HSBC Funds Sample Contracts

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Standard Contracts

AMENDMENT TO
Sub-Administration Agreement • February 28th, 2006 • HSBC Investor Funds
INVESTMENT ADVISORY CONTRACT SUPPLEMENT
Investment Advisory Contract • December 28th, 2000 • Republic Funds
EXHIBIT A
Master Custody Agreement • June 19th, 2009 • Franklin New York Tax Free Trust

The following is a list of the Investment Companies and their respective Series for which the Custodian shall serve under the Master Custody Agreement dated as of February 16, 1996.

AGREEMENT AND DECLARATION OF TRUST OF HSBC FUNDS
Trust Agreement • June 27th, 2016 • HSBC Funds • Delaware
Amended and Restated Agreement and Declaration of Trust of HSBC Funds a Delaware Statutory Trust Principal Executive Office: 4400 Easton Commons, Suite 200 Columbus, Ohio 43219
Amended and Restated Agreement and Declaration of Trust • February 28th, 2018 • HSBC Funds • Delaware

THIS AMENDED AND RESTATED AGREEMENT AND DECLARATION OF TRUST is made as of October 13, 2017 by the Trustees named hereunder in accordance with the provisions hereinafter set forth;

AMENDMENT TO ADMINISTRATION SERVICES AGREEMENT
Administration Services Agreement • June 29th, 2007 • HSBC Investor Funds
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SERVICES AGREEMENT HSBC FUNDS and CITI FUND SERVICES OHIO, INC.
Services Agreement • February 28th, 2018 • HSBC Funds • New York

THIS SERVICES AGREEMENT is made on December 14, 2017, by and between HSBC Funds, a Delaware statutory Trust on behalf of the individual series listed on Schedule A (collectively, the “Client”) and Citi Fund Services Ohio, Inc., an Ohio corporation with its place of business at 3435 Stelzer Road, Columbus, Ohio 43219 (the “Service Provider” or “Citi” and, with the Client, the “Parties”). This Agreement shall be considered a separate agreement between the Service Provider and each Client, and no Client shall be (i) liable for the obligations of any other Client or (ii) entitled to the benefits conferred under this Agreement on any other Client.

HSBC FUNDS HSBC OPPORTUNITY PORTFOLIO SUB-ADVISORY AGREEMENT
Sub-Advisory Agreement • June 27th, 2016 • HSBC Funds • Massachusetts

AGREEMENT, effective commencing on June 24, 2016, between Westfield Capital Management Company L.P. (the “Sub-adviser”) and HSBC Global Asset Management (USA) Inc. (the “Manager”).

INVESTMENT ADVISORY CONTRACT
Investment Advisory Contract • June 30th, 2000 • Republic Funds
HSBC FUNDS HSBC Asia ex-Japan Smaller Companies Equity Fund SUB-ADVISORY AGREEMENT
Sub-Advisory Agreement • June 27th, 2016 • HSBC Funds • New York

AGREEMENT, effective commencing on June 24, 2016, between HSBC Global Asset Management (Hong Kong) Limited (the "Sub-adviser") and HSBC Global Asset Management (USA) Inc. (the "Manager").

BETWEEN REPUBLIC FUNDS AND REPUBLIC NATIONAL BANK OF NEW YORK 2
Custodian Agreement • March 2nd, 1999 • Republic Funds • New York
Form of Dealer Agreement]
Dealer Agreement • June 27th, 2016 • HSBC Funds • Delaware

As the distributor of the shares ("Shares") of each investment company portfolio ("Fund"), of the investment company or companies covered hereunder (collectively, "Company") which may be amended by us from time to time, Foreside Distribution Services, L.P. ("Distributor") hereby invites you to participate in the selling group on the following terms and conditions. In this letter, the terms "we," "us," and similar words refer to the Distributor, and the terms "you," "your," and similar words refer to the dealer executing this agreement, including its associated persons.

HSBC FUNDS SUB-ADVISORY AGREEMENT
Sub-Advisory Agreement • December 23rd, 2016 • HSBC Funds • New York

WHEREAS, the Manager has been retained by HSBC Funds, a Delaware statutory trust (the "Trust") registered as an open-end investment management company under the Investment Company Act of 1940, as amended (the "1940 Act"), to provide investment advisory services to the funds listed on Annex A (each, a "Fund") pursuant to an Investment Advisory Contract, dated as of June 24, 2016 (the "Advisory Agreement");

EXPENSE LIMITATION AGREEMENT HSBC FUNDS HSBC ADVISOR FUNDS TRUST
Expense Limitation Agreement • February 28th, 2014 • HSBC Funds

EXPENSE LIMITATION AGREEMENT, effective as of March 1, 2014 by and between HSBC Global Asset Management (USA) Inc. (the “Investment Manager”) and HSBC Growth Fund (the “Growth Fund”), HSBC Opportunity Fund (the “Opportunity Fund”) and HSBC Short Duration Fixed Income Fund (the “Short Duration Fixed Income Fund”), each a series of HSBC Funds (the “Trust”), and HSBC Opportunity Fund (the “Advisor Opportunity Fund”), a series of HSBC Advisor Funds Trust (the “Advisor Trust”) (together with the Trust, the “Trusts”).

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