AMENDMENT NO. 4 SECURITIES LENDING AGREEMENT
Exhibit (h)(5)(v)
AMENDMENT NO. 4
Amendment No. 4, effective as of August 19, 2022 (“Amendment No. 4”), to the Securities Lending Agreement dated as of April 11, 2016 (“Agreement”), by and between JPMorgan Chase Bank, National Association (“X.X. Xxxxxx”) and each Equitable investment company identified in Annex A hereto (“Lender”).
WHEREAS, X.X. Xxxxxx and Xxxxxx desire to update the Agreement to reflect the name changes set forth below, which were effective March 21, 2022:
Prior Name |
Current Name | |
EQ/PIMCO Total Return Portfolio | EQ/PIMCO Total Return ESG Portfolio | |
EQ/ClearBridge Large Cap Growth Portfolio | EQ/ClearBridge Large Cap Growth ESG Portfolio | |
1290 VT SmartBeta Equity Portfolio | 1290 VT SmartBeta Equity ESG Portfolio |
WHEREAS, X.X. Xxxxxx and Xxxxxx desire to update the Agreement to change the names of the 1290 VT DoubleLine Dynamic Allocation Portfolio and 1290 DoubleLine Dynamic Allocation Fund to Equitable Conservative Growth MF/ETF Portfolio and 1290 Xxxxxx Xxxxxx Multi-Asset Income Fund, respectively, which changes are effective August 19, 2022.
1. | Xxxxx X. Xxxxx A to the Agreement is deleted and replaced in its entirety by Annex A attached hereto. |
2. | Schedule 4. Schedule 4 to the Agreement, setting forth the Limitations on Securities Available for Loan, Lending Accounts and Markets is deleted and replaced in its entirety by Schedule 4 attached hereto. |
3. | Ratification. Except as modified and amended hereby, the Agreement is hereby ratified and confirmed in full force and effect in accordance with its terms. |
IN WITNESS WHEREOF, the parties have executed and delivered this Amendment No. 4 as of the date first above set forth.
EQ Advisors Trust
On behalf of each of their series listed on Annex A |
JPMorgan Chase Bank, N.A. | |||||||
By: | /s/ Xxxxx Xxxxx |
By: | /s/ Xxxxxx Xxxxxxx | |||||
Name: Xxxxx Xxxxx Title: Chief Financial Officer Date: August 17, 2022 |
Name: Xxxxxx Xxxxxxx Title: Managing Director Date: August 22, 2022 |
ANNEX A
EQ Advisors Trust
1290 VT Micro Cap Portfolio 1290 VT CONVERTIBLE SECURITIES PORTFOLIO Equitable Conservative Growth MF/ETF Portfolio 1290 VT DoubleLine Opportunistic Bond Portfolio 1290 VT Equity Income Portfolio 1290 VT GAMCO Mergers & Acquisitions Portfolio 1290 VT GAMCO Small Company Value Portfolio 1290 VT High Yield Bond Portfolio 1290 VT Low Volatility Global Equity Portfolio 1290 VT Multi-Alternative Strategies Portfolio 1290 VT Natural Resources Portfolio 1290 VT Real Estate Portfolio 1290 VT Small Cap Value Portfolio 1290 VT SmartBeta Equity ESG Portfolio 1290 VT Socially Responsible Portfolio ATM International Managed Volatility Portfolio ATM Large Cap Managed Volatility Portfolio ATM Mid Cap Managed Volatility Portfolio ATM Small Cap Managed Volatility Portfolio EQ/ 2000 Managed Volatility Portfolio EQ/ 400 managed Volatility Portfolio EQ/ Invesco International Growth Portfolio EQ/1290 VT Moderate Growth Allocation Portfolio EQ/2000 Managed Volatility Portfolio EQ/400 managed Volatility Portfolio EQ/500 managed Volatility Portfolio EQ/AB Dynamic Aggressive Growth EQ/AB Dynamic Growth Portfolio EQ/AB Dynamic Moderate Growth Portfolio EQ/AB Short Duration Government Bond Portfolio EQ/AB Small Cap Growth Portfolio