DWS Advisor Funds Sample Contracts

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Form of] EXPENSE LIMITATION AGREEMENT
Expense Limitation Agreement • February 1st, 2005 • Scudder Advisor Funds • Massachusetts
TO Sub-Advisory Agreement Dated
Investment Sub-Advisory Agreement • February 27th, 2004 • Scudder Advisor Funds
WITNESSETH:
Agency Agreement • April 30th, 2003 • Bt Investment Funds • Missouri
EXPENSE LIMITATION AGREEMENT
Expense Limitation Agreement • July 30th, 2010 • DWS Advisor Funds • Delaware

THIS EXPENSE LIMITATION AGREEMENT (“Expense Limitation Agreement”) is made as of the 1st day of October, 2007 by and between each of the funds listed on Exhibit A hereto (as may be amended from time to time), each of which is a Massachusetts business trust, a Maryland corporation or a New York trust (each, a “Fund” and collectively, the “Funds”), and DEUTSCHE INVESTMENT MANAGEMENT AMERICAS INC., a Delaware corporation (the “Advisor”), with respect to the following:

Exhibit (h)(5)
Amendment to Selling Group Agreement • December 29th, 2009 • DWS Advisor Funds

This amendment to the Agreement is entered into as of the date indicated in the signature block below, with an effective date of October 16, 2007, or such earlier date as of which you begin providing the Shareholder information described below, and includes the following provisions:

AMENDED AND RESTATED ADMINISTRATIVE SERVICES AGREEMENT
Administrative Services Agreement • January 28th, 2009 • DWS Advisor Funds • Massachusetts

AGREEMENT, dated as of October 1, 2008, among DWS Advisor Funds, a Massachusetts business trust (the “Trust”), on its own behalf and on behalf of each of the Funds listed on Schedule I to this Agreement (each a “Fund” and together, the “Funds”), and Deutsche Investment Management Americas Inc., a Delaware corporation (the “Administrator”), effective with respect to each Fund as of the date set out with respect to such Fund on Schedule I to this Agreement, as may be amended from time to time.

AMENDED AND RESTATED INVESTMENT MANAGEMENT AGREEMENT
Investment Management Agreement • September 25th, 2006 • DWS Advisor Funds • Massachusetts

AGREEMENT, dated as of June 1, 2006, among DWS Advisor Funds, a Massachusetts business trust (the “Trust”), on its own behalf and on behalf of each of the Funds listed on Schedule I to this Agreement (each a “Fund” and together, the “Funds”), and Deutsche Asset Management, Inc., a Delaware corporation (the “Adviser”), effective with respect to each Fund as of the date set out with respect to such Fund on Schedule I to this Agreement, as may be amended from time to time.

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Dear Financial Services Firm (“you” or “Intermediary”), As principal underwriter of the DWS Funds, we (or a predecessor firm) or our affiliate have entered into a selling group or other agreement or agreements (the "Agreement") with you to permit you,...
Amendment to Selling Group Agreement • July 30th, 2010 • DWS Advisor Funds

This amendment to the Agreement is entered into as of the date indicated in the signature block below, with an effective date of October 16, 2007, or such earlier date as of which you begin providing the Shareholder information described below, and includes the following provisions:

Exhibit (g)(1) MASTER CUSTODIAN AGREEMENT
Master Custodian Agreement • December 31st, 2008 • DWS Advisor Funds • Massachusetts

This Agreement is made as of November 17, 2008, between EACH REGISTERED INVESTMENT COMPANY IDENTIFIED ON APPENDIX A HERETO (each such registered investment company, and each registered investment company made subject to this Agreement in accordance with Section 18 below, referred to as the “Fund”), and STATE STREET BANK and TRUST COMPANY, a Massachusetts trust company (the “Custodian”).

Contract
Investment Sub-Advisory Agreement • July 30th, 2010 • DWS Advisor Funds • New York
EXPENSE LIMITATION AGREEMENT
Expense Limitation Agreement • January 28th, 2008 • DWS Advisor Funds • Delaware

THIS EXPENSE LIMITATION AGREEMENT (“Expense Limitation Agreement”) is made as of the 1st day of October, 2007 by and between each of the funds listed on Exhibit A hereto (as may be amended from time to time), each of which is a Massachusetts business trust, a Maryland corporation or a New York trust (each, a “Fund” and collectively, the “Funds”), and DEUTSCHE INVESTMENT MANAGEMENT AMERICAS INC., a Delaware corporation (the “Advisor”), with respect to the following:

