Form of] AMENDMENT TO DISTRIBUTION AGREEMENTDistribution Agreement • April 29th, 2004 • Jp Morgan Mutual Fund Investment Trust
Contract Type FiledApril 29th, 2004 Company
ADMINISTRATION AGREEMENT AGREEMENT dated as of the 19th day of February, 2005 by and between each of the entities listed on Schedule A, each of which is a corporation, business trust or statutory trust as indicated on Schedule A (each referred to...Administration Agreement • April 29th, 2005 • Jp Morgan Mutual Fund Investment Trust • Delaware
Contract Type FiledApril 29th, 2005 Company Jurisdiction
INVESTMENT ADVISORY AGREEMENT BETWEEN MUTUAL FUND INVESTMENT TRUST AND THE CHASE MANHATTAN BANKInvestment Advisory Agreement • December 30th, 1997 • Avesta Trust • New York
Contract Type FiledDecember 30th, 1997 Company Jurisdiction
INVESTMENT ADVISORY AGREEMENT BETWEEN MUTUAL FUND INVESTMENT TRUST AND CHASE FLEMING ASSET MANAGEMENT (USA) INC.Mutual Fund Investment Trust • January 17th, 2001 • New York
Company FiledJanuary 17th, 2001 Jurisdiction
TRANSFER AGENCY AGREEMENTTransfer Agency Agreement • April 29th, 2004 • Jp Morgan Mutual Fund Investment Trust
Contract Type FiledApril 29th, 2004 CompanyClosed CUSIPS - $150 per month through May of the following year B. ACCOUNT MAINTENANCE AND PROCESSING FEES Non-Institutional Non-Network Level 3 Open Accounts - $16.35 per account per year Non-Institutional Network Level 3 Open Accounts - $12.85 per account per year Institutional Open Accounts: Accounts in the range from 0 - 400: no charge, included in complex base fee Accounts in the range from 401 - 600: $1,160 per account per year Accounts in the range from 601 - 800: $930 per account per year Accounts in the range from 801 - 1,000: $700 per account per year Accounts in the range over 1,000: $580 per account per year
INVESTMENT ADVISORY AGREEMENT BETWEEN MUTUAL FUND INVESTMENT TRUST AND THE CHASE MANHATTAN BANKInvestment Advisory Agreement • December 30th, 1997 • Avesta Trust • New York
Contract Type FiledDecember 30th, 1997 Company Jurisdiction
WITNESSETH:Administration Agreement • December 30th, 1997 • Avesta Trust
Contract Type FiledDecember 30th, 1997 Company
Exhibit - 9Custodian Services Agreement • January 17th, 2001 • Mutual Fund Investment Trust
Contract Type FiledJanuary 17th, 2001 Company
Exhibit - 13(b) ADMINISTRATION AND ACCOUNTING SERVICES AGREEMENT THIS AGREEMENT is made as of February _____, 2001 by and between PFPC INC., a Massachusetts corporation ("PFPC"), and MUTUAL FUND INVESTMENT TRUST a Massachusetts business trust (the...Administration and Accounting Services Agreement • January 17th, 2001 • Mutual Fund Investment Trust
Contract Type FiledJanuary 17th, 2001 Company
AMENDMENT TO ADMINISTRATION AGREEMENTAdministration Agreement • April 28th, 2006 • Jp Morgan Mutual Fund Investment Trust
Contract Type FiledApril 28th, 2006 Company
Appendix A Transfer Agency Agreement for JPMorgan Funds List of Entities Covered by the Transfer Agency Agreement As of August 11, 2022Transfer Agency Agreement • October 25th, 2022 • Jp Morgan Mutual Fund Investment Trust
Contract Type FiledOctober 25th, 2022 Company
Exhibit - 6(b) INVESTMENT SUB-ADVISORY AGREEMENT AGREEMENT made as of February _____, 2001 by and between CHASE FLEMING ASSET MANAGEMENT (USA) INC., a Delaware corporation and registered investment adviser ("CFAM"), and SYMPHONY ASSET MANAGEMENT, LLC,...Sub-Advisory Agreement • January 17th, 2001 • Mutual Fund Investment Trust • California
Contract Type FiledJanuary 17th, 2001 Company Jurisdiction
