Exhibit (h)(13) SUPPLEMENT TO SERVICES AGREEMENT Supplement to the Services Agreements between INVESTORS FIDUCIARY TRUST COMPANY ("IFTC") and KEMPER SERVICE COMPANY ("KSvC"). WHEREAS, IFTC and each Fund listed on the Attachment hereto (each a "Fund")...Services Agreement • August 1st, 2000 • Investors Cash Trust
Contract Type FiledAugust 1st, 2000 Company
Investment Management Agreement Government Securities Portfolio Treasury PortfolioInvestment Management Agreement • July 28th, 1998 • Investors Cash Trust • Massachusetts
Contract Type FiledJuly 28th, 1998 Company Jurisdiction
Exhibit (G2) AMENDMENT TO CUSTODIAN CONTRACT This Amendment to the custody contract is made as of January 5, 2001, by and between State Street Bank and Trust Company (the "Custodian") and INVESTORS CASH TRUST, on behalf of each of its Portfolios (the...Custodian Contract • June 1st, 2001 • Investors Cash Trust
Contract Type FiledJune 1st, 2001 Company
1 EXHIBIT 99.B6(a) UNDERWRITING AGREEMENT AGREEMENT made this 31st day of December, 1997, by and between INVESTORS CASH TRUST, a Massachusetts business trust (the "Fund"), and KEMPER DISTRIBUTORS, INC., a Delaware corporation ("KDI"). In consideration...Underwriting Agreement • July 28th, 1998 • Investors Cash Trust • Illinois
Contract Type FiledJuly 28th, 1998 Company Jurisdiction
Exhibit (d)(2) INVESTMENT MANAGEMENT AGREEMENT Investors Cash Trust Two International Place Boston, Massachusetts 02110Investment Management Agreement • July 31st, 2002 • Investors Cash Trust • Massachusetts
Contract Type FiledJuly 31st, 2002 Company Jurisdiction
Exhibit d INVESTMENT MANAGEMENT AGREEMENT Investors Cash Trust 222 South Riverside Plaza Chicago, Illinois 60606Investment Management Agreement • November 12th, 1999 • Investors Cash Trust • Massachusetts
Contract Type FiledNovember 12th, 1999 Company Jurisdiction
EXPENSE LIMITATION AGREEMENTExpense Limitation Agreement • July 26th, 2024 • Investors Cash Trust
Contract Type FiledJuly 26th, 2024 CompanyTHIS EXPENSE LIMITATION AGREEMENT (“Expense Limitation Agreement”) is made as of the 1st day of October, 2007 by and between each of the funds listed on Exhibit A hereto (as may be amended from time to time), each of which is a Massachusetts business trust, a Maryland corporation or a New York trust (each, a “Fund” and collectively, the “Funds”), and DEUTSCHE INVESTMENT MANAGEMENT AMERICAS INC., a Delaware corporation (the “Advisor”), with respect to the following:
Exhibit (g)(1) MASTER CUSTODIAN AGREEMENT -------------------------- This Agreement is made as of March 17, 2004, between EACH REGISTERED INVESTMENT COMPANY IDENTIFIED ON APPENDIX A HERETO [CHICAGO BOARD] (each such registered investment company, and...Master Custodian Agreement • July 27th, 2007 • Investors Cash Trust • Massachusetts
Contract Type FiledJuly 27th, 2007 Company Jurisdiction
Exhibit(h)(9) FIRST AMENDMENT TO FUND ACCOUNTING SERVICES AGREEMENT This Amendment is made as of the 19th day of March, 2003, to each Fund Accounting Services Agreement listed on Schedule A (the "Agreement") between the Funds listed thereon, on behalf...Fund Accounting Services Agreement • July 29th, 2003 • Investors Cash Trust
Contract Type FiledJuly 29th, 2003 Company
Dear Financial Services Firm (“you” or “Intermediary”), As principal underwriter of the DWS Funds, we (or a predecessor firm) or our affiliate have entered into a selling group or other agreement or agreements (the "Agreement") with you to permit you,...Amendment to Selling Group Agreement • August 1st, 2014 • Investors Cash Trust
Contract Type FiledAugust 1st, 2014 CompanyThis amendment to the Agreement is entered into as of the date indicated in the signature block below, with an effective date of October 16, 2007, or such earlier date as of which you begin providing the Shareholder information described below, and includes the following provisions:
ContractAdministrative Services Agreement • July 28th, 2020 • Investors Cash Trust • Massachusetts
Contract Type FiledJuly 28th, 2020 Company JurisdictionCertain identified information has been excluded from this exhibit because it is not material and would likely cause competitive harm to the Registrant if publicly disclosed.
