JOINT FIDELITY BOND AGREEMENT
(v)
THIS AGREEMENT is made as of September 1, 2013, by and among certain registered investment companies (the "Funds") managed and/or administered by Xxxxx Xxxxx Management (“EVM”) or Boston Management and Research (“BMR”), each listed on Appendix A, as amended from time to time; and certain other non-Fund entities affiliated with EVM and/or BMR (collectively the “EV Parties”), each listed on Appendix A, as amended from time to time; all of which are named insureds (the “Insureds”) under a joint insured fidelity bond (the “Bond”) issued by one or more insurance companies (the “Insurer”), which may from time to time be amended or replaced:
WHEREAS, EVM and BMR act as investment adviser, manager and/or administrator of the Funds, and may from time to time hereafter act as investment adviser, manager or administrator of other funds; and Xxxxx Xxxxx Distributors, Inc. acts as principal underwriter or placement agent for certain of the Funds, and may from time to time hereafter act as principal underwriter or placement agent for certain other funds; and
WHEREAS, each Fund has registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as a management investment company; and
WHEREAS, Rule 17g-1(f) under the 1940 Act requires registered management investment companies named as an insured on a joint fidelity bond to enter into certain agreements with the other named insureds; and
WHEREAS, the Insureds each will benefit from its participation in the Bond; and
WHEREAS, the Insureds desire to establish the criteria by which (i) the annual premium shall be allocated among the parties, (ii) parties may be added to the Bond, and (iii) losses in excess of the face amount of the Bond shall be allocated among the parties:
NOW, THEREFORE, it is agreed as follows:
1.
Allocation of Premiums. The premium payable on the Bond shall be allocated between the Funds and the EV Parties in the manner approved by the Board of Trustees of the Funds, including a majority of those Trustees who are not “interested persons” of the Funds as defined by Section 2 (a) (19) of the Investment Company Act of 1940, as amended (the “1940 Act”) (the “Independent Trustees”). The amount of premium allocated to the Funds shall then be allocated among the Funds in the manner approved by the Board of Trustees of the Funds, including a majority of the Independent Trustees. The amount of premium payable by the EV Parties may be allocated among the EV Parties as mutually agreed by them.
2.
Additional Parties to the Agreement. If the Insurer is willing without additional premium to add as an Insured under the Bond (i) any registered investment company for which EVM or BMR hereafter is investment adviser, manager and/or administrator, or (ii) any non-Fund party which qualifies as an insurable party pursuant to Rule 17g-1(b)(3) under the 1940 Act, the parties hereto agree that: (a) such addition may be made, (b) any such registered investment company may become a party to this Agreement and be included within the term “Funds”, and (c) that such affiliate or other party may become a party to this Agreement and be included within the term “EV Parties”; provided that any party added during the term of the Agreement shall be bound by the terms of the Agreement.
3.
Allocation of Claim Proceeds. In the event that the claims of loss of two or more Insureds under the Bond exceed the face amount of the Bond and are deemed to be a Single Loss as defined under the Bond, the following rules for determining, as among the claimants, the priority of satisfaction of the claims under the Bond shall apply:
A.
All claims of the Funds that have been duly proved and established under the Bond shall be satisfied in full before satisfaction of any claims of any non-Fund Insured party. However, a Fund (“Investing Fund”) which invests substantially all of its assets in one or more other Funds (“Portfolio”) in a master-feeder or fund-of-funds structure is not entitled to recover on its claim to the extent that the Investing Fund’s actual covered loss is reduced by the satisfaction of a Portfolio’s claim.
B.
If the claims of the Funds exceed the face amount of the Bond, the insurance shall be applied to those claims in the following manner:
(i)
each Fund shall receive an equitable and proportionate share of the insurance, but in no event less than the amount it would have received had it provided and maintained a single bond with the minimum coverage required by paragraph (d)(1) of Rule 17g-1 under the 1940 Act (the “minimum coverage”); and
(ii)
any remaining amount of recovery over the minimum coverage shall be applied to the unsatisfied claims of the Funds, in proportion to the relevant Funds’ contributions toward the allocation of the premium paid for the Bond as determined in accordance with Paragraph 1 above.
C.
If after giving effect to Paragraph A there remains a portion of the insurance under the Bond available for the satisfaction of claims of parties other than the Funds, such remainder shall be applied as EVM shall determine.
4.
Limitations of Liability. All parties hereto agree that any obligation assumed by a business or common law trust hereunder shall be limited to the assets of the trust, and the trustees, shareholders and agents of the trust shall not be liable thereon.
5.