AMENDED AND RESTATED TRANSFER AGENCY AGREEMENT Made as of the 1st day of September, 2014 by and between EACH OF THE ENTITIES LISTED ON APPENDIX A HERETO And BOSTON FINANCIAL DATA SERVICES, INC.Transfer Agency Agreement • October 28th, 2014 • Jp Morgan Mutual Fund Investment Trust • Massachusetts
Contract Type FiledOctober 28th, 2014 Company JurisdictionTHIS AGREEMENT is made as of the 1st day of September, 2014, by and between each of the entities listed on Appendix A hereto and each being an entity of the type set for on Appendix A and organized under the laws of the state as set forth on such Appendix, each with a principal place of business at 270 Park Ave., New York, NY 10017 and each of which is acting on its own behalf and on behalf of each of the portfolios listed under its name in Appendix A (jointly and severally, such portfolios shall be referred to hereinafter as the “Fund” or “Funds), but not jointly with any other entities listed on Appendix A and BOSTON FINANCIAL DATA SERVICES, INC., a corporation existing under the laws of the Commonwealth of Massachusetts, having its principal place of business at 2000 Crown Colony Drive, Quincy, Massachusetts 02169 (“BOSTON FINANCIAL”):
By: ---------------------------------------- Title. ------------------------------------- SCHEDULE A TO THE ADVISORY AGREEMENTJp Morgan Mutual Fund Investment Trust • February 9th, 2005 • Massachusetts
Company FiledFebruary 9th, 2005 Jurisdiction
Trust Fund/SERV AgreementTrust Fund/Serv Agreement • September 27th, 2013 • Jp Morgan Mutual Fund Investment Trust • New York
Contract Type FiledSeptember 27th, 2013 Company JurisdictionThis Agreement entered into by and between the financial institution executing this Agreement (“Trust Entity”) and JPMorgan Distribution Services, Inc. (“Fund Agent”).
February 16, 2001 Mutual Fund Group 1211 Avenue of the Americas 41st Floor New York, NY 10036 Mutual Fund Investment Trust 1211 Avenue of the Americas 41st Floor New York, NY 10036 Re: Agreement and Plan of Reorganization dated as of October 31, 2000...Mutual Fund Investment Trust • June 8th, 2001
Company FiledJune 8th, 2001
Appendix A Transfer Agency Agreement for JPMorgan Funds List of Entities Covered by the Transfer Agency Agreement As of August 15, 2018Transfer Agency Agreement • October 29th, 2018 • Jp Morgan Mutual Fund Investment Trust
Contract Type FiledOctober 29th, 2018 Company
JPMORGAN DISTRIBUTION SERVICES, INC. MUTUAL FUND SALES AGREEMENTJpmorgan Distribution Services • September 27th, 2013 • Jp Morgan Mutual Fund Investment Trust • New York
Contract Type FiledSeptember 27th, 2013 Company JurisdictionThis Agreement, is entered into between the financial institution executing this Agreement, (“Financial Intermediary”) and JPMorgan Distribution Services, Inc. (“JPMDS”) with respect to those series of each of the trusts and the corporation listed on Exhibit A hereto (each, a “Trust”; collectively, the “Trusts”); (each series referred to as a “Fund” and collectively as the “Funds”) for whose shares (“Shares”) JPMDS serves as Distributor and for whom JPMDS provides distribution services.
JPMORGAN DISTRIBUTION SERVICES, INC. SERVICE AGREEMENT Shareholder ServicingService Agreement • October 25th, 2023 • Jp Morgan Mutual Fund Investment Trust • New York
Contract Type FiledOctober 25th, 2023 Company Jurisdiction* List of Funds is determined by JPMDS in its sole discretion and may be modified from time to time. List of Funds will be provided upon request.
