Seligman Global Fund Series Inc Sample Contracts

Ex-24.(b)(13)(a) (Form of Purchase Agreement)
Purchase Agreement • February 27th, 1997 • Seligman Henderson Global Fund Series Inc
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SELIGMAN GLOBAL FUND SERIES, INC.
Purchase Agreement • November 30th, 2001 • Seligman Henderson Global Fund Series Inc
WMC - WMIL Sub-Advisory Agreement (Registered Investment Companies) -------------------------------------- ---------------------------------------------------------------------- AGREEMENT dated as of the 24th day of May, 2004, by and between...
Sub-Advisory Agreement • December 30th, 2004 • Seligman Global Fund Series Inc • Massachusetts

-------------------------------------- ---------------------------------------------------------------------- AGREEMENT dated as of the 24th day of May, 2004, by and between Wellington Management Company, LLP (WMC), a Massachusetts limited liability partnership and Wellington Management International Limited (Affiliate), an English private limited company, with respect to the services provided by WMC to J. & W. Seligman & Company Incorporated ("Seligman") pursuant to (i) the Subadvisory Agreement dated December 5, 2003 with respect to Seligman Portfolios, Inc., and (ii) the Subadvisory Agreement dated December 5, 2003 with respect to Seligman Global Fund Series, Inc., in each case by and between Seligman and WMC (each a "WMC Subadvisory Agreement" and collectively, the "WMC Subadvisory Agreements").

FORM OF INVESTMENT LETTER
Investment Letter • April 29th, 2003 • Seligman Henderson Global Fund Series Inc
WITNESSETH:
Recordkeeping Agreement • February 27th, 1997 • Seligman Henderson Global Fund Series Inc • Missouri
INVESTMENT MANAGEMENT SERVICES AGREEMENT
Investment Management Services Agreement • March 2nd, 2009 • Seligman Global Fund Series Inc • Minnesota

This Agreement dated as of November 7, 2008 is by and between RiverSource Investments, LLC (the “Investment Manager”), a Minnesota limited liability company and Seligman Global Fund Series, Inc. (the “Registrant”), a Maryland corporation, on behalf of its underlying series listed in Schedule A (the term “Fund” or “Funds” is used to refer to either the Registrant or its underlying series, as context requires).

SUBADVISORY AGREEMENT
Subadvisory Agreement • March 2nd, 2009 • Seligman Global Fund Series Inc • New York

WHEREAS, the Manager has entered into an Investment Management Services Agreement, dated as of the date hereof (the “Management Agreement”), with Seligman Global Fund Series, Inc. (the “Corporation”), an open-end management investment company registered under the Investment Company Act of 1940, as amended (the “1940 Act”), to render or contract to obtain assistance in rendering investment management services to the Corporation, and to administer the business and other affairs of the Corporation; and

GLOBAL CUSTODY AGREEMENT BETWEEN SELIGMAN GLOBAL FUND SERIES, INC. AND JPMORGAN CHASE BANK, N.A. May 8, 2007
Global Custody Agreement • February 28th, 2008 • Seligman Global Fund Series Inc • New York

This Agreement,dated May 8, 2007, amends and restates the Custody Agreement dated May 1, 1996 between JPMORGAN CHASE BANK, N.A. (“Bank”), as successor by operation of law to Morgan Stanley Trust Company, with a place of business at 4 MetroTech Center, Brooklyn, NY, 11245; and each investment company listed on Schedule A hereto, as may be amended from time to time, incorporated herein by reference, (each a “Customer”) each having its place of business at 100 Park Avenue, New York, NY 10017.

MANAGEMENT AGREEMENT MANAGEMENT AGREEMENT, dated as of December 5, 2003, between SELIGMAN GLOBAL FUND SERIES, INC., a Maryland corporation (the "Corporation"), on behalf of each of the series listed on the Fee Schedule attached hereto (each, a...
Management Agreement • December 30th, 2003 • Seligman Global Fund Series Inc

MANAGEMENT AGREEMENT MANAGEMENT AGREEMENT, dated as of December 5, 2003, between SELIGMAN GLOBAL FUND SERIES, INC., a Maryland corporation (the "Corporation"), on behalf of each of the series listed on the Fee Schedule attached hereto (each, a "Series") and J. & W. SELIGMAN & CO. INCORPORATED, a Delaware corporation (the "Manager"). WHEREAS, the Corporation is an open-end diversified management investment company registered under the Investment Company Act of 1940, as amended (the "1940 Act"); and WHEREAS, the Corporation desires to retain the Manager to render or contract to obtain as hereinafter provided investment management services to the Corporation, and to administer the business and other affairs of the Corporation and the Manager is willing to render such services; Now, therefore, in consideration of the mutual agreements herein made, the parties hereto agree as follows: 1. DUTIES OF THE MANAGER. The Manager shall subject to the control of the Board of Directors of the Corpora

WAIVER/REIMBURSEMENT AGREEMENT
Waiver/Reimbursement Agreement • March 2nd, 2009 • Seligman Global Fund Series Inc

WAIVER/REIMBURSEMENT AGREEMENT, dated as of March 2, 2009, between SELIGMAN GLOBAL FUND SERIES, INC., a Maryland corporation (the “Series”), on behalf of Seligman Emerging Markets Fund, Seligman Global Growth Fund and Seligman International Growth Fund (each, a “Fund”), and RIVERSOURCE INVESTMENTS, LLC, a Minnesota limited liability company (the “Manager”). The Manager hereby agrees to waive its management fee and/or reimburse each Fund’s “other expenses” to the extent set forth in the Series’ prospectuses included in the Series’ Registration Statement filed on or about March 2, 2009 with the Securities and Exchange Commission.

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WAIVER/REIMBURSEMENT AGREEMENT
Waiver/Reimbursement Agreement • February 28th, 2008 • Seligman Global Fund Series Inc

WAIVER/REIMBURSEMENT AGREEMENT, dated as of March 3, 2008, between SELIGMAN GLOBAL FUND SERIES, INC., a Maryland corporation (the “Series”), on behalf of Seligman Emerging Markets Fund, Seligman Global Growth Fund and Seligman International Growth Fund (each, a “Fund”) and J. & W. SELIGMAN & CO. INCORPORATED, a Delaware corporation (the “Manager”). The Manager hereby agrees to waive its management fee and/or reimburse each Fund’s “other expenses” to the extent set forth in the Series’ prospectuses included in the Series’ Registration Statement filed on or about February 28, 2008 with the Securities and Exchange Commission.

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