EQ/AB Sustainable U.S. Thematic Portfolio EQ/All asset Growth Allocation Portfolio EQ/American Century Mid Cap Value Portfolio EQ/American Century Moderate Growth Allocation Portfolio EQ/AXA Investment Managers Moderate Allocation Portfolio EQ/Capital Group Research Portfolio EQ/Clearbridge Large Cap Growth ESG Portfolio EQ/Clearbridge Select Equity Managed Volatility Portfolio EQ/Common Stock Index Portfolio EQ/Core Bond Index Portfolio EQ/Emerging Markets Equity Plus Portfolio EQ/Equity 500 Index Portfolio EQ/Fidelity Institutional AM Large Cap Portfolio EQ/First Trust Moderate Growth Allocation Portfolio EQ/Franklin Growth Allocation Portfolio EQ/Franklin Moderate Allocation Portfolio |
EQ/Franklin Small Cap Value Managed Volatility Portfolio EQ/Franklin Strategic Income Portfolio EQ/Global Equity Managed Volatility Portfolio EQ/Xxxxxxx Xxxxx Growth Allocation Portfolio EQ/Xxxxxxx Xxxxx Mid Cap Value Portfolio EQ/Xxxxxxx Xxxxx Moderate Growth Allocation EQ/Intermediate Government Bond Portfolio EQ/International Core Managed Volatility Portfolio EQ/International Equity Index Portfolio EQ/International Managed Volatility Portfolio EQ/International Value Managed Volatility Portfolio EQ/INVESCO XXXXXXXX PORTFOLIO EQ/Invesco Global Portfolio EQ/Invesco Global Real Assets Portfolio EQ/Invesco Moderate Allocation Portfolio EQ/Invesco Moderate Growth Allocation Portfolio EQ/Janus Enterprise Portfolio EQ/XX Xxxxxx Growth Allocation EQ/JPMorgan Value Opportunities Portfolio EQ/Large Cap Core Managed Volatility Portfolio EQ/Large Cap Growth Index Portfolio EQ/Large Cap Growth Managed Volatility Portfolio EQ/Large Cap Value Index Portfolio EQ/Large Cap Value Managed Volatility Portfolio EQ/Lazard Emerging Markets Equity Portfolio EQ/Long Term-Bond Portfolio EQ/Xxxxxx Xxxxxx Growth Portfolio EQ/MFS International Growth Portfolio EQ/MFS International Intrinsic Value Portfolio EQ/MFS Mid Cap Focused Growth Portfolio EQ/MFS Technology Portfolio EQ/MFS Utilities Series Portfolio EQ/Mid Cap Index Portfolio EQ/Mid Cap Value Managed Volatility Portfolio EQ/Money Market Portfolio EQ/Xxxxxx Xxxxxxx Small Cap Growth Portfolio EQ/PIMCO Global Real Return Portfolio EQ/PIMCO Real Return Portfolio EQ/PIMCO Total Return ESG Portfolio EQ/PIMCO Ultra Short Bond Portfolio EQ/Quality Bond PLUS Portfolio EQ/Small Company Index Portfolio EQ/X. Xxxx Price Growth Stock Portfolio EQ/X. Xxxx Price Health Sciences Portfolio EQ/Value Equity Portfolio EQ/Wellington Energy Portfolio Equitable Growth MF/ETF Portfolio | |
Equitable Moderate Growth MF/ETF Portfolio FQ/Franklin Rising Dividends Portfolio Multimanager Aggressive Equity Portfolio Multimanager Core Bond Portfolio Multimanager Technology Portfolio |
1290 Funds Trust
1290 GAMCO Small/Mid Cap Value Fund 1290 High Yield Bond Fund 1290 Diversified Bond Fund 1290 Smart Beta Equity Fund 1290 Xxxxxx Xxxxxx Multi-Asset Income Fund 1290 Multi-Alternative Strategies Fund 1290 Retirement 2020 Fund 1290 Retirement 2025 Fund 1290 Retirement 2030 Fund 1290 Retirement 2035 Fund 1290 Retirement 2040 Fund 1290 Retirement 2045 Fund 1290 Retirement 2050 Fund 1290 Retirement 2055 Fund 1290 Retirement 2060 Fund 1290 Essex Small Cap Growth Fund | |
EACH OF THE AXA FUND LENDERS
LISTED ON ANNEX A HERETO
SCHEDULE 4
JPMorgan Chase Bank, N.A.
Securities Lending – Limitations on Securities Available for Loan, Lending Accounts and Markets
Limitations on Securities Available for Loan
The following limitations shall apply to X.X. Xxxxxx’x authority to lend Securities held in the Lending Accounts:
1. At the time of any Loan, the aggregate Market Value of Lender’s Securities on Loan after taking such Loan into account shall not exceed 30% of the aggregate Market Value of Lender’s total assets, including collateral for Loans.
2. No more than 90% of any Security held by Xxxxxx may be on loan at the time the Loan is initiated.
3. At the initiation of any Loan, the maximum rebate rate must be Overnight Bank Funding Rate (OBFR) minus 25 basis points on Loans collateralized with cash; on Loans collateralized with securities, the Lender will charge Borrowers a minimum 25 basis point fee.
Lending Accounts
Lending Account Name |
Lending Account Numbers | |||
1290 VT Micro Cap Portfolio - Lord Xxxxxx |
G 24412 | |||
1290 VT Micro Cap Portfolio -Blackrock |
G 24413 | |||
1290 VT CONVERTIBLE SECURITIES PORTFOLIO - SSGA |
P 75009 | |||
Equitable Conservative Growth MF/ETF Portfolio |
EIV69 | G 30204 | ||
1290 VT DoubleLine Opportunistic Bond Portfolio |
AHL95 | P 24225 | ||
1290 VT Equity Income Portfolio |
38944 | G 09834 | ||
1290 VT GAMCO Mergers & Acquisitions Portfolio |
35949 | G 09840 | ||
1290 VT GAMCO Small Company Value Portfolio |
43362 | G 09841 | ||
1290 VT High Yield Bond Portfolio- Post |
AEX34 | G 24420 | ||
1290 VT High Yield Bond Portfolio - AXA Investment Managers |
G 30168 | |||
1290 VT High Yield Bond Portfolio - FMG LCC |
G 23689 | |||
1290 VT Low Volatility Global Equity Portfolio |
P 75011 | |||
1290 VT Multi-Alternative Strategies Portfolio - FMG |
P 43360 | |||
1290 VT Natural Resources Xxxxxxxxx - XX |
00000 | G 30170 | ||
1290 VT Real Estate Portfolio -AllianceBernstein |
ABD65 | G 30165 | ||
1290 VT Small Cap Value Portfolio - Horizon |
AEX33 | G 24419 |
1290 VT Small Cap Value Portfolio-Blackrock |
G 24417 | |||
1290 VT SmartBeta Equity ESG Portfolio |
ADF89 | P 75008 | ||
1290 VT Socially Responsible Portfolio -Blackrock |
38438 | G 08437 | ||
ATM International Managed Volatility Portfolio- AllianceBernstein |
57784 | P 04048 | ||
ATM International Managed Volatility Portfolio- Blackrock |
57785 | P 03730 | ||
ATM Large Cap Managed Volatility Portfolio- AllianceBernstein |
P 04039 | |||
ATM Large Cap Managed Volatility Portfolio- Blackrock |
P 03721 | |||
ATM Mid Cap Managed Volatility Portfolio- AllianceBernstein |
P 04045 | |||
ATM Mid Cap Managed Volatility Portfolio- Blackrock |
P 03727 | |||
ATM Small Cap Managed Volatility Portfolio- AllianceBernstein |
P 04042 | |||
ATM Small Cap Managed Volatility Portfolio- Blackrock |
P 03724 | |||
EQ/2000 Managed Volatility Portfolio- AllianceBernstein |
P 04041 | |||
EQ/400 managed Volatility Portfolio- Blackrock |
P 03726 | |||
EQ/ Xxxxxxx Xxxxxxxxxxxxx Xxxxxx Xxxxxxxxx |
XXX00 | P 45416 | ||
EQ/1290 VT Moderate Growth Allocation Portfolio |
EQP54 | P 93554 | ||
EQ/2000 Managed Volatility Portfolio - Blackrock |
P 03723 | |||
EQ/400 managed Volatility Portfolio- AllianceBernstein |
P 04044 | |||
EQ/500 managed Volatility Portfolio- AllianceBernstein |
P 04038 | |||
EQ/500 managed Volatility Portfolio- Blackrock |
P 03720 | |||
EQ/AB Dynamic Aggressive Growth |
