Excelsior Funds Trust Sample Contracts

SCHEDULE I TO AMENDED AND RESTATED DISTRIBUTION AGREEMENT
Distribution Agreement • July 29th, 2004 • Excelsior Funds Trust

WHEREAS, Excelsior Funds Trust (the "Company") and Edgewood Services, Inc. (the "Distributor") desire to amend the Amended and Restated Distribution Agreement dated as of August 1, 1995, as amended and restated on February 9, 1996, July 25, 1997, July 31, 1998, and August 1, 2003 (the "Agreement"), by and between them to include the Equity Core Fund as an investment portfolio of the Company covered by the Agreement; and

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EXCELSIOR INSTITUTIONAL TRUST AMENDMENT NO. 3 TO CUSTODY AGREEMENT
Custody Agreement • May 28th, 1999 • Excelsior Institutional Trust
WITNESSETH:
Administration Agreement • May 28th, 1999 • Excelsior Institutional Trust • New York
EXCELSIOR FUNDS TRUST AMENDMENT NO. 5 TO AMENDED AND RESTATED CUSTODY AGREEMENT WHEREAS, Excelsior Funds Trust (formerly, Excelsior Institutional Trust) (the "Company") and JPMorgan Chase Bank (formerly, The Chase Manhattan Bank) desire to amend the...
Custody Agreement • July 29th, 2004 • Excelsior Funds Trust

WHEREAS, Excelsior Funds Trust (formerly, Excelsior Institutional Trust) (the "Company") and JPMorgan Chase Bank (formerly, The Chase Manhattan Bank) desire to amend the Amended and Restated Custody Agreement dated as of June 27, 2001, and most recently amended as of September 30, 2003 (the "Agreement"), by and between them to include the Equity Core Fund as an investment portfolio of the Company covered by the Agreement; and

FORM OF INVESTMENT ADVISORY AGREEMENT
Investment Advisory Agreement • February 23rd, 1996 • Excelsior Institutional Trust • Massachusetts
EXCELSIOR FUNDS TRUST AMENDMENT NO. 3 TO INVESTMENT ADVISORY AGREEMENT
Investment Advisory Agreement • July 29th, 2004 • Excelsior Funds Trust
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Credit Agreement • July 31st, 2002 • Excelsior Funds Trust • New York
FORM OF INVESTMENT ADVISORY AGREEMENT
Investment Advisory Agreement • December 19th, 1995 • Excelsior Institutional Trust • Massachusetts
ASSUMPTION
Assumption Agreement • August 15th, 2000 • Excelsior Institutional Trust
BETWEEN
Transfer Agency and Service Agreement • July 31st, 2002 • Excelsior Funds Trust • Massachusetts
Exhibit (h)(13) AMENDED AND RESTATED APPENDIX A TO FORM OF SHAREHOLDER SERVICING AGREEMENT EXCELSIOR FUNDS TRUST Pursuant to the terms and conditions set forth in the attached Shareholder Servicing Agreement, the Organization will receive the fees set...
Shareholder Servicing Agreement • July 29th, 2003 • Excelsior Funds Trust

Pursuant to the terms and conditions set forth in the attached Shareholder Servicing Agreement, the Organization will receive the fees set forth below in consideration for the services described in Section 2 of said Agreement and the incurring of expenses in connection therewith, such fees (calculated pursuant to Section 3.1 of said Agreement) to be paid in arrears periodically (but in no event less frequently than semi-annually):

SUBCUSTODIAN AGREEMENT
Subcustodian Agreement • December 19th, 1995 • Excelsior Institutional Trust • New York
WITNESSETH:
Custody Agreement • July 30th, 2001 • Excelsior Funds Trust
BACKGROUND
Waiver and Reimbursement Agreement • July 30th, 2004 • Excelsior Funds Trust • New York
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Exhibit (h)(12) FOURTH AMENDMENT AGREEMENT Dated as of February 26, 2003
Fourth Amendment Agreement • July 29th, 2004 • Excelsior Funds Trust • New York
WITNESSETH:
Fund Accounting and Administration Agreement • July 30th, 2001 • Excelsior Funds Trust • New York
EXECUTION VERSION FIFTH AMENDMENT AGREEMENT Dated as of March 10, 2004
Fifth Amendment Agreement • July 29th, 2004 • Excelsior Funds Trust • New York
COLUMBIA MANAGEMENT DISTRIBUTORS, INC. FORM OF MUTUAL FUND SALES AGREEMENT
Mutual Fund Sales Agreement • October 1st, 2007 • Excelsior Funds Trust • Massachusetts

From and after the Effective Date (as defined below), we will be the exclusive distributors of the shares of the funds of the fund families set forth in Schedule A (collectively, together with any funds that may hereafter become part of such fund families, the “CMD Distributed Funds”). We invite you to participate in the offer and sale of the shares of those CMD Distributed Funds (or classes thereof) as we may determine from time to time (each a “Fund” and collectively the “Funds”) on the terms set forth below.