SUB-ADMINISTRATION AND SUB-ACCOUNTING AGREEMENT
Sub-Administration and Sub-Accounting Agreement • April 29th, 2004 • Scudder Advisor Funds • Massachusetts
Exhibit (g)(2) AMENDED AND RESTATED MASTER CUSTODIAN AGREEMENT Dated as of October 17, 2008
Master Custodian Agreement • December 31st, 2008 • DWS Advisor Funds
SUB-SUBADVISORY AGREEMENT RREEF America L.L.C. an affiliate of Deutsche Asset Management, Inc. 41st Floor Chicago, Illinois 60611
Sub-Advisory Agreement • April 30th, 2007 • DWS Advisor Funds • New York

We have entered into a Sub-Advisory Agreement with Deutsche Investment Management Americas Inc. (“DIMA” and/or the “Adviser”) dated July 3, 2006, under which DIMA has delegated to RREEF America L.L.C. (“RREEF”) substantially all of its duties under a subadvisory agreement (the “Subadvisory Agreement”), as amended from time to time, on behalf of DWS RREEF Global Real Estate Securities Fund (the “Fund”), a series of the DWS Advisor Funds, (the “Trust”), a Massachusetts business trust. A copy of the Subadvisory Agreement has been previously furnished to you. In furtherance of such duties to the Fund, and with the approval of the Fund, we wish to avail ourselves of your investment advisory services. Accordingly, with the acceptance of the Fund, we hereby agree with you as follows for the duration of this Agreement:

AGREEMENT AND PLAN OF REORGANIZATION
Agreement and Plan of Reorganization • January 18th, 2012 • DWS Advisor Funds • Massachusetts

AGREEMENT AND PLAN OF REORGANIZATION dated as of November 19, 2010 (the “Agreement”), among DWS Advisor Funds, a Massachusetts business trust (the “Predecessor Company”), on behalf of NY Tax Free Money Fund, a segregated portfolio of assets (“series”) thereof (the “Acquired Fund”), and DWS Money Market Trust, a Massachusetts business trust (the “Successor Company”), on behalf of NY Tax Free Money Fund, a segregated portfolio of assets (“series”) thereof (the “Acquiring Fund”) (the Acquired Fund and the Acquiring Fund are sometimes referred to herein individually as a “Fund” and collectively as the “Funds”). All agreements, representations, actions and obligations described herein made or to be taken or undertaken by a Fund are made and shall be taken or undertaken by the Predecessor Company on behalf of the Acquired Fund and by the Successor Company on behalf of the Acquiring Fund.

INVESTMENT MANAGEMENT AGREEMENT Cash Account Trust Two International Place Boston, Massachusetts 02110
Investment Management Agreement • November 1st, 2006 • Cash Account Trust • Massachusetts

CASH ACCOUNT TRUST (the “Trust”) has been established as a Massachusetts Business Trust to engage in the business of an investment company. Pursuant to the Trust’s Declaration of Trust, as amended from time-to-time (the “Declaration”), the Board of Trustees is authorized to issue the Trust’s shares of beneficial interest (the “Shares”) in separate series, or funds. The Board of Trustees has authorized the Money Market Portfolio, the Government & Agency Securities Portfolio and the Tax-Exempt Portfolio (each a “Fund” and collectively, the “Funds”). Series may be abolished and dissolved, and additional series established, from time to time by action of the Trustees.

EXHIBIT D TO THE ADMINISTRATION AND SERVICES AGREEMENT MADE AS OF OCTOBER 28, 1992 BETWEEN BT INVESTMENT FUNDS AND BANKERS TRUST COMPANY As Last Revised: September 29, 2000
Administration and Services Agreement • September 29th, 2000 • Bt Investment Funds

Cash Management Investment.................................................0.55% Treasury Money Investment..................................................0.55% Tax Free Money Investment..................................................0.55% NY Tax Free Money Investment...............................................0.55% International Equity.......................................................0.85% Mid Cap Investment Class..................................................0.65% Institutional Class..............................................0.40% Lifecycle Long Range.......................................................0.65% Lifecycle Mid Range........................................................0.65% Lifecycle Short Range......................................................0.65% Small Cap..................................................................0.65% PreservationPlus Income....................................................0.35% Quantitative Equity Investment Class...

SUB-ADVISORY AGREEMENT (AS REVISED)
Sub-Advisory Agreement • January 28th, 2008 • DWS Advisor Funds • New York

AGREEMENT made this 2nd day of December, 2005, and revised as of January 1, 2007 between DEUTSCHE INVESTMENT MANAGEMENT AMERICAS INC., as successor to Deutsche Asset Management, Inc. (the “Adviser”) and ABERDEEN ASSET MANAGEMENT INC. (the “Sub-Adviser”).

AMENDMENT TO AMENDED AND RESTATED MASTER CUSTODIAN AGREEMENT
Master Custodian Agreement • February 27th, 2009 • DWS Advisor Funds

February 17, 2009 by and between each registered investment company and their subsidiaries or other entities identified on Appendix A hereto (each, the “Fund”) and Brown Brothers Harriman & Co. (“BBH”).

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