EKY83 | P 43358 | ||
EQ/AB Dynamic Growth Portfolio |
AHL94 | P 24224 | ||
EQ/AB Dynamic Moderate Growth Portfolio |
86997 | P 13896 | ||
EQ/AB Short Duration Government Bond Portfolio |
ABV48 | G 23857 | ||
EQ/AB Small Cap Growth Portfolio- Passive |
G 80447 | |||
EQ/AB Small Cap Growth Portfolio- Active |
G 80446 | |||
EQ/AB Sustainable U.S. Thematic Portfolio |
G 43883 | |||
EQ/All Asset Growth AllocationPortfolio |
G 80448 | |||
EQ/American Century Mid Cap Value Portfolio |
EMR57 | P 45410 | ||
EQ/American Century Moderate Growth Allocation Portfolio |
EQP55 | P 93555 | ||
EQ/AXA Investment Managers Moderate Allocation Portfolio |
EQP56 | P 93556 | ||
EQ/Capital Group Research Portfolio |
15733 | G 08239 | ||
EQ/Clearbridge Large Cap Growth ESG Portfolio |
G 08048 | |||
EQ/Clearbridge Select Equity Managed Volatility Portfolio |
41986 | G 11251 | ||
EQ/Clearbridge Select Equity Managed Volatility Portfolio - Blackrock |
53048 | P 03296 | ||
EQ/Common Stock Index Portfolio - AllianceBernstein |
29812 | G 00000 | ||
XX/Xxxx Xxxx Xxxxx Xxxxxxxxx - XXxX |
00000 | G 07195 | ||
EQ/Emerging Markets Equity Plus Portfolio- Alliance Xxxxxxxxx Passive |
30500 | G 30162 | ||
EQ/Emerging Markets Equity Plus Portfolio- AXA FMG |
G 30161 | |||
EQ/Emerging Markets Equity Plus Portfolio- Xxxxxxx Partners LLC |
30495 | G 30163 | ||
EQ/Equity 500 Index Portfolio - AllianceBernstein |
5016 | G 05924 | ||
EQ/Fidelity Institutional AM Large Cap Portfolio |
EMR58 | P 45411 | ||
EQ/First Trust Moderate Growth Allocation Portfolio |
EQP57 | P 93557 | ||
EQ/Franklin Growth Allocation Portfolio |
EQP60 | P 93560 | ||
EQ/Xxxxxxxx Moderate Allocation Portfolio |
P 59483 | |||
EQ/Franklin Samll Cap Value Managed Volatility Portfolio- Blackrock |
53039 | P 03287 | ||
EQ/Xxxxxxxx Xxxxx Cap Value Managed Volatility Portfolio- Franklin |
41985 | G 11250 | ||
EQ/Franklin Strategic Income Portfolio |
EMR60 | P 45413 | ||
EQ/Global Equity Managed Volatility- Blackrock Portfolio-MSCI EAFE |
53044 | P 03292 |
EQ/Global Equity Managed Volatility Portfolio- Blackrock S&P 500 |
P 03377 | |||
EQ/Global Equity Managed Volatility Portfolio- Xxxxxx Xxxxxxx |
9919 | G 06988 | ||
EQ/ Global Equity Managed Volatility Portfolio- Xxxxxxx |
XXX00 | G 23895 | ||
EQ/Xxxxxxx Xxxxx Growth Allocation Portfolio |
EQP58 | P 93558 | ||
EQ/Xxxxxxx Xxxxx Mid Cap Value Portfolio |
EMR61 | P 45414 | ||
EQ/Xxxxxxx Xxxxx Moderate Growth Allocation |
AHM44 | X 00000 | ||
XX/Xxxxxxxxxxxx Xxxxxxxxxx Xxxx Xxxxxxxxx - XXxX |
0000 | G 05334 | ||
EQ/International Core Managed Volatility- Xxxxxxx |
AFE41 | G 24443 | ||
EQ/International Core Managed Volatility Portfolio- Blackrock |
44730 | G 11564 | ||
EQ/International Core Managed Volatility Portfolio- FMG LLC ETF |
G 11550 | |||
EQ/International Core Managed Volatility Portfolio- MFS |
ACA05 | G 23893 | ||
EQ/International Core Managed Volatility Portfolio- Federated Investors Inc |
46927 | G 11549 | ||
EQ/International Equity Index Portfolio - AllianceBernstein |
29813 | G 09752 | ||
EQ/International Managed Volatility- AllianceBernstein |
57782 | P 04047 | ||
EQ/International Managed Volatility Portfolio- Blackrock |
57783 | P 03729 | ||
EQ/International Value Managed Volatility - Blackrock |
9914 | G 06983 | ||
EQ/International Value Managed Volatility Portfolio- Xxxxxx |
87030 | P 14003 | ||
EQ/INVESCO XXXXXXXX PORTFOLIO |
40317 | G 10329 | ||
EQ/Invesco Global Portfolio |
41988 | G 11253 | ||
EQ/Invesco Global Real Assets Portfolio |
EMR62 | P 45415 | ||
EQ/Invesco Moderate Allocation Portfolio |
AHM45 | P 24448 | ||
EQ/Invesco Moderate Growth Allocation Portfolio |
EQP59 | P 93559 | ||
EQ/Janus Enterprise Portfolio - Janus |
43593 | G 10330 | ||
EQ/XX Xxxxxx Gropwth Allocation |
EKY84 | P 43359 | ||
EQ/JPMorgan Value Opportunities Portfolio |
9913 | G 06982 | ||
EQ/Large Cap Core Managed Volatility Portfolio- Capital Guardian |
AWZ88 | G 23905 | ||
EQ/Large Cap Core Managed Volatility Portfolio- FMG LLC ETF |
G 11556 | |||
EQ/Large Cap Core Managed Volatility Portfolio- GQG Partners LLC |
AFE39 | G 24441 | ||
EQ/Large Cap Core Managed Volatility Portfolio- Xxxxxx Xxxxxx |
G 11555 | |||
EQ/Large Cap Core Managed Volatility POrtfolio-Blackrock |
44753 | G 11567 | ||
EQ/Large Cap Growth Index Portfolio - AllianceBernstein |
15731 | G 08237 | ||
EQ/Large Cap Growth Managed Volatility- Blackrock |
44732 | G 11566 | ||
EQ/ Large Cap Growth Managed Volatility Portfolio- FMG LLC ETF |
G 11554 | |||
EQ/Large Cap Growth Managed Volatility Portfolio- Xxxxxx |
44715 | G 11553 | ||
EQ/Large Cap Growth Managed Volatility Portfolio- Xxxxx Capital |
EEZ18 | G 23904 | ||
EQ/Large Cap Growth Managed Volatility- T Xxxx |
ACA02 | G 23890 | ||
EQ/Large Cap Growth Managed Volatility - HS Investment Partners |
EEW68 | P 88939 | ||
EQ/Large Cap Value Index Xxxxxxxxx - XX |
00000 | G 10983 | ||
EQ/Large Cap Value Managed Volatility Portfolio-AllianceBernstein Active |
G 07193 | |||
EQ/Large Cap Value Managed Volatility Portfolio-AllianceBernsten ATM |
52661 | G 00040 | ||
EQ/Large Cap Value Managed Volatility Portfolio-Aristotle Cap Mangment LLC |
G 23902 | |||
EQ/Large Cap Value Managed Volatility Portfolio-FMG |
G 23903 | |||
EQ/ Large Cap Value Managed Volatility-MFS |
AFE40 | G 24442 | ||
EQ/Lazard Emerging Markets Equity Portfolio |
EMR36 | P 45402 | ||
EQ/Long-Term Bond Portfolio - AllianceBernstein |
EYM67 | G 38787 | ||
EQ/Xxxxxx Xxxxxx Growth Portfolio |
G 10224 | |||
EQ/MFS International Growth Portfolio |
34361 | G 10232 | ||
EQ/MFS International Intrinsic Value Portfolio |
EMR37 | P 45403 |
EQ/MFS Mid Cap Focused Growth Portfolio |
EMR34 | P 45400 | ||
EQ/MFS Technology Portfolio |
EMR38 | P 45404 | ||
EQ/MFS Utilities Series Portfolio |
EMR39 | P 45405 | ||
EQ/Mid Cap Index Xxxxxxxxx - XX |
00000 | G 08812 | ||
EQ/Mid Cap Value Managed Volatility - Blackrock |
44731 | G 11565 | ||
EQ/Mid Cap Value Managed Volatility Portfolio - FMG LLC ETF |
G 11552 | |||
EQ/Mid Cap Value Managed Volatility Portfolio - Wellington |
44713 | G 11551 | ||
EQ/Mid Cap Value Managed Volatility Portfolio- Diamond Hill |
ACA08 | G 23896 | ||
EQ/Money Market Portfolio - Dreyfus |
4275 | G 03872 | ||
EQ/Xxxxxx Xxxxxxx Small Cap Growth Portoflio |
AEX32 | G 24418 | ||
EQ/Xxxxxx Xxxxxxx Small Cap Growth Portfolio-Blackrock |
G 24414 | |||
EQ/PIMCO Global Real Return Portfolio |
ABD23 | G 30167 | ||
EQ/PIMCO Real Return Portfolio |
EMR40 | P 45406 | ||
EQ/PIMCO Total Return ESG Portfolio |
EMR41 | P 45407 | ||
EQ/PIMCO Ultra Short Bond Portfolio |
34376 | G 10230 | ||
EQ/Quality Bond PLUS - PIMCO |
ACA11 | G 23899 | ||
EQ/Quality Bond Plus Portfolio- Alliance Xxxxxxxxx Passive |
G 30226 | |||
EQ/Quality Bond PLUS Portfolio - AllianceBernstein |
5320 | G 05827 | ||
EQ/Small Company Index Portfolio - AllianceBernstein |
57999 | G 07196 | ||
EQ/X. Xxxx Price Growth Stock Portfolio |
47235 | G 10233 | ||
EQ/X. Xxxx Price Health Sciences Portfolio |
EMR42 | P 45408 | ||
EQ/Value Equity Portfolio |
9922 | G 06991 | ||
EQ/Wellington Energy Portfolio |
EMR33 | P 45399 | ||
Equitable Growth MF/ETF Portfolio |
G 43882 | |||
Equitable Moderate Growth MF/ETF Portfolio |
G 43881 | |||
FQ/Franklin Rising Dividends Portfolio |
EMR59 | P 45412 | ||
Multimanager Aggressive Equity Portfolio - AllianceBernstein - ATM |
52766 | P 02708 | ||
Multimanager Aggressive Equity Portfolio - ClearBridge |
20345 | G 08666 | ||
Multimanager Aggressive Equity Portfolio - Scotia Institutional Asset Management US LTD |
25407 | G 09295 | ||
Multimanager Aggressive Equity Portfolio - X. Xxxx Price |
25387 | G 09275 | ||
Multimanager Aggressive Equity Portfolio - Westfield |
25395 | G 09283 | ||
Multimanager Core Bond Portfolio - BlackRock |
25393 | G 00000 | ||
Xxxxxxxxxxxx Xxxx Xxxx Xxxxxxxxx - XXXXX |
00000 | G 00000 | ||
Xxxxxxxxxxxx Xxxx Xxxx Xxxxxxxxx - XXxX |
00000 | P 02709 | ||
Multimanager Core Bond Portfolio- Doubleline |
AHH64 | P 22045 | ||
Multimanger Technology Portfolio - FMG |
P 03700 | |||
Multimanager Technology Portfolio - Allianz |
25396 | G 00000 | ||
Xxxxxxxxxxxx Xxxxxxxxxx Xxxxxxxxx - XX |
00000 | P 02720 | ||
Multimanager Technology Portfolio - Wellington |
25390 | G 09278 | ||
Multimanger Technology Portfolio - FMG |
P 03700 | |||
1290 Diversified Bond Fund – Brandywine |
ENH81 | P 78337 | ||
1290 Xxxxxx Xxxxxx Multi-Asset Income Fund |
P 60811 | |||
1290 GAMCO Small/Mid Cap Value Fund |
AGM33 | P 91799 | ||
1290 High Yield Bond Fund |
P 91800 | |||
1290 Multi-AlternativeStrategies Fund – FMG LLC |
P 33351 | |||
1290 Retirement 2020 Fund |
P 67954 | |||
1290 Retirement 2025 Fund |
P 67955 |
1290 Retirement 2030 Fund |
P 67956 | |||
1290 Retirement 2035 Fund |
P 67957 | |||
1290 Retirement 2040 Fund |
P 67958 | |||
1290 Retirement 2045 Fund |
P 67959 | |||
1290 Retirement 2050 Fund |
P 67960 | |||
1290 Retirement 2055 Fund |
P 67961 | |||
1290 Retirement 2060 Fund |
P 67962 | |||
1290 Smartbeta Equity Fund |
AGM34 | P 67961 | ||
1290 Essex Small Cap Growth Fund |
G 45330 |
Eligible Markets
X.X. Xxxxxx may lend Securities in the following markets:
Number |
Lending Markets |
Lender Approves (Check All That Apply) |
Additional Market Requirements | |||
1 | Australia | X | Yes - refer to Addendum (I) below | |||
2 | Austria | X | ||||
3 | Belgium | X | ||||
4 | Brazil | Yes - An additional agreement is required. Please contact your Sales Specialist or Relationship Manager for additional information. | ||||
5 | Canada | X | ||||
6 | Czech Republic | X | ||||
7 | Denmark | X | ||||
8 | Euroclear | X | ||||
9 | Finland | X | ||||
10 | France | X | Yes – refer to Addendum (II) below | |||
11 | Germany | X | ||||
12 | Greece | X | Yes – refer to Addendum (III) below | |||
13 | Hong Kong | X |
14 | Hungary | X | Yes - refer to Addendum (III) below | |||
15 | Ireland | X | ||||
16 | Israel | X | ||||
17 | Italy | X | ||||
18 | Japan | X | Yes - refer to Addendum (III) below | |||
19 | Malaysia | Yes - An additional agreement is required. Please contact your Sales Specialist or Relationship Manager for additional information. | ||||
20 | Mexico | X | Yes - refer to Addendum (III) below | |||
21 | Netherlands | X | ||||
22 | New Zealand | X | ||||
23 | Norway | X | ||||
24 | Poland | X | Yes - refer to Addendum (IV) below | |||
25 | Portugal | X | ||||
26 | Singapore | X | Yes - refer to Addendum (III) below | |||
00 | Xxxxx Xxxxxx | X | ||||
28 | South Korea | Yes - An additional agreement is required. Please contact your Sales Specialist or Relationship Manager for additional information. | ||||
29 | Spain | X | ||||
30 | Sweden | X | ||||
31 | Switzerland | X | ||||
32 | Taiwan | Yes - An additional agreement is required. Please contact your Sales Specialist or Relationship Manager for additional information. |
33 | Thailand | X | Yes – refer to Addendum (V) below | |||
34 | Turkey | X | Yes – refer to Addendum (VI) below | |||
00 | Xxxxxx Xxxxxxx | X | ||||
00 | Xxxxxx Xxxxxx | X |
Lender acknowledges that this Schedule 4 to the Securities Lending Agreement dated April 11, 2016 is effective as of the date specified below and that the relevant Addenda within this Schedule shall apply.
Each Lender severally and not jointly:
EQ ADVISORS TRUST
on behalf of each of their series listed on Annex A
By: |
| |
Name: | ||
Title: | ||
Date: |
Market Terms Schedule
I. | Australia |
Xxxxxx acknowledges and accepts that:
a) | with regards to any Institutional Share Offering (“ISO”) offered by an Australian issuer to Lender, Xxxxxx shall be solely responsible for informing X.X. Xxxxxx that Lender has (a) been invited to participate in such ISO and (b) intends to, or otherwise, exercise any rights in relation to Securities on Loan; |
b) | due to the nature of an ISO, X.X. Xxxxxx will be unaware of such ISO arising and will therefore rely solely on Lender’s notification provided in (a) above; |
c) | subject to Clause 4 hereof (Instructions), Xxxxxx must provide election Instructions to X.X. Xxxxxx: |
i. | prior to market expiry where the timing of the ISO announcement makes it reasonably practicable to permit election Instructions to be given prior to such market expiry; and |
ii. | in all other cases, prior to the applicable Cut-Off Time. |
Such election Instructions must specify whether Xxxxxx wishes to (i) take up the ISO; (ii) lapse the ISO; or (iii) lapse and take up any available cashbook build. Upon receipt, X.X. Xxxxxx shall use reasonable endeavours to forward such election Instructions to Borrower;
d) | X.X. Xxxxxx shall not be liable to Lender in the event that: |
iii. | Xxxxxx does not provide to X.X. Xxxxxx any election Instructions; or |
iv. | Xxxxxx fails to provide X.X. Xxxxxx with timely election Instructions with respect to such an ISO, and X.X. Xxxxxx in its sole discretion does not take any action in relation to such election Instructions; or |
v. | election Instructions were received by Borrower after market expiry of the ISO and Xxxxxxxx is unable to accept such election Instructions. |
II. | France |
Xxxxxx acknowledges and accepts that when lending Securities issued by French issuers (“French Securities”), any additional tax credits (including, but not limited to, Credit d’Impot) that may be due to the holder of such French Securities had they not been on Loan over record date, will not form part of the manufactured Income (as defined in the applicable MSLA) that is collected from a Borrower on behalf of the Lender.
III. | Greece, Hungary, Japan, Mexico, Singapore |
To the extent that Xxxxxx has approved in this Schedule that the following jurisdictions are eligible markets, Lender represents and warrants that it does not have a “permanent establishment” in:
a) | Greece |
b) | Hungary |
c) | Japan |
d) | Mexico |
e) | Singapore |
IV. | Poland |
Xxxxxx acknowledges and agrees that the following restrictions shall apply in respect of equity securities issued by Polish companies (“Polish Securities”):
a) | the Journal of laws of Poland 2015, No.1272, which became effective in October 2015 (the “Act”) introduced pre-approval requirements from the Polish Government prior to any acquisition of significant shareholdings in certain Protected Companies (as defined by the Act and subject to change from time to time). In order to manage the transaction pre-approval requirements for the Lender, X.X. Xxxxxx will be limiting the securities lending program to actively lend only those Polish Securities where the Lender’s aggregate holding is less than 5%; |
b) | as the list of Protected Companies impacted by the Act is subject to on-going change, this arrangement will be applied to all Polish Securities held through X.X. Xxxxxx that have been made eligible for lending in the program by the Lender. As Xxxxxx’s Lending Agent, X.X. Xxxxxx are unable to determine the Lender’s total aggregate size of holding in such Polish Securities, therefore Lender will be responsible for notifying X.X. Xxxxxx where Lender is either holding, or proposing to acquire a total holding of 5% or greater of voting capital in Polish Securities. Lenders are required to provide such notification to X.X. Xxxxxx no later than trade date of the acquisition transaction resulting in a 5% or above holding; and |
c) | a failure to comply with the notification requirement could result in securities lending transactions being undertaken by X.X. Xxxxxx without Lender seeking the requisite pre-approval potentially resulting in penalties being levied against the Lender by the Polish Government for which the Lender is solely responsible. |
V. | Thailand |
When lending Securities issued by Thai issuers (“Thai Securities”) Lender acknowledges and consents that the amount of all cash Distributions (as defined in Clause 2.7(a) above) payable to Lender with regard to Thai Securities on Loan may be credited to Xxxxxx’s cash account in Dollars on the payable date of such cash Distributions. The amount of the cash Distributions will be converted into Dollars using the foreign exchange rate agreed with the Borrower and based on the reference rate provided by X.X. Xxxxxx’x local subcustodian.
Lenders opting for the “Calc & Pay” service offered by X.X.Xxxxxx in its capacity as global custodian for the treatment of capital gains tax in Thailand (such service being, the “Calc & Pay Service”), should be aware that the applicable sub-custodian in Thailand has informed X.X.Xxxxxx (in its capacity as global custodian) that it will ignore loan and return transactions generated by the agency lending discretionary program for the purposes of any calculation required for the Calc & Pay Service.
VI. | Turkey |
Lender represents and warrants that all:
a) | Turkish equities in the Lending Account were purchased after 1st January, 2006 and are not subject to the “Non Resident Investment Fund” regime; and |
b) | Turkish bonds in the Lending Account were issued after 1st January, 2006, |
and can be made available for lending under Applicable Law.
Xxxxxx acknowledges that it will promptly identify to X.X. Xxxxxx by notice, which notice may be oral, if the above representation and warranty ceases to be true. Upon such notice, X.X. Xxxxxx shall restrict the lending of the relevant Turkish Securities to Borrowers. In the event Lender fails to promptly notify X.X. Xxxxxx that the above representation and warranty ceases to be true, X.X. Xxxxxx shall not be liable for any Liabilities of Lender arising as a result of continued lending of such Turkish Securities.