JPMORGAN DISTRIBUTION SERVICES, INC. MUTUAL FUND SALES AGREEMENTJpmorgan Distribution Services • October 25th, 2023 • Jp Morgan Mutual Fund Investment Trust • New York
Contract Type FiledOctober 25th, 2023 Company JurisdictionThis Agreement is entered into between the financial institution executing this Agreement (“Financial Intermediary”) and JPMorgan Distribution Services, Inc. (“JPMDS”) with respect to those series of each of the trusts and the corporation listed on Exhibit A hereto (each, a “Trust” and collectively, the “Trusts”; each series referred to as a “Fund” and collectively, the “Funds”) for whose shares (“Shares”) JPMDS serves as Distributor and for whom JPMDS provides distribution services.
SUB TRANSFER AGENCY AGREEMENTSub Transfer Agency Agreement • September 27th, 2013 • Jp Morgan Mutual Fund Investment Trust • New York
Contract Type FiledSeptember 27th, 2013 Company JurisdictionAGREEMENT made by and between the institution executing this Agreement (“Recordkeeper”) and the investment companies executing this Agreement (each a “Trust” and collectively the “Trusts”) on behalf of themselves and each of their series or classes of shares (each a “Fund”, collectively, the “Funds”).
ADMINISTRATIVE SUB-ACCOUNTING AGREEMENTSub-Accounting Agreement • September 27th, 2013 • Jp Morgan Mutual Fund Investment Trust • New York
Contract Type FiledSeptember 27th, 2013 Company JurisdictionAGREEMENT made by and between the institution executing this Agreement (“Financial Intermediary”), and the investment companies executing this Agreement (each a “Trust” and collectively the “Trusts”) on behalf of themselves and each of their series or classes of shares (each a “Fund”, collectively, the “Funds”).
JPMORGAN DISTRIBUTION SERVICES, INC. SERVICE AGREEMENT Shareholder ServicingJpmorgan Distribution Services • September 27th, 2013 • Jp Morgan Mutual Fund Investment Trust • New York
Contract Type FiledSeptember 27th, 2013 Company JurisdictionThis Agreement is entered into between the financial institution executing this Agreement (“Financial Intermediary”) and JPMorgan Distribution Services, Inc. (“JPMDS”).
GLOBAL SECURITIES LENDING AGENCY AGREEMENTGlobal Securities Lending Agency Agreement • October 29th, 2018 • Jp Morgan Mutual Fund Investment Trust • New York
Contract Type FiledOctober 29th, 2018 Company JurisdictionThis Global Securities Lending Agency Agreement, dated as of October 4, 2018 (this “Agency Agreement”), is entered into by and between (i) CITIBANK, N.A., a national banking organization (the “Agent”) and (ii) JPMorgan Trust I, JPMorgan Trust II, JPMorgan Trust III, JPMorgan Trust IV, J.P. Morgan Fleming Mutual Fund Group, Inc., J.P. Morgan Mutual Fund Investment Trust, JPMorgan Institutional Trust, JPMorgan Insurance Trust, Undiscovered Managers Funds (each, a “Trust” and, collectively, the “Trusts”), each a registered management investment company organized and existing under the laws of Delaware, Massachusetts or Maryland, each on behalf of their series portfolios listed as corresponding to such Trust’s name on Exhibit A severally and not jointly, (each series portfolio, a “Lender” and, collectively, the “Lenders”). Capitalized terms used herein without definition shall have the meaning assigned thereto in the Lending Agreements (as defined below).
