BY-LAWS OF DREYFUS PREMIER STATE MUNICIPAL BOND FUND ARTICLE 1 Agreement and Declaration of Trust and Principal OfficeBy-Laws • August 25th, 2000 • Dreyfus Premier State Municipal Bond Fund
Contract Type FiledAugust 25th, 2000 Company
ARTICLE I DEFINITIONSForeign Custody Manager Agreement • August 27th, 2001 • Dreyfus Premier State Municipal Bond Fund • New York
Contract Type FiledAugust 27th, 2001 Company Jurisdiction
BY-LAWS OFBy-Laws • August 26th, 2011 • Dreyfus State Municipal Bond Funds
Contract Type FiledAugust 26th, 2011 Company
DISTRIBUTION AGREEMENT DREYFUS PREMIER STATE MUNICIPAL BOND FUND 200 Park Avenue New York, New York 10166Distribution Agreement • March 10th, 2004 • Dreyfus Premier State Municipal Bond Fund
Contract Type FiledMarch 10th, 2004 CompanyThis is to confirm that, in consideration of the agreements hereinafter contained, the above-named investment company (the "Fund") has agreed that you shall be, for the period of this agreement, the distributor of (a) shares of each Series of the Fund set forth on Exhibit A hereto, as such Exhibit may be revised from time to time (each, a "Series") or (b) if no Series are set forth on such Exhibit, shares of the Fund. For purposes of this agreement the term "Shares" shall mean the authorized shares of the relevant Series, if any, and otherwise shall mean the Fund's authorized shares.
SUB-INVESTMENT ADVISORY AGREEMENT BNY MELLON INVESTMENT ADVISER, INC.Sub-Investment Advisory Agreement • August 25th, 2022 • Bny Mellon State Municipal Bond Funds • New York
Contract Type FiledAugust 25th, 2022 Company JurisdictionBNY Mellon State Municipal Bond Funds (the "Fund") desires to employ the capital of the series named on Schedule 1 hereto, as such Schedule may be revised from time to time (each, a "Series"), by investing and reinvesting the same in investments of the type and in accordance with the limitations specified in the relevant Series' Prospectus and Statement of Additional Information as from time to time in effect, copies of which have been or will be submitted to you, and in such manner and to such extent as from time to time may be approved by the Fund's Board. The Fund employs BNY Mellon Investment Adviser, Inc. (the "Adviser") to act as the Series' investment adviser pursuant to a written agreement (the "Management Agreement"), a copy of which has been furnished to you. The Adviser is authorized to and desires to retain you, and you hereby agree to accept such retention, to act as the Series' sub-investment adviser with respect to that portion of the Series' assets which may be assigned
BANK SELLING AGREEMENTBank Selling Agreement • August 26th, 2015 • Dreyfus State Municipal Bond Funds • New York
Contract Type FiledAugust 26th, 2015 Company JurisdictionMBSC Securities Corporation (“we or “us”) is the principal underwriter and exclusive agent for the continuous distribution of the shares of beneficial interest or common stock of open-end registered investment companies managed, advised or administered by The Dreyfus Corporation (“Dreyfus”) or its subsidiaries or affiliates (each, a “Fund” and collectively, the “Funds”) pursuant to the terms of a Distribution Agreement between us and the Funds. You, the firm specified on the signature page hereto (“you”), are a “bank” (as such term is defined in Section 3(a)(6) of the Securities Exchange Act of 1934, as amended (the “Exchange Act”)). We agree to allow you to make shares of the Funds available to your customers in accordance with the terms and conditions set forth in this Agreement. Unless the context otherwise requires, as used herein the term “Prospectus” shall mean the full, statutory prospectus (the “Statutory Prospectus”) and related statement of additional information (the “SAI”)
BROKER-DEALER SELLING AGREEMENTBroker-Dealer Selling Agreement • August 26th, 2015 • Dreyfus State Municipal Bond Funds • New York
Contract Type FiledAugust 26th, 2015 Company JurisdictionMBSC Securities Corporation (“we or “us”), as the principal underwriter and exclusive agent for the continuous distribution of the shares of beneficial interest or common stock of open-end registered investment companies managed, advised or administered by The Dreyfus Corporation (“Dreyfus”) or its subsidiaries or affiliates (each, a “Fund” and collectively, the “Funds”) pursuant to the terms of a Distribution Agreement between us and the Funds, agrees to sell Fund shares to you, the firm specified on the signature page hereto (“you”), in accordance with the terms and conditions set forth in this Agreement. Unless the context otherwise requires, as used herein the term “Prospectus” shall mean the full, statutory prospectus (the “Statutory Prospectus”) and related statement of additional information (the “SAI”) incorporated therein by reference (as amended or supplemented) of each of the respective Funds included in the then currently effective registration statement (or post-effective