N\\SHAREDAT\CORP_ACT\CONTRACT\KEMPER\ICT\UNDER81 UNDERWRITING AND DISTRIBUTION SERVICES AGREEMENT AGREEMENT made this 1st day of August, 1998, between INVESTORS CASH TRUST, a Massachusetts business trust (the "Fund"), and KEMPER DISTRIBUTORS, INC., a...Underwriting and Distribution Services Agreement • June 10th, 1999 • Investors Cash Trust • Massachusetts
Contract Type FiledJune 10th, 1999 Company Jurisdiction
AMENDED AND RESTATED INVESTMENT MANAGEMENT AGREEMENTInvestment Management Agreement • November 26th, 2014 • Investors Cash Trust • Massachusetts
Contract Type FiledNovember 26th, 2014 Company JurisdictionAGREEMENT, dated as of May 1, 2008 among Investors Cash Trust, a Massachusetts business trust (the “Trust”), on its own behalf and on behalf of each of the Funds listed on Schedule I to this Agreement (each a “Fund” and together, the “Funds”), and Deutsche Investment Management Americas Inc., a Delaware corporation (the “Adviser”), effective with respect to each Fund as of the date set out with respect to such Fund on Schedule I to this Agreement, as may be amended from time to time.
Dear Financial Services Firm (“you” or “Intermediary”), As principal underwriter of the Deutsche Funds, we (or a predecessor firm) or our affiliate have entered into a selling group or other agreement or agreements (the "Agreement") with you to permit...Amendment to Selling Group Agreement • July 30th, 2018 • Investors Cash Trust
Contract Type FiledJuly 30th, 2018 CompanyThis amendment to the Agreement is entered into as of the date indicated in the signature block below, with an effective date of October 16, 2007, or such earlier date as of which you begin providing the Shareholder information described below, and includes the following provisions:
Dear Financial Services Firm (“you” or “Intermediary”), As principal underwriter of the DWS Funds, we (or a predecessor firm) or our affiliate have entered into a selling group or other agreement or agreements (the "Agreement") with you to permit you,...Amendment to Selling Group Agreement • November 30th, 2010 • Investors Cash Trust
Contract Type FiledNovember 30th, 2010 CompanyThis amendment to the Agreement is entered into as of the date indicated in the signature block below, with an effective date of October 16, 2007, or such earlier date as of which you begin providing the Shareholder information described below, and includes the following provisions:
Exhibit(d)(3) FIRST AMENDMENT TO INVESTMENT MANAGEMENT AGREEMENT This Amendment is made as of the 19th day of March, 2003, to each Investment Management Agreement listed on Schedule A (the "Agreement") between the Trusts/Corporations listed thereon,...Investment Management Agreement • July 29th, 2003 • Investors Cash Trust
Contract Type FiledJuly 29th, 2003 CompanyThis Amendment is made as of the 19th day of March, 2003, to each Investment Management Agreement listed on Schedule A (the "Agreement") between the Trusts/Corporations listed thereon, on behalf of the Funds listed thereon, and Deutsche Investment Management Americas Inc.
MASTER CUSTODIAN AGREEMENTMaster Custodian Agreement • July 29th, 2009 • Investors Cash Trust • Massachusetts
Contract Type FiledJuly 29th, 2009 Company JurisdictionThis Agreement is made as of November 17, 2008, between EACH REGISTERED INVESTMENT COMPANY IDENTIFIED ON APPENDIX A HERETO (each such registered investment company, and each registered investment company made subject to this Agreement in accordance with Section 18 below, referred to as the “Fund”), and STATE STREET BANK and TRUST COMPANY, a Massachusetts trust company (the “Custodian”).
EXPENSE LIMITATION AGREEMENTExpense Limitation Agreement • November 13th, 2009 • Investors Cash Trust • Delaware
Contract Type FiledNovember 13th, 2009 Company JurisdictionTHIS EXPENSE LIMITATION AGREEMENT (“Expense Limitation Agreement”) is made as of the 1st day of October, 2007 by and between each of the funds listed on Exhibit A hereto (as may be amended from time to time), each of which is a Massachusetts business trust, a Maryland corporation or a New York trust (each, a “Fund” and collectively, the “Funds”), and DEUTSCHE INVESTMENT MANAGEMENT AMERICAS INC., a Delaware corporation (the “Advisor”), with respect to the following:
Exhibit (e)(3) UNDERWRITING AND DISTRIBUTION SERVICES AGREEMENT AGREEMENT made this 5th day of April, 2002, between INVESTORS CASH TRUST, a Massachusetts business trust (the "Fund"), and SCUDDER DISTRIBUTORS, INC., a Delaware corporation ("SDI"). In...Underwriting and Distribution Services Agreement • July 31st, 2002 • Investors Cash Trust • Massachusetts
Contract Type FiledJuly 31st, 2002 Company Jurisdiction
Exhibit (g)(2) AMENDMENT TO CUSTODY CONTRACT Amendment dated March 31, 1999, by and between State Street Bank and Trust Company (the "Bank") and the Kemper Funds listed on Attachment I hereto (each a "Fund") to the custody contract (the "Custody...Custody Contract • July 31st, 2002 • Investors Cash Trust
Contract Type FiledJuly 31st, 2002 Company
APPENDIX A To Master Distribution Agreement dated January 13, 2010 (As amended August 25, 2014)Master Distribution Agreement • November 26th, 2014 • Investors Cash Trust
Contract Type FiledNovember 26th, 2014 CompanyFund Series & Classes Effective Date of Agreement Expiration Date of Initial Term of the Agreement CASH ACCOUNT TRUST Government & Agency Securities Portfolio Share Classes: Davidson Cash Equivalent Plus Shares, Davidson Cash Equivalent Shares, Deutsche Government & Agency Money Fund, Deutsche Government Cash Institutional Shares, Government Cash Managed Shares, and Service Shares January 13, 2010 September 30, 2010 Tax-Exempt Portfolio Share Classes: Davidson Cash Equivalent Shares, Deutsche Tax-Exempt Cash Institutional Shares, Deutsche Tax-Exempt Money Fund, Deutsche Tax-Free Money Fund Class S, Service Shares, Tax-Exempt Cash Managed Shares, and Tax-Free Investment Class January 13, 2010 September 30, 2010 CASH RESERVE FUND, INC. Prime Series Share Classes: Managed Shares, Prime Institutional Shares, and Prime Shares January 13, 2010 September 30, 2010 DEUTSCHE GLOBAL/ INTERNATIONAL FUND, INC. Deutsche Enhanced Emerging Markets Fixed Income Fund Share Classes: Class A, Class B, Cla
SUB-ADMINISTRATION AND SUB-ACCOUNTING AGREEMENTSub-Administration and Sub-Accounting Agreement • July 29th, 2015 • Investors Cash Trust • Massachusetts
Contract Type FiledJuly 29th, 2015 Company JurisdictionBy its execution of the Sub-Administration and Sub-Accounting Agreement, the Customer accepts responsibility for its and its Authorized Designees’ compliance with the terms of this Addendum.
AMENDMENT TO THE AGENCY AGREEMENTAgency Agreement • September 29th, 2016 • Investors Cash Trust
Contract Type FiledSeptember 29th, 2016 CompanyThis AMENDMENT NO. 1 is made as of July 13, 2016 to that certain AGENCY AGREEMENT (together with the exhibits attached here and thereto, this “Agreement”), dated the 1st day of April, 2007 by and between INVESTORS CASH TRUST (the “Fund”) and DEUTSCHE AM SERVICE COMPANY (formerly known as DWS Scudder Investments Service Company), a Delaware corporation (the “Service Company”).
INVESTMENT MANAGEMENT AGREEMENT Cash Account Trust Two International Place Boston, Massachusetts 02110Investment Management Agreement • October 20th, 2006 • Cash Account Trust • Massachusetts
Contract Type FiledOctober 20th, 2006 Company JurisdictionCASH ACCOUNT TRUST (the “Trust”) has been established as a Massachusetts Business Trust to engage in the business of an investment company. Pursuant to the Trust’s Declaration of Trust, as amended from time-to-time (the “Declaration”), the Board of Trustees is authorized to issue the Trust’s shares of beneficial interest (the “Shares”) in separate series, or funds. The Board of Trustees has authorized the Money Market Portfolio, the Government & Agency Securities Portfolio and the Tax-Exempt Portfolio (each a “Fund” and collectively, the “Funds”). Series may be abolished and dissolved, and additional series established, from time to time by action of the Trustees.
APPENDIX A To Master Distribution Agreement dated January 13, 2010 (As amended December 1, 2013)Master Distribution Agreement • June 2nd, 2014 • Investors Cash Trust
Contract Type FiledJune 2nd, 2014 CompanyFund Series & Classes Effective Date of Agreement Expiration Date of Initial Term of the Agreement CASH ACCOUNT TRUST Government & Agency Securities Portfolio Share Classes: Capital Assets Funds Shares, Davidson Cash Equivalent Plus Shares, Davidson Cash Equivalent Shares, DWS Government & Agency Money Fund, DWS Government Cash Institutional Shares, Government Cash Managed Shares, and Service Shares January 13, 2010 September 30, 2010 Money Market Portfolio Share Classes: Shares, Davidson Cash Equivalent Plus Shares, Davidson Cash Equivalent Shares, Premium Reserve Money Market Shares, and Service Shares January 13, 2010 September 30, 2010 Tax-Exempt Portfolio Share Classes: Capital Assets Funds Shares, Davidson Cash Equivalent Shares, DWS Tax-Exempt Cash Institutional Shares, DWS Tax-Exempt Money Fund, DWS Tax-Free Money Fund Class S, Service Shares, Tax-Exempt Cash Managed Shares, and Tax-Free Investment Class January 13, 2010 September 30, 2010 CASH RESERVE FUND, INC. Prime Series S
Dear Financial Services Firm (“you” or “Intermediary”), As principal underwriter of the DWS Funds, we (or a predecessor firm) or our affiliate have entered into a selling group or other agreement or agreements (the "Agreement") with you to permit you,...Selling Group Agreement • August 1st, 2012 • Investors Cash Trust
Contract Type FiledAugust 1st, 2012 CompanyThis amendment to the Agreement is entered into as of the date indicated in the signature block below, with an effective date of October 16, 2007, or such earlier date as of which you begin providing the Shareholder information described below, and includes the following provisions:
AMENDMENT TO SUB-ADMINISTRATION AND SUB-ACCOUNTING AGREEMENTSub-Administration and Sub-Accounting Agreement • July 27th, 2018 • Investors Cash Trust • Massachusetts
Contract Type FiledJuly 27th, 2018 Company JurisdictionThis Amendment to the Sub-Administration and Sub-Accounting Agreement is made as of June 29, 2018 (the “Amendment”) by and between State Street Bank and Trust Company, a Massachusetts trust company (the “Sub-Administrator/Accounting Agent”) and Deutsche Investment Management Americas Inc., a Delaware corporation (the “Administrator”). Capitalized terms used in this Amendment without definition shall have the respective meanings ascribed to such terms in the Agreement (as defined below).
Exhibit (h)(10) Fund: Investors Cash Trust Series: Treasury Portfolio Class: Service Shares Class AMENDED AND RESTATED ADMINISTRATION AND SHAREHOLDER SERVICES AGREEMENT AGREEMENT made this 24th day of January, 2000, by and between INVESTORS CASH...Administration and Shareholder Services Agreement • July 29th, 2015 • Investors Cash Trust • Illinois
Contract Type FiledJuly 29th, 2015 Company Jurisdiction
APPENDIX A To Master Distribution Agreement dated January 13, 2010 (As amended October 1, 2018)Master Distribution Agreement • October 3rd, 2018 • Investors Cash Trust
Contract Type FiledOctober 3rd, 2018 CompanyDWS Government & Agency Securities Portfolio Share Classes: DWS Government & Agency Money Fund, DWS Government Cash Institutional Shares, Government Cash Managed Shares, and Service Shares January 13, 2010 September 30, 2010
Dear Financial Services Firm (“you” or “Intermediary”), As principal underwriter of the DWS Funds, we (or a predecessor firm) or our affiliate have entered into a selling group or other agreement or agreements (the "Agreement") with you to permit you,...Amendment to Selling Group Agreement • July 26th, 2024 • Investors Cash Trust
Contract Type FiledJuly 26th, 2024 CompanyThis amendment to the Agreement is entered into as of the date indicated in the signature block below, with an effective date of October 16, 2007, or such earlier date as of which you begin providing the Shareholder information described below, and includes the following provisions:
AMENDMENT TO THE SUB-ADMINISTRATION AND SUB-ACCOUNTING AGREEMENTSub-Administration and Sub-Accounting Agreement • July 28th, 2017 • Investors Cash Trust
Contract Type FiledJuly 28th, 2017 CompanyThis Amendment (this “Amendment”") is to the SUB-ADMINISTRATION AND SUBACCOUNTING AGREEMENT, dated April 1 , 2003 (as amended, restated, supplemented or otherwise modified from time to time, the “Agreement”), between State Street Bank and Trust Company, a Massachusetts trust company ("Sub-Administrator/Accounting Agent") with offices located at Channel Center, I Iron Street, Boston, Massachusetts 02210 and Deutsche Investment Management Americas Inc., a Delaware corporation (“Administrator”) (Sub-Administrator/Accounting Agent and Administrator each a “Party”" and collectively the “Parties”). This Amendment is effective as of January 20, 2017 (the “Amendment Effective Date”), and is attached to and made part of the Agreement. In consideration of the mutual promises contained herein and other good and valuable consideration, the receipt and sufficiency of which is hereby acknowledged, Sub-Administrator/Accounting Agent and Administrator, intending to be legally bound, hereby covenant an
AGENCY AGREEMENTAgency Agreement • July 27th, 2007 • Investors Cash Trust • Illinois
Contract Type FiledJuly 27th, 2007 Company JurisdictionAGREEMENT dated the 1st day of April, 2007, by and between Investors Cash Trust, a Massachusetts business trust (“Fund”), and DWS SCUDDER INVESTMENTS SERVICE COMPANY, a Delaware corporation (“Service Company”).
APPENDIX A To Master Distribution Agreement dated January 13, 2010 (As amended May 1, 2017)Master Distribution Agreement • July 28th, 2017 • Investors Cash Trust
Contract Type FiledJuly 28th, 2017 CompanyDeutsche Government & Agency Securities Portfolio Share Classes: Deutsche Government & Agency Money Fund, Deutsche Government Cash Institutional S hares, Government Cash Managed Shares, and Service Shares January 13, 2010 September 30, 2010
AMENDMENT TO SUB-ADMINISTRATION AND SUB-ACCOUNTING AGREEMENTSub-Administration and Sub-Accounting Agreement • July 28th, 2020 • Investors Cash Trust
Contract Type FiledJuly 28th, 2020 CompanyThis Amendment (the “Amendment”) dated as of December 20, 2019, amends the Sub- Administration and Sub-Accounting Agreement dated as of April 1, 2003 (as amended from time to time, the “Agreement”), by and between DWS Investment Management Americas, Inc. (as successor in interest to Deutsche Investment Management Americas Inc., Scudder Fund Accounting Corporation and Investment Company Capital Corp.) (“Administrator”) and State Street Bank and Trust Company (“Sub- Administrator/Accounting Agent”) (each a “Party” and collectively the “Parties”). This Amendment is effective as of January 1, 2020 (“Amendment Effective Date”).
THIRD AMENDMENT TO FUND ACCOUNTING SERVICES AGREEMENTFund Accounting Services Agreement • July 27th, 2007 • Investors Cash Trust
Contract Type FiledJuly 27th, 2007 CompanyThis Amendment is made as of the 22nd day of September, 2006, to each Fund Accounting Services Agreement listed on Schedule A (the “Agreement”) between the Funds listed thereon, on behalf of the Portfolios listed thereon (the “Funds”), and DWS Scudder Fund Accounting Corporation (formerly known as Scudder Fund Accounting Corporation) (“FUND ACCOUNTING”).