TENTH AMENDMENT TO FUND ACCOUNTING AGREEMENT
Exhibit 28 (h)(39) under Form N-1A
Exhibit 10 under Item 601/Reg. S-K
TENTH AMENDMENT TO
THIS AMENDMENT TO FUND ACCOUNTING AGREEMENT (“Amendment”) is by and between each of the investment companies listed on Schedule I to the Agreement, as defined below (each, a “Fund”), and The Bank of New York Mellon (“Bank”).
W I T N E S S E T H:
WHEREAS, the Funds and the Bank are parties to that certain Fund Accounting Agreement (the “Agreement”) dated March 1, 2011, as amended, between the Funds listed on Schedule I of the Agreement, as amended and restated and attached hereto and the Bank;
WHEREAS, each Fund is registered as a management investment company under the Investment Company Act of 1940, as amended;
WHEREAS, the Funds and the Bank desire to remove certain Funds from Schedule I; and
WHEREAS, the Funds and Bank are parties to that certain Fund Accounting Agreement (the
NOW, THEREFORE, in consideration of the premises and mutual covenants herein contained, and intending to be legally bound hereby, the parties hereto agree as follows:
The Funds listed in Schedule I to the Agreement is amended and restated to include the funds listed on Schedule I attached hereto.
The Agreement shall remain in full force and effect as amended by this Amendment.
IN WITNESS WHEREOF, this Amendment has been executed for and on behalf of the undersigned as of December 1, 2017.
On behalf of each of the Funds indicated on
Schedule I of the Fund Accounting Agreement,
as amended from time to time
By: /s/ Xxxx X. Xxxxxxx
Name: Xxxx X. Xxxxxxx
Title: Treasurer
THE BANK OF NEW YORK MELLON
By: /s/ Xxxxxxx Fernandez___________________
Name: Xxxxxxx Xxxxxxxxx
Title: Vice President/Managing Director
SCHEDULE I
(UPDATED AS OF 12/1/17)
A. | Money Market Funds |
Federated Capital Reserves Fund
Federated Government Obligations Tax-Managed Fund
Federated Government Reserves Fund
Federated U.S. Treasury Cash Reserves
B. Muni Fixed Income Funds
Federated Intermediate Municipal Trust
Federated Michigan Intermediate Municipal Trust
Federated Municipal High Yield Advantage Fund
Federated Municipal Bond Fund, Inc.
Federated Municipal Ultrashort Fund
Federated New York Municipal Income Fund
Federated Ohio Municipal Income Fund
Federated Pennsylvania Municipal Income Fund
Federated Premier Municipal Income Fund
Federated Short-Intermediate Duration Municipal Trust
C. Other Funds
Federated Absolute Return Fund
Federated Emerging Market Debt Fund
Federated Global Strategic Value Dividend Fund
Federated Global Total Return Bond Fund
Federated International Bond Strategy Portfolio
Federated International Dividend Strategy Portfolio
Federated International Leaders Fund
Federated International Small-Mid Company Fund
Federated International Strategic Value Dividend Fund
Federated MDT Large Cap Value Fund
Federated MDT Large Cap Value Fund *
Federated Muni and Stock Advantage Fund
*a portfolio of Federated MDT Equity Trust which became effective August 31, 2017.
ELEVENTH AMENDMENT TO
THIS AMENDMENT TO FUND ACCOUNTING AGREEMENT (“Amendment”) is by and between each of the investment companies listed on Schedule I to the Agreement, as defined below (each, a “Fund”), and The Bank of New York Mellon (“Bank”).
W I T N E S S E T H:
WHEREAS, the Funds and the Bank are parties to that certain Fund Accounting Agreement (the “Agreement”) dated March 1, 2011, as amended, between the Funds listed on Schedule I of the Agreement, as amended and restated and attached hereto and the Bank;
WHEREAS, each Fund is registered as a management investment company under the Investment Company Act of 1940, as amended;
WHEREAS, the Funds and the Bank desire to add certain Funds to and remove certain Funds from Schedule I; and
WHEREAS, the Funds and Bank are parties to that certain Fund Accounting Agreement (the
NOW, THEREFORE, in consideration of the premises and mutual covenants herein contained, and intending to be legally bound hereby, the parties hereto agree as follows:
The Funds listed in Schedule I to the Agreement is amended and restated to include the funds listed on Schedule I attached hereto.
The Agreement shall remain in full force and effect as amended by this Amendment.
IN WITNESS WHEREOF, this Amendment has been executed for and on behalf of the undersigned as of September 1, 2018.
On behalf of each of the Funds indicated on
Schedule I of the Fund Accounting Agreement,
as amended from time to time
By:_/s/ Xxxx X. Xxxxxxx
Name: Xxxx X. Xxxxxxx
Title: Treasurer
THE BANK OF NEW YORK MELLON
By: /s/ Xxxxxxx Xxxxxxxxx
Name: Xxxxxxx Xxxxxxxxx
Title: Vice President/Managing Director
SCHEDULE I
(UPDATED AS OF 09/01/18)
A. | Money Market Funds |
Federated Capital Reserves Fund
Federated Government Obligations Tax-Managed Fund
Federated Government Reserves Fund
Federated U.S. Treasury Cash Reserves
B. Muni Fixed Income Funds
Federated Intermediate Municipal Trust
Federated Michigan Intermediate Municipal Trust
Federated Municipal High Yield Advantage Fund
Federated Municipal Bond Fund, Inc.
Federated Municipal Ultrashort Fund
Federated Ohio Municipal Income Fund
Federated Pennsylvania Municipal Income Fund
Federated Premier Municipal Income Fund
Federated Short-Intermediate Duration Municipal Trust
C. Other Funds
Federated Absolute Return Fund
Federated Emerging Market Debt Fund
Federated Global Strategic Value Dividend Fund
Federated Global Total Return Bond Fund
Federated Hermes SDG Engagement Equity Fund
Federated International Bond Strategy Portfolio
Federated International Dividend Strategy Portfolio
Federated International Leaders Fund
Federated International Small-Mid Company Fund
Federated International Strategic Value Dividend Fund
Federated MDT Large Cap Value Fund
Federated Muni and Stock Advantage Fund
EXECUTION
INVESTMENT COMPANY REPORTING
MODERNIZATION SERVICES AMENDMENT TO
FUND ACCOUNTING AGREEMENT
This Investment Company Reporting Modernization Services Amendment (the “Amendment”) is made as of March 1, 2018 by and between each of the registered investment companies listed on Schedule I to the Agreement (as defined below) as such Schedule I may be amended from time to time (each registered investment company, the “Fund”) and THE BANK OF NEW YORK MELLON (“BNY Mellon”).
BACKGROUND:
A. | WHEREAS, the Fund and BNY Mellon are parties to a Fund Accounting Agreement dated as of March 1, 2011, as amended (the “Agreement”); |
B. | WHEREAS, this Amendment is an amendment to the Agreement and shall be applicable solely to the portfolios of the Fund identified at Exhibit 1 hereto (the “Portfolios”); |
C. | WHEREAS, the Fund desires that BNY Mellon provide the investment company reporting modernization services described in this Amendment; |
D. | WHEREAS, capitalized terms used in this Amendment shall have the meanings set forth in the Agreement unless otherwise defined herein, and all forms and rules referenced herein are in reference to forms and rules promulgated under the Investment Company Act of 1940, as amended; and |
E. | WHEREAS, the Fund and BNY Mellon desire to amend the Agreement with respect to the foregoing; |
TERMS:
NOW, THEREFORE, in consideration of the premises and mutual covenants herein contained, the parties hereto agree as follows:
1. | BNY Mellon shall provide the following services to the Fund for the Portfolios and the Agreement is hereby amended to include the following with the services described therein: |
1.1 | As selected by the Fund, BNY Mellon shall provide services following a shared service operating model. This operating model requires the Fund or adviser to file the reports described in the services noted below. |
1.2 | FORM N-PORT. BNY Mellon, subject to the limitations described herein and its timely receipt of all necessary information related thereto, will collect, aggregate and normalize the data required for the submission of Form N-PORT, related filing types, and any forms adopted to replace such forms. BNY Mellon will review and transmit to the Funds’ third party filing agent each draft N-PORT and provide reasonable cooperation to the relevant Fund and/or such Fund’s third party agent as necessary to resolve any issues with the receipt of the Form N-PORT data provided. |
1.2.1 | The timely receipt of necessary information referred to above will be determined by mutual agreement of BNY Mellon and the Fund in advance of the preparation of the initial Form N-PORT. |
1.3 | FORM N-CEN. BNY Mellon, subject to the limitations described herein and its timely receipt of all necessary information related thereto, will collect, aggregate and normalize the data required for the submission of Form N-CEN, related filing types, and any forms adopted to replace such forms. BNY Mellon will review and transmit to the Funds’ third party filing agent each draft N-CEN and provide reasonable cooperation to the relevant Fund and/or such Fund’s third party agent as necessary to resolve any issues with the receipt of the Form N-CEN data provided. |
1.3.1 | The timely receipt of necessary information referred to above will be determined by mutual agreement of BNY Mellon and the Fund in advance of the preparation of the initial Form N-CEN. |
2. | BNY Mellon shall not be responsible for: (a) delays in the transmission to it by the Fund, the Fund’s adviser and entities unaffiliated with BNY Mellon (collectively, for this Amendment, “Third Parties”) of data required for the reports described herein, (b) inaccuracies of, errors in or omissions of, such data provided to it by any Third Party, and (c) validation of such data provided to it by any Third Party. This Section 2 is a limitation of responsibility provision for the benefit of BNY Mellon, and shall not be used to imply any responsibility or liability against BNY Mellon. |
3. | The Fund shall be responsible for the retention of the filed reports described herein in accordance with any applicable rule or regulation. |
4. | Notwithstanding any provision of this Amendment, the services described herein are not, nor shall they be construed as constituting, legal advice or the provision of legal services for or on behalf of the Fund or any other person. Neither this Amendment nor the provision of the services establishes or is intended to establish an attorney-client relationship between BNY Mellon and the Fund or any other person. |
5. | As compensation for the services described herein, the Fund will pay to BNY Mellon such fees as may be agreed to in writing by the Fund and BNY Mellon. |
6. | Miscellaneous. |
(a) | As hereby amended and supplemented, the Agreement shall remain in full force and effect. In the event of a conflict between the terms of this Amendment and the terms of the Agreement, the terms of this Amendment shall control with respect to the services described herein. |
(b) | This Amendment may be executed in two or more counterparts, each of which shall be deemed an original, but all of which together shall constitute one and the same instrument. The facsimile signature of any party to this Amendment shall constitute the valid and binding execution hereof by such party. |
(c) | If any provision or provisions of this Amendment shall be held to be invalid, unlawful or unenforceable, the validity, legality and enforceability of the remaining provisions shall not in any way be affected or impaired. |
(Signature page follows.)
IN WITNESS WHEREOF, the parties hereto have caused this Amendment to be executed by their duly authorized officers designated below on the date and year first above written.
EACH OF THE REGISTERED INVESTMENT
COMPANIES LISTED ON EXHIBIT I
By: /s/ Xxxx X. Xxxxxxx
Name: Xxxx X. Xxxxxxx
Title: Treasurer
II. THE BANK OF NEW YORK MELLON
By: /s/Xxxxxxx Xxxxxxxxx
Name: Xxxxxxx Xxxxxxxxx
Title: Vice President
Date: March 2, 2018
EXHIBIT 1
N-PORT Services
Portfolio Name | ID, Cusip or Ticker Symbol |
Federated Absolute Return Fund | 314172743 |
Federated Absolute Return Fund | 314172735 |
Federated Absolute Return Fund | 314172727 |
Federated Absolute Return Fund | 314172453 |
Federated Emerging Market Debt Fund | 00000X000 |
Federated Emerging Market Debt Fund | 00000X000 |
Federated Emerging Market Debt Fund | 00000X000 |
Federated Emerging Market Debt Fund | 00000X000 |
Federated Intermediate Municipal Trust | 458810108 |
Federated Intermediate Municipal Trust | 458810603 |
Federated Global Strategic Value Dividend Fund | 00000X000 |
Federated Global Strategic Value Dividend Fund | 00000X000 |
Federated Global Strategic Value Dividend Fund | 00000X000 |
Federated Global Strategic Value Dividend Fund | 00000X000 |
Federated Global Total Return Bond Fund | 00000X000 |
Federated Global Total Return Bond Fund | 00000X000 |
Federated Global Total Return Bond Fund | 00000X000 |
Federated Global Total Return Bond Fund | 00000X000 |
Federated International Bond Strategy Portfolio | 00000X000 |
Federated International Dividend Strategy Portfolio | 00000X000 |
Federated International Leaders Fund | 00000X000 |
Federated International Leaders Fund | 00000X000 |
Federated International Leaders Fund | 00000X000 |
Federated International Leaders Fund | 00000X000 |
Federated International Leaders Fund | 00000X000 |
Federated International Leaders Fund | 00000X000 |
Federated International Small-Mid Company Fund | 00000X000 |
Federated International Small-Mid Company Fund | 00000X000 |
Federated International Small-Mid Company Fund | 00000X000 |
Federated International Small-Mid Company Fund | 00000X000 |
Federated International Strategic Value Dividend Fund | 314172388 |
Federated International Strategic Value Dividend Fund | 314172370 |
Federated International Strategic Value Dividend Fund | 314172362 |
Federated International Strategic Value Dividend Fund | 00000X000 |
Federated MDT Large Cap Value Fund | 314209206 |
Federated MDT Large Cap Value Fund | 314209701 |
Federated MDT Large Cap Value Fund | 314209800 |
Federated MDT Large Cap Value Fund | 314209602 |
Federated MDT Large Cap Value Fund | 314209305 |
Federated MDT Large Cap Value Fund | 314209404 |
Federated MDT Large Cap Value Fund | 314209503 |
Federated Michigan Intermediate Municipal Trust | 313923302 |
Federated Muni and Stock Advantage Fund | 00000X000 |
Federated Muni and Stock Advantage Fund | 00000X000 |
Federated Muni and Stock Advantage Fund | 00000X000 |
Federated Muni and Stock Advantage Fund | 00000X000 |
Federated Muni and Stock Advantage Fund | 00000X000 |
Federated Municipal High Yield Advantage Fund | 313923864 |
Federated Municipal High Yield Advantage Fund | 313923856 |
Federated Municipal High Yield Advantage Fund | 313923849 |
Federated Municipal High Yield Advantage Fund | 313923831 |
Federated Municipal High Yield Advantage Fund | 313923815 |
Federated Municipal Bond Fund, Inc. | 313913105 |
Federated Municipal Bond Fund, Inc. | 313913204 |
Federated Municipal Bond Fund, Inc. | 313913303 |
Federated Municipal Bond Fund, Inc. | 313913402 |
Federated Municipal Bond Fund, Inc. | 313913600 |
Federated Municipal Ultrashort Fund | 00000X000 |
Federated Municipal Ultrashort Fund | 00000X000 |
Federated Ohio Municipal Income Fund | 313923823 |
Federated Ohio Municipal Income Fund | 313923609 |
Federated Pennsylvania Municipal Income Fund | 313923708 |
Federated Pennsylvania Municipal Income Fund | 313923807 |
Federated Premier Municipal Income Fund | 00000X000 |
Federated Short-Intermediate Duration Municipal Trust | 313907305 |
Federated Short-Intermediate Duration Municipal Trust | 313907107 |
Federated Short-Intermediate Duration Municipal Trust | 313907206 |
N-CEN Services
Portfolio Name | ID, Cusip or Ticker Symbol and Fund |
Federated Absolute Return Fund | 314172743 |
Federated Absolute Return Fund | 314172735 |
Federated Absolute Return Fund | 314172727 |
Federated Absolute Return Fund | 314172453 |
Federated Capital Reserves Fund | 608919304 |
Federated Emerging Market Debt Fund | 00000X000 |
Federated Emerging Market Debt Fund | 00000X000 |
Federated Emerging Market Debt Fund | 00000X000 |
Federated Emerging Market Debt Fund | 00000X000 |
Federated Government Obligations Tax-Managed Fund | 00000X000 |
Federated Government Obligations Tax-Managed Fund | 00000X000 |
Federated Government Obligations Tax-Managed Fund | 608919494 |
Federated Government Reserves Fund | 608919205 |
Federated Government Reserves Fund | 608919544 |
Federated Government Reserves Fund | 608919536 |
Federated Government Reserves Fund | 608919528 |
Federated Government Reserves Fund | 908919510 |
Federated Intermediate Municipal Trust | 458810108 |
Federated Intermediate Municipal Trust | 458810603 |
Federated Global Strategic Value Dividend Fund | 00000X000 |
Federated Global Strategic Value Dividend Fund | 00000X000 |
Federated Global Strategic Value Dividend Fund | 00000X000 |
Federated Global Strategic Value Dividend Fund | 00000X000 |
Federated Global Total Return Bond Fund | 00000X000 |
Federated Global Total Return Bond Fund | 00000X000 |
Federated Global Total Return Bond Fund | 00000X000 |
Federated Global Total Return Bond Fund | 00000X000 |
Federated International Bond Strategy Portfolio | 00000X000 |
Federated International Dividend Strategy Portfolio | 00000X000 |
Federated International Leaders Fund | 00000X000 |
Federated International Leaders Fund | 00000X000 |
Federated International Leaders Fund | 00000X000 |
Federated International Leaders Fund | 00000X000 |
Federated International Leaders Fund | 00000X000 |
Federated International Leaders Fund | 00000X000 |
Federated International Small-Mid Company Fund | 00000X000 |
Federated International Small-Mid Company Fund | 00000X000 |
Federated International Small-Mid Company Fund | 00000X000 |
Federated International Small-Mid Company Fund | 00000X000 |
Federated International Strategic Value Dividend Fund | 314172388 |
Federated International Strategic Value Dividend Fund | 314172370 |
Federated International Strategic Value Dividend Fund | 314172362 |
Federated International Strategic Value Dividend Fund | 00000X000 |
Federated MDT Large Cap Value Fund | 314209206 |
Federated MDT Large Cap Value Fund | 314209701 |
Federated MDT Large Cap Value Fund | 314209800 |
Federated MDT Large Cap Value Fund | 314209602 |
Federated MDT Large Cap Value Fund | 314209305 |
Federated MDT Large Cap Value Fund | 314209404 |
Federated MDT Large Cap Value Fund | 314209503 |
Federated Michigan Intermediate Municipal Trust | 313923302 |
Federated Muni and Stock Advantage Fund | 00000X000 |
Federated Muni and Stock Advantage Fund | 00000X000 |
Federated Muni and Stock Advantage Fund | 00000X000 |
Federated Muni and Stock Advantage Fund | 00000X000 |
Federated Muni and Stock Advantage Fund | 00000X000 |
Federated Municipal High Yield Advantage Fund | 313923864 |
Federated Municipal High Yield Advantage Fund | 313923856 |
Federated Municipal High Yield Advantage Fund | 313923849 |
Federated Municipal High Yield Advantage Fund | 313923831 |
Federated Municipal High Yield Advantage Fund | 313923815 |
Federated Municipal Bond Fund, Inc. | 313913105 |
Federated Municipal Bond Fund, Inc. | 313913204 |
Federated Municipal Bond Fund, Inc. | 313913303 |
Federated Municipal Bond Fund, Inc. | 313913402 |
Federated Municipal Bond Fund, Inc. | 313913600 |
Federated Municipal Ultrashort Fund | 00000X000 |
Federated Municipal Ultrashort Fund | 00000X000 |
Federated Ohio Municipal Income Fund | 313923823 |
Federated Ohio Municipal Income Fund | 313923609 |
Federated Pennsylvania Municipal Income Fund | 313923708 |
Federated Pennsylvania Municipal Income Fund | 313923807 |
Federated Premier Municipal Income Fund | 00000X000 |
Federated Short-Intermediate Duration Municipal Trust | 313907305 |
Federated Short-Intermediate Duration Municipal Trust | 313907107 |
Federated Short-Intermediate Duration Municipal Trust | 313907206 |
Federated U.S. Treasury Cash Reserves | 00000X000 |
Federated U.S. Treasury Cash Reserves | 00000X000 |