AMENDED AND RESTATED DISTRIBUTION AGREEMENTDistribution Agreement • August 26th, 2011 • Dreyfus State Municipal Bond Funds
Contract Type FiledAugust 26th, 2011 CompanyThis is to confirm that, in consideration of the agreements hereinafter contained, each investment company identified on Exhibit A hereto, as such Exhibit may be amended from time to time (each, the "Fund"), has agreed that you shall be, for the period of this agreement, the distributor of (a) shares of each series of the Fund set forth on Exhibit A hereto, as such Exhibit may be revised from time to time (each, a "Series") or (b) if no Series are set forth on such Exhibit, shares of the Fund. For purposes of this agreement the term "Shares" shall mean the authorized shares of the relevant Series, if any, and otherwise shall mean the Fund's authorized shares.
BANK SELLING AGREEMENTBank Selling Agreement • August 28th, 2017 • Dreyfus State Municipal Bond Funds • New York
Contract Type FiledAugust 28th, 2017 Company JurisdictionMBSC Securities Corporation (“we” or “us”), as the principal underwriter and exclusive agent for the continuous distribution of the shares of beneficial interest or common stock of open-end registered investment companies managed, advised or administered by The Dreyfus Corporation (“Dreyfus”) or its subsidiaries or affiliates (each, a “Fund” and collectively, the “Funds”) pursuant to the terms of a Distribution Agreement between us and the Funds, agrees to sell Fund shares to you, the firm specified on the signature page hereto (“you”), which is a “bank” (as such term is defined in Section 3(a)(6) of the Securities Exchange Act of 1934, as amended (“Exchange Act”)), in accordance with the terms and conditions set forth in this Agreement. You may make shares of the Funds available to your customers and, with respect to certain Fund shares, provide shareholder, administrative or other services to your customers who own shares of the Funds in accordance with the terms and conditions set f
DISTRIBUTION AGREEMENT DREYFUS PREMIER STATE MUNICIPAL BOND FUND 200 Park Avenue New York, New York 10166Distribution Agreement • August 25th, 2000 • Dreyfus Premier State Municipal Bond Fund
Contract Type FiledAugust 25th, 2000 Company
DSC Letterhead]Supplemental Agreement • February 28th, 2007 • Dreyfus Premier State Municipal Bond Fund
Contract Type FiledFebruary 28th, 2007 CompanyThis 2006 Supplemental Agreement is entered into as of October 1, 2006 by and between Dreyfus Service Corporation (“Dreyfus”) and the above indicated party (the “Intermediary”).
AMENDMENT Amendment made as of ______________, 2001 to those certain Custody Agreements between each fund in the Dreyfus Family of Funds listed on Schedule I hereto (each a "Fund") and The Bank of New York ("Custodian") (each such Custody Agreement...Custody Agreement • August 27th, 2001 • Dreyfus Premier State Municipal Bond Fund
Contract Type FiledAugust 27th, 2001 Company
ContractAgreement and Plan of Reorganization • December 21st, 2004 • Dreyfus Premier State Municipal Bond Fund
Contract Type FiledDecember 21st, 2004 CompanyOctober 20, 2004 Dreyfus Massachusetts Tax Exempt Bond Fund 200 Park Avenue New York, New York 10166 Dreyfus Premier State Municipal Bond Fund on behalf of its Massachusetts Series 200 Park Avenue New York, New York 10166
MANAGEMENT AGREEMENTManagement Agreement • July 16th, 1997 • Dreyfus Premier State Municipal Bond Fund
Contract Type FiledJuly 16th, 1997 CompanyThe above-named investment company (the "Fund") consisting of the series named on Schedule 1 hereto, as such Schedule may be revised from time to time (each, a "Series"), herewith confirms its agreement with you as follows:
BNY MELLON INVESTMENT ADVISER, INC.Expense Limitation Agreement • August 26th, 2021 • Bny Mellon State Municipal Bond Funds
Contract Type FiledAugust 26th, 2021 CompanyThis Agreement may only be amended by agreement of the Trust, on behalf of the Fund, upon the approval of the Board of Trustees of the Trust and BNYM Investment Adviser to lower the net amounts shown and may only be terminated prior to August 31, 2022, in the event of termination of the Management Agreement between BNYM Investment Adviser and the Trust with respect to the Fund.
