Dryden Municipal Bond Fund Sample Contracts

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Exhibit (d)(3)
Subadvisory Agreement • July 3rd, 2000 • Prudential Municipal Bond Fund

AMENDMENT made as of this 18th day of November, 1999, between Prudential Investments Fund Management LLC ("PIFM"), and The Prudential Investment Corporation ("PIC").

EX-9 Transfer Agency and Service Agreement TRANSFER AGENCY AND SERVICE AGREEMENT
Transfer Agency and Service Agreement • July 1st, 1997 • Prudential Municipal Bond Fund • New Jersey
MORGAN GUARANTY TRUST COMPANY OF NEW YORK
Subcustodian Agreement • June 26th, 1998 • Prudential Municipal Bond Fund • New York
A-1
Dealer Agreement • June 26th, 1998 • Prudential Municipal Bond Fund • New Jersey
EX-8.(f) Sub-Custodian Agreement
Sub-Custodian Agreement • June 26th, 1998 • Prudential Municipal Bond Fund • New York
CUSTODIAN CONTRACT Between PRUDENTIAL-BACHE MUNICIPAL BOND FUND and STATE STREET BANK AND TRUST COMPANY
Custodian Contract • July 1st, 1997 • Prudential Municipal Bond Fund • Massachusetts
CUSTODY AGREEMENT
Custody Agreement • June 29th, 2005 • Dryden Municipal Bond Fund • New York

AGREEMENT, dated as of November 7, 2002 between each Fund listed on the attached Schedule A hereto, including any series thereof (each a “Fund”) each having its principal office and place of business at 100 Mulberry Street, Newark, New Jersey 07102 (the “Fund”) and The Bank of New York, a New York corporation authorized to do a banking business having its principal office and place of business at One Wall Street, New York, New York 10286 (“Custodian”).

Amended and Restated Distribution Agreement
Distribution Agreement • June 30th, 2010 • Prudential Investment Portfolios 4 • New Jersey

THIS AMENDED AND RESTATED DISTRIBUTION AGREEMENT is made as of June 22, 2010 between each of the investment companies which comprise the Prudential Investments Mutual Funds and the Target Mutual Funds, on behalf of their current and any future series (as applicable), set forth on attached Exhibit A (referred to collectively herein as the Fund) and Prudential Investment Management Services LLC, a Delaware limited liability company (the Distributor), and amends and restates the prior Distribution Agreement between the Fund and the Distributor.

Prudential Investment Portfolios 4 PGIM Muni High Income Fund AMENDMENT TO MANAGEMENT AGREEMENT
Management Agreement • June 26th, 2020 • Prudential Investment Portfolios 4

NOW THEREFORE, the parties mutually agree as follows: 1. The management fee rate schedule appearing in Schedule A is hereby deleted in its entirety and is replaced with the following new management fee rate schedule applicable to PGIM Muni High Income Fund: 0.49% on average daily net assets up to $1 billion; 0.44% on average daily net assets over $1 billion.

FORM OF AMENDMENT
Custody Agreement • April 12th, 2010 • Prudential Investment Portfolios 4

AMENDMENT made as of June 30, 2009 to that certain Custody Agreement dated as of November 7, 2002, as amended from time to time, between each Fund listed on the attached Schedule A thereto, including any series thereof (the “Fund”) and The Bank of New York Mellon Corporation (formerly, The Bank of New York) (“Custodian”) (such Global Custody Agreement hereinafter referred to as the “Custody Agreement”). Capitalized terms not otherwise defined herein shall have the meaning assigned to them pursuant to the Custody Agreement.

AMENDED AND RESTATED TRANSER AGENCY AND SERVICE AGREEMENT
Transfer Agency and Service Agreement • June 29th, 2007 • Dryden Municipal Bond Fund • New Jersey

This Amended and Restated Transfer Agency and Service Agreement is made and entered into effective May 29, 2007 between each of the investment companies listed in Exhibit A hereto (each, together with its portfolios listed in Exhibit A hereto, referred to as a "Fund" and collectively, the "Funds") and Prudential Mutual Fund Services LLC (“PMFS”), a New York limited liability corporation having its principal place of business at Gateway Center Three, 100 Mulberry Street, Newark, New Jersey 07102.

AMENDMENT
Global Custody Agreement • June 29th, 2005 • Dryden Municipal Bond Fund

AMENDMENT made as of , 2005 to that certain Global Custody Agreement dated as of November 7, 2002 between each Fund listed on the attached Schedule A thereto, including any series thereof (the “Fund”) and The Bank of New York (“Custodian”) (such Global Custody Agreement hereinafter referred to as the “Custody Agreement”). Capitalized terms not otherwise defined herein shall have the meaning assigned to them pursuant to the Custody Agreement.

Prudential Investment Portfolios 4 PGIM Muni High Income Fund AMENDMENT TO SUBADVISORY AGREEMENT
Subadvisory Agreement • June 26th, 2020 • Prudential Investment Portfolios 4

NOW THEREFORE, the parties mutually agree as follows: 1. Effective as of April 1, 2020, the subadvisory fee rate schedule appearing in Schedule A is hereby deleted in its entirety, and is replaced with the following new subadvisory fee rate schedule: 0.245% on average daily net assets up to $1 billion; 0.22% on average daily net assets over $1 billion.

WITNESSETH
Distribution Agreement • June 26th, 1998 • Prudential Municipal Bond Fund • New Jersey
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