AMENDMENT TO AMENDED AND RESTATED GLOBAL CUSTODY AND FUND ACCOUNTING AGREEMENTGlobal Custody and Fund Accounting Agreement • October 31st, 2016 • Jp Morgan Mutual Fund Investment Trust • New York
Contract Type FiledOctober 31st, 2016 Company JurisdictionThis AMENDMENT, is made and effective as of September 1st, 2014 (the “Amendment”), to the AMENDED AND RESTATED GLOBAL CUSTODY AND FUND ACCOUNTING AGREEMENT, dated September 1, 2010 (the “Agreement”), as amended or supplemented from time to time, by and each trust listed on Schedule A thereto, severally and for each of its Funds listed on Schedule A attached thereto (each “Customer”); and JPMORGAN CHASE BANK, N.A. (the “Bank”). For other good and valuable consideration, the receipt and legal sufficiency of which is hereby acknowledged, the Customers and the Bank hereby agree as follows:
ContractSecurities Lending Agreement • October 27th, 2011 • Jp Morgan Mutual Fund Investment Trust • New York
Contract Type FiledOctober 27th, 2011 Company JurisdictionTHIS AMENDED AND RESTATED THIRD PARTY SECURITIES LENDING AGREEMENT (“Agreement”) is effective March 1, 2011, among JPMorgan Trust I, JPMorgan Trust II, J.P. Morgan Fleming Mutual Fund Group, Inc., J.P. Morgan Mutual Fund Investment Trust, JPMorgan Insurance Trust, JPMorgan Institutional Trust and Undiscovered Managers Funds (each, a “Trust” and, collectively, the “Trusts”), on behalf of their series listed on Appendix 4 (as amended from time to time) severally and not jointly, each a registered management investment company organized and existing under the laws of Delaware, Massachusetts or Maryland having an office at 245 Park Avenue, New York, New York 10167 (each such series, a “Lender” and, collectively, the “Lenders”), The Goldman Sachs Bank USA (formerly known as The Goldman Sachs Trust Company), doing business as Goldman Sachs Agency Lending having an office at 125 High Street, Oliver Street Tower, Suite 1700, Boston, Massachusetts 02110 (“Agent”), and JPMorgan Chase Bank, N.A.
ContractGeneral Guarantee Agreement • October 27th, 2011 • Jp Morgan Mutual Fund Investment Trust • New York
Contract Type FiledOctober 27th, 2011 Company JurisdictionThis AMENDED AND RESTATED SECURITIES LENDING AGENCY AGREEMENT effective as of March 1, 2011 (the “Agreement) is between JPMorgan Trust I, JPMorgan Trust II, J.P. Morgan Fleming Mutual Fund Group, Inc., JPMorgan Institutional Trust, J.P. Morgan Mutual Fund Investment Trust, JPMorgan Insurance Trust, and Undiscovered Managers Funds (each, a “Trust” and, collectively, the “Trusts”), each on behalf of their series listed as corresponding to such Trust’s name on Schedule 1 (as amended from time to time) severally and not jointly, each a registered management investment company organized and existing under the laws of Delaware, Massachusetts or Maryland (each such series, a “Lender” and, collectively, the “Lenders“) and The Goldman Sachs Bank USA (formerly known as The Goldman Sachs Trust Company), doing business as Goldman Sachs Agency Lending (“GSAL” or “Agent”).
AMENDMENT TO AMENDED AND RESTATED GLOBAL CUSTODY AND FUND ACCOUNTING AGREEMENTGlobal Custody and Fund Accounting Agreement • December 23rd, 2013 • Jp Morgan Mutual Fund Investment Trust
Contract Type FiledDecember 23rd, 2013 CompanyThis AMENDMENT, is made and effective as of December 1, 2013 (the “Amendment”), to the AMENDED AND RESTATED GLOBAL CUSTODY AND FUND ACCOUNTING AGREEMENT, dated September 1, 2010 (the “Agreement”), as amended or supplemented from time to time, by and each trust listed on Schedule A thereto, severally and for each of its Funds listed on Schedule A attached thereto (each, a “Customer” or a “Fund”) with a place of business at 270 Park Avenue, New York, NY 10017; and JPMORGAN CHASE BANK, N.A. (the “Bank”) with a place of business at 270 Park Avenue, New York, NY 10017. For other good and valuable consideration, the receipt and legal sufficiency of which is hereby acknowledged, the Customers and the Bank hereby agree as follows:
ContractThird Party Securities Lending Rider • October 29th, 2018 • Jp Morgan Mutual Fund Investment Trust
Contract Type FiledOctober 29th, 2018 CompanyTHIS THIRD PARTY SECURITIES LENDING RIDER (“Rider”) to the Custody Agreement (as defined below) is made on October 4, 2018 among each of the Trusts listed on Schedule A hereto, acting on behalf of its series listed on Schedule A hereto severally and not jointly (each, a “Lender”), having its principal place of business at 270 Park Avenue, New York, NY 10017, JPMorgan Chase Bank, N.A., with a place of business at 383 Madison Avenue, New York, NY 10179 (“Bank”) and Citibank, N.A., with a place of business at 390 Greenwich Street, 4th Floor, New York, NY 10013 (“Agent”).