CUSTODY AGREEMENT Custody Agreement made as of January 17, 1990, as revised as of October 31, 1996, between PREMIER STATE MUNICIPAL BOND FUND, a business trust organized and existing under the laws of the Commonwealth of Massachusetts, having its...Custody Agreement • June 16th, 1997 • Dreyfus Premier State Municipal Bond Fund • New York
Contract Type FiledJune 16th, 1997 Company Jurisdiction
MANAGEMENT AGREEMENT BNY MELLON STATE MUNICIPAL BOND FUNDSManagement Agreement • August 25th, 2022 • Bny Mellon State Municipal Bond Funds
Contract Type FiledAugust 25th, 2022 CompanyThe above-named investment company (the "Fund") consisting of the series named on Schedule 1 hereto, as such Schedule may be revised from time to time (each, a "Series"), herewith confirms its agreement with you as follows:
MANAGEMENT AGREEMENT DREYFUS STATE MUNICIPAL BOND FUNDS 200 Park Avenue New York, New York 10166Management Agreement • August 28th, 2017 • Dreyfus State Municipal Bond Funds
Contract Type FiledAugust 28th, 2017 CompanyThe above-named investment company (the "Fund") consisting of the series named on Schedule 1 hereto, as such Schedule may be revised from time to time (each, a "Series"), herewith confirms its agreement with you as follows:
BNY MELLON INVESTMENT ADVISER, INC.Expense Limitation Agreement • August 25th, 2022 • Bny Mellon State Municipal Bond Funds
Contract Type FiledAugust 25th, 2022 CompanyThis Agreement may only be amended by agreement of the Trust, on behalf of the Fund, upon the approval of the Board of Trustees of the Trust and BNYM Investment Adviser to lower the net amounts shown and may only be terminated prior to September 1, 2023, in the event of termination of the Management Agreement between BNYM Investment Adviser and the Trust with respect to the Fund.
BNY MELLON INVESTMENT ADVISER, INC.Expense Limitation Agreement • August 26th, 2021 • Bny Mellon State Municipal Bond Funds
Contract Type FiledAugust 26th, 2021 CompanyThis Agreement may only be amended by agreement of the Trust, on behalf of the Fund, upon the approval of the Board of Trustees of the Trust and BNYM Investment Adviser to lower the net amounts shown and may only be terminated prior to August 31, 2022, in the event of termination of the Management Agreement between BNYM Investment Adviser and the Trust with respect to the Fund.
BNY MELLON INVESTMENT ADVISER, INC.Expense Limitation Agreement • August 25th, 2022 • Bny Mellon State Municipal Bond Funds
Contract Type FiledAugust 25th, 2022 CompanyThis Agreement may only be amended by agreement of the Trust, on behalf of the Fund, upon the approval of the Board of Trustees of the Trust and BNYM Investment Adviser to lower the net amounts shown and may only be terminated prior to September 1, 2023, in the event of termination of the Management Agreement between BNYM Investment Adviser and the Trust with respect to the Fund.
MANAGEMENT AGREEMENT BNY MELLON STATE MUNICIPAL BOND FUNDSManagement Agreement • August 27th, 2019 • Bny Mellon State Municipal Bond Funds
Contract Type FiledAugust 27th, 2019 CompanyThe above-named investment company (the "Fund") consisting of the series named on Schedule 1 hereto, as such Schedule may be revised from time to time (each, a "Series"), herewith confirms its agreement with you as follows: