") is entered into as of the June 18, 2018, by and between MIDAS SERIES TRUST, a Delaware statutory trust (the "Borrower"), executing this Agreement on behalf and for the benefit of those investment series set forth on Exhibit 1.1, severally and not jointly, and THE HUNTINGTON NATIONAL BANK, a national banking association (the "Bank").

DISTRIBUTION AGREEMENT
Distribution Agreement • August 29th, 2012 • Midas Fund, Inc. • New York

AGREEMENT made as of May 15, 2012, between MIDAS FUND, INC. (“Corporation”), a corporation organized and existing under the laws of the State of Maryland, and Midas Securities Group, Inc. (“Distributor”), a corporation organized and existing under the laws of the State of Delaware.

FORM OF RETIREMENT PLAN CUSTODIAL SERVICES AGREEMENT
Retirement Plan Custodial Services Agreement • March 31st, 1998 • Midas Fund Inc • Missouri
Incorporating Master Service Agreement (MSA) No. (Midas Management Corporation- MSA.10/22/2003) between Subscriber Institutional Shareholder Services Inc.
Addendum • February 26th, 2016 • Midas Series Trust

*Subscriber may elect to have invoices sent to a third party (see contact info for billing inquiries). If third party declines to pay for service, then Subscriber will be liable for entire payment.

BNPP NY Lending Agreement
Lending Agreement • April 30th, 2012 • Midas Fund, Inc. • New York

This BNPP NY Lending Agreement (including all terms, schedules, supplements and exhibits attached hereto, this “Agreement”) is entered into between the customer specified below (“Customer”) and BNP Paribas, acting through its New York Branch (“BNPP NY”) on behalf of itself and as agent for the BNPP Entities (as defined in the Account Agreement attached as Exhibit A hereto). The Agreement sets forth the terms and conditions on which BNPP NY will transact business with Customer. Customer and BNPP NY, on behalf of itself and as agent for the BNPP Entities, have also entered into the Account Agreement.

April 1, 2011
Uncommitted Credit Facility Agreement • April 28th, 2011 • Midas Fund, Inc.
LIQUIDITY AGREEMENT
Liquidity Agreement • August 25th, 2016 • Midas Series Trust

THIS LIQUIDITY AGREEMENT, dated as of July 28, 2016 (this "Agreement"), is by and between each FUND LISTED ON SCHEDULE A OF THIS AGREEMENT, acting solely with respect to each of its series listed on such Schedule A, or, if no such series is listed, acting on its own behalf, severally and not jointly (each such series and each registered investment company for which no series is listed, a "Fund"), and STATE STREET BANK AND TRUST COMPANY( "State Street").

THIRD AMENDMENT TO SECURITIES LENDING AUTHORIZATION AGREEMENT BETWEEN THE FUNDS IN THE MIDAS INVESTMENT COMPANY COMPLEX, AS LISTED ON SCHEDULE B AND STATE STREET BANK AND TRUST COMPANY
Securities Lending Authorization Agreement • April 30th, 2010 • Midas Fund, Inc. • Massachusetts

This Third Amendment (this "Amendment") dated February 8, 2010 is between the Funds in the Midas investment company complex (each a “Fund” and collectively, the “Funds”) as listed on Schedule B, severally and not jointly, each a registered management investment company organized and existing under the laws of Maryland, and STATE STREET BANK AND TRUST COMPANY acting either directly or through any State Street Affiliates (collectively, "State Street").

AMENDED INVESTMENT MANAGEMENT AGREEMENT
Investment Management Agreement • August 25th, 2016 • Midas Series Trust • Delaware

AMENDED AGREEMENT made as of June 24, 2016, by and between Midas Series Trust, a Delaware statutory trust (the "Trust"), and Midas Management Corporation, a Delaware corporation (the "Investment Manager").

CONTROL AGREEMENT
Control Agreement • August 28th, 2018 • Midas Series Trust • Ohio

This Control Agreement (this "Agreement"), dated June 18, 2018, is by and among MIDAS SERIES TRUST, a Delaware statutory trust (the "Trust") executing this Agreement on behalf and for the benefit of those investment series set forth in Exhibit A, severally and not jointly (the "Funds" and each, a "Fund"), THE HUNTINGTON NATIONAL BANK, a national bank ("Bank"), and THE HUNTINGTON NATIONAL BANK, a national bank (the "Custodian").

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April 23, 2010 Midas Family of Funds
Committed Credit Facility Agreement • April 30th, 2010 • Midas Fund, Inc.
PLEDGE AND SECURITY AGREEMENT
Pledge and Security Agreement • August 28th, 2018 • Midas Series Trust • Ohio

THIS PLEDGE AND SECURITY AGREEMENT ("Agreement"), dated as of June 18, 2018, between MIDAS SERIES TRUST, a Delaware statutory trust (the "Trust"), executing this Agreement on behalf and for the benefit of those investment series set forth on Exhibit 1.1, severally and not jointly (the "Fund(s)" and each, a "Fund"), and THE HUNTINGTON NATIONAL BANK, a national banking association ("Bank"). In the event of conflict between the Revolving Credit Agreement and this Agreement, this Agreement shall control.

MUTUAL FUND SERVICES AGREEMENT Fund Accounting Services Transfer Agency Services Anti-Money Laundering Services Tax Services between MIDAS FUND, INC. MIDAS MAGIC, INC. MIDAS PERPETUAL PORTFOLIO, INC. and HUNTINGTON ASSET SERVICES, INC. March 1, 2012
Mutual Fund Services Agreement • April 30th, 2012 • Midas Fund, Inc. • Indiana

AGREEMENT (this “Agreement”), dated as of March 1, 2012, between Midas Fund, Inc., Midas Magic, Inc., and Midas Perpetual Portfolio, Inc., each a Maryland corporation (each, individually, a “Fund”, and collectively, the “Funds”), and Huntington Asset Services, Inc., a Delaware corporation (“HASI”).

AMENDMENT TO CUSTODIAN AGREEMENT
Custodian Agreement • February 26th, 2018 • Midas Series Trust

THIS AMENDMENT TO CUSTODIAN AGREEMENT (the "Amendment") is made and entered into as of November 20, 2017, by and among EACH REGISTERED INVESTMENT COMPANY LISTED ON EXHIBIT A (each a "Client"), and STATE STREET BANK AND TRUST COMPANY, a Massachusetts trust company ("State Street").

April 1, 2011
Committed Credit Facility Agreement • April 28th, 2011 • Midas Fund, Inc.
FIRST AMENDMENT TO THE SECURITIES LENDING AND SERVICES AGREEMENT BETWEEN THE FUNDS IN THE MIDAS INVESTMENT COMPANY COMPLEX, AS LISTED ON SCHEDULE B AND STATE STREET BANK AND TRUST COMPANY
Securities Lending and Services Agreement • April 29th, 2009 • Midas Fund, Inc. • Massachusetts

This First Amendment (this “Amendment”) dated as of February 18, 2009 is between THE FUNDS IN THE MIDAS INVESTMENT COMPANY COMPLEX, AS LISTED ON SCHEDULE B, (each, a “Borrower”) severally and not jointly, each a registered management investment company organized and existing under the laws of Maryland, and STATE STREET BANK AND TRUST COMPANY (“Lender”).

STATE STREET BANK AND TRUST COMPANY Midas Funds
Fee Schedule • February 26th, 2018 • Midas Series Trust

Reference is hereby made to (a) the Custodian Agreement (the "Custody Agreement") dated as of April 8, 2002 by and between State Street Bank and Trust Company ("State Street") and each Fund listed on Exhibit A thereto (each, individually, a "Fund" and, collectively, the "Funds"), as such Custody Agreement may be amended, supplemented, restated or otherwise modified from time to time. The parties have entered into this fee schedule ("Fee Schedule") dated December 14, 2017 and effective as of August 1, 2016 (the "Effective Date") in order to memorialize their agreement on the compensation to be paid by the Funds to State Street for the performance of the services specified in the Custody Agreement (the "Services"). This Fee Schedule shall be subject to the terms and conditions of the Custody Agreement as if it were a part thereof. Unless otherwise agreed by the parties, this Fee Schedule shall apply to the provision of the Services to each Fund which is a party or is otherwise subject to

DISTRIBUTION AGREEMENT
Distribution Agreement • August 25th, 2016 • Midas Series Trust • New York

AGREEMENT made as of June 24, 2016, between MIDAS SERIES TRUST (the "Trust"), a statutory trust organized and existing under the laws of the State of Delaware, and Midas Securities Group, Inc. ("Distributor"), a corporation organized and existing under the laws of the State of Delaware, on behalf of Midas Fund and Midas Magic, each a segregated portfolio of assets ("Series") of the Trust.

FORM OF AGREEMENT AND PLAN OF REORGANIZATION
Agreement and Plan of Reorganization • February 1st, 2016 • Midas Series Trust • Delaware

This Agreement and Plan of Reorganization (the "Agreement") is made as of _______________, 2016, and has been adopted by the Board of Trustees of Midas Series Trust (the "Trust"), a Delaware statutory trust, to provide for the reorganization of _______________________ (the "Acquired Fund") into Midas Fund (the "Acquiring Fund"), a series of the Trust.

THIRD AMENDMENT TO MUTUAL FUND SERVICES AGREEMENT
Mutual Fund Services Agreement • April 29th, 2020 • Midas Series Trust

WHEREAS, Midas Series Trust (the “Trust”), a Delaware statutory trust, on behalf and for the benefit of Midas Fund and Midas Magic, each a series of the Trust (each a “Fund”), and Ultimus Asset Services, LLC (“Ultimus”), a Delaware limited liability company, have entered into a Mutual Fund Services Agreement originally dated as of March 1, 2012, as amended, restated, supplemented, assigned, or otherwise modified (the “Agreement”);

CONSENT TO ASSIGNMENT
Consent to Assignment • October 11th, 2012 • Midas Series Trust

This Consent to Assignment is dated October 12, 2012, by and between BNP Paribas, acting through its New York Branch (“BNP”) and Midas Fund, Inc. (“Fund”).

CONSENT TO ASSIGNMENT
Consent to Assignment • October 11th, 2012 • Midas Series Trust

This Consent to Assignment is dated October 12, 2012, by and between BNP Paribas, acting through its New York Branch (“BNP”) and Midas Magic, Inc. (“Fund”).

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