DISTRIBUTION AGREEMENT THIS AGREEMENT made as of April 10, 2001 by and between MUTUAL FUND INVESTMENT TRUST (the "Company"), a Massachusetts Business Trust, and J.P. MORGAN FUND DISTRIBUTORS, INC. (the "Distributor"), an indirect wholly-owned...Distribution Agreement • September 7th, 2001 • Mutual Fund Investment Trust
Contract Type FiledSeptember 7th, 2001 Company
JOINDER AND AMENDMENT TO AMENDED AND RESTATED GLOBAL CUSTODY AND FUND ACCOUNTING AGREEMENTAccounting Agreement • October 31st, 2016 • Jp Morgan Mutual Fund Investment Trust • New York
Contract Type FiledOctober 31st, 2016 Company JurisdictionTHIS JOINDER AND AMENDMENT to the Amended and Restated Global Custody and Fund Accounting Agreement by and between JPMorgan Chase Bank, N.A. (the “Bank”) and each of the Trusts listed on Schedule A thereto, each acting on behalf of the portfolios listed under its name on Schedule A thereto (each, a “Fund” and collectively the “Funds”), dated as of September 1, 2010, as amended (the “Agreement”), is made as of December 1, 2015 (the “Effective Date”), by and among each of the Bank, the Trusts, JPMorgan Trust I, on behalf of JPMorgan International Discovery Fund, and JPMorgan Trust IV, on behalf of each of the portfolios listed under its name on Schedule A hereto (each, together with JPMorgan International Discovery Fund, a “New Fund” and collectively the “New Funds”).
AMENDMENT TO TRANSFER AGENCY AGREEMENTTransfer Agency Agreement • October 31st, 2016 • Jp Morgan Mutual Fund Investment Trust
Contract Type FiledOctober 31st, 2016 CompanyTHIS AMENDMENT is made as of November 11, 2015, by and between the J.P. Morgan Funds entities that are parties to the agreement and are listed on the agreement’s Appendix A and Boston Financial Data Services, Inc., all as the parties to the Transfer Agency Agreement, dated September 1, 2009, as amended (the “Agreement”).
AMENDMENT TO SECURITIES LENDING AGREEMENTSecurities Lending Agreement • October 27th, 2011 • Jp Morgan Mutual Fund Investment Trust • New York
Contract Type FiledOctober 27th, 2011 Company JurisdictionAMENDMENT (“Amendment”), effective as of March 1, 2011, to the Securities Lending Agreement (“Agreement”), amended and restated as of February 9, 2010 between the Bank and Pacholder High Yield Fund, Inc., JPMorgan Trust I, JPMorgan Trust II, J.P. Morgan Fleming Mutual Fund Group, Inc., JPMorgan Insurance Trust and JPMorgan Institutional Trust on behalf of certain JPMorgan Funds (each a “Lender”) with each having its principal place of business at 245 Park Avenue New York, NY 10017, and JPMorgan Chase Bank N.A. (“Bank”), having its principal place of business at 270 Park Avenue, New York, New York 10017-2070.
Amendment to Amended and Restated Transfer Agency AgreementTransfer Agency Agreement • October 25th, 2019 • Jp Morgan Mutual Fund Investment Trust • Massachusetts
Contract Type FiledOctober 25th, 2019 Company JurisdictionThis amendment, which is signed and effective this 30th day of August, 2019 (the “Effective Date”) (the “Amendment”), hereby amends the Amended and Restated Transfer Agency Agreement (the “Agreement”), dated September 1, 2014, as amended from time to time, by and among DST Asset Manager Solutions, Inc. (“DST AMS” f/k/a “Boston Financial Data Services, Inc.”) and each of the entities listed on Appendix A to the Agreement (the “Funds”).
SCHEDULE E TO THE DISTRIBUTION AGREEMENT CDSC Shares (Class B Shares) (Effective as of June 22, 2015)Distribution Agreement • October 31st, 2016 • Jp Morgan Mutual Fund Investment Trust
Contract Type FiledOctober 31st, 2016 Company