Oppenheimer Global Growth & Income Fund Sample Contracts

AMENDED AND RESTATED INVESTMENT ADVISORY AGREEMENT
Investment Advisory Agreement • December 28th, 2006 • Oppenheimer Global Opportunities Fund
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AMENDED AND RESTATED DISTRIBUTION AND SERVICE PLAN AND AGREEMENT
Distribution Agreement • December 28th, 2006 • Oppenheimer Global Opportunities Fund
Exhibit 23(m)(iii) DISTRIBUTION AND SERVICE PLAN AND AGREEMENT
Distribution Agreement • September 3rd, 2002 • Oppenheimer Global Growth & Income Fund
AMENDED AND RESTATED DISTRIBUTION AND SERVICE PLAN AND AGREEMENT
Distribution Agreement • December 28th, 2006 • Oppenheimer Global Opportunities Fund
AMENDED AND RESTATED Distribution and Service Plan and Agreement With
Distribution Agreement • January 26th, 2012 • Oppenheimer Global Opportunities Fund

This Amended and Restated Distribution and Service Plan and Agreement (the “Plan”) is dated as of the 30th day of June, 2011, by and between Oppenheimer Global Opportunities Fund (the “Fund”) and OppenheimerFunds Distributor, Inc. (the “Distributor”).

AMENDED AND RESTATED SERVICE PLAN AND AGREEMENT
Service Plan and Agreement • December 28th, 2006 • Oppenheimer Global Opportunities Fund
RESTATED INVESTMENT SUBADVISORY AGREEMENT
Investment Subadvisory Agreement • October 10th, 2013 • Oppenheimer Global Opportunities Fund • New York

This RESTATED AGREEMENT is made and entered into as of the 9th of September, 2013 between OFI Global Asset Management, Inc., a Delaware corporation (the “Adviser”), and OppenheimerFunds, Inc., a Colorado corporation (the “SubAdviser”)

Agreement and Declaration of Trust of Oppenheimer Global Opportunities Fund
Trust Agreement • October 10th, 2013 • Oppenheimer Global Opportunities Fund • Delaware

THIS AGREEMENT AND DECLARATION OF TRUST is made as of August 15, 2013 for the purpose of forming a Delaware statutory trust in accordance with the provisions hereinafter set forth.

AMENDED AND RESTATED INVESTMENT ADVISORY AGREEMENT
Investment Advisory Agreement • November 27th, 2018 • Oppenheimer Global Opportunities Fund

This AMENDED AND RESTATED INVESTMENT ADVISORY AGREEMENT made as of the 1st day of November, 2018, by and between OPPENHEIMER GLOBAL OPPORTUNITIES FUND (the “Fund”), and OFI Global Asset Management, Inc. (“OFI Global”).

AMENDED AND RESTATED DISTRIBUTION AND SERVICE PLAN AND AGREEMENT
Distribution Agreement • December 28th, 2006 • Oppenheimer Global Opportunities Fund
SERVICE PLAN AND AGREEMENT with OppenheimerFunds Distributor, Inc. For Class A Shares of Oppenheimer Global Opportunities Fund
Service Plan and Agreement • January 26th, 2012 • Oppenheimer Global Opportunities Fund

This Amended and Restated Service Plan and Agreement (the “Plan”) is dated as of the 30th day of June, 2011, by and between Oppenheimer Global Opportunities Fund (the “Fund”) and OppenheimerFunds Distributor, Inc. (the “Distributor”).

RESTATED INVESTMENT ADVISORY AGREEMENT
Investment Advisory Agreement • May 29th, 2013 • Oppenheimer Global Opportunities Fund • New York

ADVISORY AGREEMENT made as of the 1st day of January, 2013, by and between OPPENHEIMER GLOBAL OPPORTUNITIES FUND (the “Fund”), and OFI GLOBAL ASSET MANAGEMENT, INC. (“OFI GLOBAL”).

5 Oppenheimer Global Opportunities Fund Period Ending 9-30-08 Exhibit 77Q1
Investment Advisory Agreement • November 28th, 2008 • Oppenheimer Global Opportunities Fund
RESTATED INVESTMENT ADVISORY AGREEMENT
Investment Advisory Agreement • October 10th, 2013 • Oppenheimer Global Opportunities Fund

This RESTATED ADVISORY AGREEMENT made as of the 9th day of September, 2013, by and between OPPENHEIMER GLOBAL OPPORTUNITIES FUND (the “Fund”), and OFI Global Asset Management, Inc. (“OFI Global”).

On December 14, 2000, the Fund and OFI agreed, per a resolution of the Fund's Board of Trustees, to reduce the Fund's management fee to 0.65% of average net assets in excess of $3.5 billion.
Management Fee Agreement • November 29th, 2001 • Oppenheimer Global Growth & Income Fund

On December 14, 2000, the Fund and OFI agreed, per a resolution of the Fund's Board of Trustees, to reduce the Fund's management fee to 0.65% of average net assets in excess of $3.5 billion.

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