AMENDMENT TO PRICING AND BOOKKEEPING OVERSIGHT AND SERVICES AGREEMENT
Pricing and Bookkeeping Oversight and Services Agreement • December 17th, 2007 • Columbia Funds Series Trust I

THIS AMENDMENT TO PRICING AND BOOKKEEPING OVERSIGHT AND SERVICES AGREEMENT, dated June 29, 2007 (this “Amendment”), amends the Pricing and Bookkeeping and Oversight and Services dated December 15, 2006, (the “Agreement”), by and among each of the registered investment companies, or series thereof, as applicable, listed on Schedule A thereto, including the Massachusetts business trusts listed on Exhibit A hereto (each a “Colonial Fund” and, together, the “Colonial Funds”) and Columbia Management Advisors, LLC (“CMA”). Capitalized terms used herein but not defined herein shall have the meanings given to such terms in the Agreement.

AMENDMENT AGREEMENT NO. 1 AND INSTRUMENT OF ADHERENCE
Amendment Agreement • December 17th, 2007 • Columbia Funds Series Trust I

This AMENDMENT AGREEMENT NO. 1 AND INSTRUMENT OF ADHERENCE is made as of October 18, 2007 by and among the entities listed on the signature pages hereof (collectively, the “Entities”), the lending institutions listed on the signature pages hereof (the “Banks”), State Street Bank and Trust Company, as operations agent (the “Operations Agent”) for itself and such Banks as are or may become parties to the Credit Agreement referred to below, and State Street Bank and Trust Company, as administrative agent (the “Administrative Agent”) for itself and such Banks as are or may become parties to the Credit Agreement referred to below. Certain of the Entities are entering into this Amendment on behalf of certain of their Series (as defined in the Credit Agreement referred to below), as set forth on Schedule 2 to the Credit Agreement, as amended hereby.

FINANCIAL REPORTING SERVICES AGREEMENT Agreement Number: Effective Date: December 15, 2006 Expiration Date: June 13, 2010 Supplier Name: STATE STREET BANK AND TRUST COMPANY Supplier Address: Lafayette Corporate Center, Two Avenue de Lafayette, LCC/6,...
Financial Reporting Services Agreement • December 17th, 2007 • Columbia Funds Series Trust I • Massachusetts

This FINANCIAL REPORTING SERVICES AGREEMENT (“Agreement”) is entered into as of the Effective Date by and among each of the registered investment companies, or series thereof, as applicable, listed on Schedule A to this Agreement, each either a Massachusetts business trust or a Delaware statutory trust or series thereof, Columbia Management Advisors, LLC, a Delaware limited liability company, severally and not jointly, and the above-named Supplier, a Massachusetts trust company, and consists of this signature page and the attached Terms and Conditions, Schedules and all other documents attached hereto, which are incorporated in full by this reference.

INVESTMENT ADVISORY AGREEMENT
Investment Advisory Agreement • July 31st, 2007 • Excelsior Funds Trust • Delaware

AGREEMENT made as of July 1, 2007 by and among EXCELSIOR FUNDS TRUST (the “Trust”), a Delaware business trust registered as an open-end management investment company under the Investment Company Act of 1940, as amended (the “Investment Company Act”), UST Advisers, Inc., a Delaware Corporation, (“USTA”), United States Trust Company, National Association, a national bank organized under the laws of the United States (“USTNA”), on behalf of its Asset Management Division, U.S. Trust New York Asset Management Division (“NYAMD”) (together, USTA and USTNA are referred to as the “Investment Adviser”).

AMENDED AND RESTATED CREDIT AGREEMENT for the COLUMBIA FUNDS dated as of October 19, 2006 STATE STREET BANK AND TRUST COMPANY, as Operations Agent and Administrative Agent
Credit Agreement • December 17th, 2007 • Columbia Funds Series Trust I

AMENDED AND RESTATED CREDIT AGREEMENT, dated as of October 19, 2006 (as amended, modified, supplemented and in effect from time to time, the “Agreement”), by and among the entities listed on Schedule 2 attached hereto (collectively, the “Entities”), the lending institutions listed on the signature pages hereof, and State Street Bank and Trust Company, as operations agent and administrative agent for itself and such other lending institutions. Each Entity is entering into this Agreement on behalf of certain of its Series (as defined below), as set forth on Schedule 2 attached hereto.

September 19, 2005
Loan Agreement • December 17th, 2007 • Columbia Funds Series Trust I • Massachusetts

State Street Bank and Trust Company (the “Bank”) is pleased to make available a $150,000,000 uncommitted, unsecured line of credit (the “Uncommitted Line”) to each of the investment companies registered under the Investment Company Act from time to time listed on Appendix I attached hereto (each, a “Borrower”), each acting on behalf of its respective Funds as specified from time to time on Appendix I hereto on the following terms and conditions:

WITNESSETH:
Custody Agreement • July 31st, 2002 • Excelsior Funds Trust • New York
EXCELSIOR FUNDS TRUST AMENDMENT NO. 1 TO FUND ACCOUNTING AND ADMINISTRATION AGREEMENT
Fund Accounting and Administration Agreement • July 29th, 2004 • Excelsior Funds Trust
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