Effective Date. This Fidelity Bond Premium Sharing Agreement shall become effective as of September 1, 2013.
IN WITNESS WHEREOF, the parties have hereunto caused this Agreement to be executed by their officers, Directors or Trustees hereunto duly authorized all as of the day and year first above written.
XXXXX XXXXX MANAGEMENT (as agent for the Insureds listed on Schedule A)
By:
/s/ Xxxx X. X’Xxxx
Name:
Xxxx X. X’Xxxx
Title:
Vice President
Schedule A
Effective September 1, 2014
Xxxxx Xxxxx Non-Funds
Atlanta Capital Management Company, LLC
Xxxxx Xxxxx Management
Boston Management and Research
Xxxxx Xxxxx Distributors, Inc.
Parametric Portfolio Associates, LLC
Parametric Risk Advisors, LLC
Xxxxx Xxxxx Growth Trust, a series fund consisting of:
o
Xxxxx Xxxxx Asian Small Companies Fund
o
Xxxxx Xxxxx-Atlanta Capital Focused Growth Fund
o
Xxxxx Xxxxx Atlanta Capital Select Equity Fund
o
Xxxxx Xxxxx-Atlanta Capital XXXX-Cap Fund
o
Xxxxx Xxxxx Focused Growth Opportunities Fund
o
Xxxxx Xxxxx Focused Value Opportunities Fund
o
Xxxxx Xxxxx Global Natural Resources Fund
o
Xxxxx Xxxxx Greater China Growth Fund
o
Xxxxx Xxxxx Hexavest Emerging Markets Equity Fund
o
Xxxxx Xxxxx Hexavest Global Equity Fund
o
Xxxxx Xxxxx Hexavest International Equity Fund
o
Xxxxx Xxxxx Hexavest U.S. Equity Fund
o
Xxxxx Xxxxx Multi-Cap Growth Fund
o
Parametric Balanced Risk Fund
o
Xxxxx Xxxxx Xxxxxxx Xxxxxxxxx All Asset Strategy Fund
o
Xxxxx Xxxxx Xxxxxxx Xxxxxxxxx Equity Strategy Fund
o
Xxxxx Xxxxx Worldwide Health Sciences Fund
o
Parametric Balanced Risk Fund
Xxxxx Xxxxx Investment Trust, a series fund consisting of:
o
Xxxxx Xxxxx Floating Rate Municipal Income Fund
o
Xxxxx Xxxxx Massachusetts Limited Maturity Municipal Income Fund
o
Xxxxx Xxxxx National Limited Maturity Municipal Income Fund
o
Xxxxx Xxxxx New York Limited Maturity Municipal Income Fund
o
Xxxxx Xxxxx Pennsylvania Limited Maturity Municipal Income Fund
Xxxxx Xxxxx Municipals Trust, a series fund consisting of:
o
Xxxxx Xxxxx Alabama Municipal Income Fund
o
Xxxxx Xxxxx Arizona Municipal Income Fund
o
Xxxxx Xxxxx Arkansas Municipal Income Fund
o
Xxxxx Xxxxx California Municipal Income Fund
o
Xxxxx Xxxxx Connecticut Municipal Income Fund
o
Xxxxx Xxxxx Georgia Municipal Income Fund
o
Xxxxx Xxxxx Kentucky Municipal Income Fund
o
Xxxxx Xxxxx Maryland Municipal Income Fund
o
Xxxxx Xxxxx Massachusetts Municipal Income Fund
o
Xxxxx Xxxxx Minnesota Municipal Income Fund
o
Xxxxx Xxxxx Missouri Municipal Income Fund
o
Xxxxx Xxxxx Municipal Opportunities Fund
o
Xxxxx Xxxxx National Municipal Income Fund
o
Xxxxx Xxxxx New Jersey Municipal Income Fund
o
Xxxxx Xxxxx New York Municipal Income Fund
o
Xxxxx Xxxxx North Carolina Municipal Income Fund
o
Xxxxx Xxxxx Ohio Municipal Income Fund
o
Xxxxx Xxxxx Oregon Municipal Income Fund
o
Xxxxx Xxxxx Pennsylvania Municipal Income Fund
o
Xxxxx Xxxxx South Carolina Municipal Income Fund
o
Xxxxx Xxxxx Tennessee Municipal Income Fund
o
Xxxxx Xxxxx Virginia Municipal Income Fund
Xxxxx Xxxxx Municipals Trust II, a series fund consisting of:
o
Xxxxx Xxxxx High Yield Municipal Income Fund
o
Xxxxx Xxxxx Tax-Advantaged Bond Strategies Intermediate Term Fund
o
Xxxxx Xxxxx Tax-Advantaged Bond Strategies Long Term Fund
o
Xxxxx Xxxxx Tax-Advantaged Bond Strategies Short Term Fund
Xxxxx Xxxxx Mutual Funds Trust, a series fund consisting of:
o
Xxxxx Xxxxx AMT-Free Municipal Income Fund
o
Xxxxx Xxxxx Atlanta Capital Horizon Growth Fund
o
Xxxxx Xxxxx Diversified Currency Income Fund
o
Xxxxx Xxxxx Build America Bond Fund
o
Xxxxx Xxxxx Currency Income Advantage Fund
o
Xxxxx Xxxxx Emerging Markets Local Income Fund
o
Xxxxx Xxxxx Floating-Rate Fund
o
Xxxxx Xxxxx Floating-Rate Advantage Fund
o
Xxxxx Xxxxx Floating-Rate & High Income Fund
o
Xxxxx Xxxxx Global Dividend Income Fund
o
Xxxxx Xxxxx Global Macro Absolute Return Fund
o
Xxxxx Xxxxx Global Macro Absolute Return Advantage Fund
o
Xxxxx Xxxxx Government Obligations Fund
o
Xxxxx Xxxxx High Income Opportunities Fund
o
Xxxxx Xxxxx Large-Cap Core Research Fund
o
Xxxxx Xxxxx Short Duration Government Income Fund
o
Xxxxx Xxxxx Short Duration High Income Fund
o
Xxxxx Xxxxx Multi-Strategy Absolute Return Fund
o
Xxxxx Xxxxx Multi-Strategy All Market Fund
o
Parametric Commodity Strategy Fund
o
Parametric Dividend Income Fund
o
Parametric Emerging Markets Core Fund
o
Parametric Emerging Markets Fund
o
Parametric Global Small-Cap Fund
o
Parametric International Equity Fund
o
Parametric Market Neutral Fund
o
Parametric Tax-Managed International Equity Fund
o
Xxxxx Xxxxx Short Duration Strategic Income Fund
o
Xxxxx Xxxxx Tax-Managed Equity Asset Allocation Fund
o
Xxxxx Xxxxx Tax-Managed Global Dividend Income Fund
o
Xxxxx Xxxxx Tax-Managed Growth Fund 1.1
o
Xxxxx Xxxxx Tax-Managed Growth Fund 1.2
o
Xxxxx Xxxxx Tax-Managed Multi-Cap Growth Fund
o
Xxxxx Xxxxx Tax-Managed Small-Cap Fund
o
Xxxxx Xxxxx Tax-Managed Small-Cap Value Fund
o
Xxxxx Xxxxx Tax-Managed Value Fund
o
Xxxxx Xxxxx U.S. Government Money Market Fund
Xxxxx Xxxxx Series Fund, Inc., a series fund consisting of:
o
Xxxxx Xxxxx Institutional Emerging Markets Local Debt Fund
Xxxxx Xxxxx Series Trust, a series fund consisting of:
o
Xxxxx Xxxxx Tax-Managed Growth Fund 1.0
Xxxxx Xxxxx Series Trust II, a series fund consisting of:
o
Xxxxx Xxxxx Income Fund of Boston
o
Parametric Tax-Managed Emerging Markets Fund
Xxxxx Xxxxx Special Investment Trust, a series fund consisting of:
o
Xxxxx Xxxxx Balanced Fund
o
Xxxxx Xxxxx Bond Fund
o
Xxxxx Xxxxx Commodity Strategy Fund
o
Xxxxx Xxxxx Dividend Builder Fund
o
Xxxxx Xxxxx Greater India Fund
o
Xxxxx Xxxxx Investment Grade Income Fund
o
Xxxxx Xxxxx Large-Cap Growth Fund
o
Xxxxx Xxxxx Large-Cap Value Fund
o
Parametric Absolute Return Fund
o
Xxxxx Xxxxx Real Estate Fund
o
Xxxxx Xxxxx Risk-Managed Equity Option Fund
o
Xxxxx Xxxxx Short Duration Real Return Fund
o
Xxxxx Xxxxx Small-Cap Fund
o
Xxxxx Xxxxx Small-Cap Value Fund
o
Xxxxx Xxxxx Special Equities Fund
Xxxxx Xxxxx Variable Trust, a series fund consisting of:
o
Xxxxx Xxxxx VT Floating-Rate Income Fund
o
Xxxxx Xxxxx VT Large-Cap Value Fund
Xxxxx Xxxxx Closed-End Funds
o
Xxxxx Xxxxx California Municipal Bond Fund
o
Xxxxx Xxxxx California Municipal Bond Fund II
o
Xxxxx Xxxxx California Municipal Income Trust
o
Xxxxx Xxxxx Enhanced Equity Income Fund
o
Xxxxx Xxxxx Enhanced Equity Income Fund II
o
Xxxxx Xxxxx Floating-Rate Income Plus Fund
o
Xxxxx Xxxxx Floating-Rate Income Trust
o
Xxxxx Xxxxx Limited Duration Income Fund
o
Xxxxx Xxxxx Massachusetts Municipal Bond Fund
o
Xxxxx Xxxxx Massachusetts Municipal Income Trust
o
Xxxxx Xxxxx Michigan Municipal Bond Fund
o
Xxxxx Xxxxx Michigan Municipal Income Trust
o
Xxxxx Xxxxx Municipal Bond Fund
o
Xxxxx Xxxxx Municipal Bond Fund II
o
Xxxxx Xxxxx Municipal Income Term Trust
o
Xxxxx Xxxxx Municipal Income Trust
o
Xxxxx Xxxxx National Municipal Opportunities Trust
o
Xxxxx Xxxxx New Jersey Municipal Bond Fund
o
Xxxxx Xxxxx New Jersey Municipal Income Trust
o
Xxxxx Xxxxx New York Municipal Bond Fund
o
Xxxxx Xxxxx New York Municipal Bond Fund II
o
Xxxxx Xxxxx New York Municipal Income Trust
o
Xxxxx Xxxxx Ohio Municipal Bond Fund
o
Xxxxx Xxxxx Ohio Municipal Income Trust
o
Xxxxx Xxxxx Pennsylvania Municipal Bond Fund
o
Xxxxx Xxxxx Pennsylvania Municipal Income Trust
o
Xxxxx Xxxxx Risk-Managed Diversified Equity Income Fund
o
Xxxxx Xxxxx Senior Floating-Rate Trust
o
Xxxxx Xxxxx Senior Income Trust
o
Xxxxx Xxxxx Short Duration Diversified Income Fund
o
Xxxxx Xxxxx Tax-Advantaged Bond and Option Strategies Fund
o
Xxxxx Xxxxx Tax-Advantaged Dividend Income Fund
o
Xxxxx Xxxxx Tax-Advantaged Global Dividend Income Fund
o
Xxxxx Xxxxx Tax-Advantaged Global Dividend Opportunities Fund
o
Xxxxx Xxxxx Tax-Managed Buy-Write Income Fund
o
Xxxxx Xxxxx Tax-Managed Buy-Write Opportunities Fund
o
Xxxxx Xxxxx Tax-Managed Diversified Equity Income Fund
o
Xxxxx Xxxxx Tax-Managed Global Buy-Write Opportunities Fund
o
Xxxxx Xxxxx Tax-Managed Global Diversified Equity Income Fund
Xxxxx Xxxxx Portfolios
Asian Small Companies Portfolio
Bond Portfolio
Boston Income Portfolio
CMBS Portfolio
Currency Income Advantage Portfolio
Dividend Builder Portfolio
Emerging Markets Local Income Portfolio
Xxxxx Xxxxx Floating Rate Portfolio
Global Macro Absolute Return Advantage Portfolio
Global Macro Capital Opportunities Portfolio
Global Macro Portfolio
Global Opportunities Portfolio
Government Obligations Portfolio
Greater India Portfolio
High Income Opportunities Portfolio
Inflation-Linked Securities Portfolio
International Income Portfolio
Investment Grade Income Portfolio
Large-Cap Core Research Portfolio
Large-Cap Growth Portfolio
Large-Cap Value Portfolio
MSAM Completion Portfolio
MSAR Completion Portfolio
Parametric Market Neutral Portfolio
Senior Debt Portfolio
Short Duration High Income Portfolio
Short-Term U.S. Government Portfolio
XXXX-Cap Portfolio
Tax-Managed Growth Portfolio
Tax-Managed International Equity Portfolio
Tax-Managed Multi-Cap Growth Portfolio
Tax-Managed Small-Cap Portfolio
Tax-Managed Small Cap Value Portfolio
Tax-Managed Value Portfolio
Worldwide Health Sciences Portfolio
Xxxxx Xxxxx Fund Cayman Islands Wholly Owned Subsidiaries of SEC Registered Funds
Xxxxx Xxxxx CSF Commodity Subsidiary, Ltd.
Xxxxx Xxxxx DIF Commodity Subsidiary, Ltd.
Xxxxx Xxxxx AM Commodity Subsidiary, Ltd.
PSC Commodity Subsidiary, Ltd.
PBR Commodity Subsidiary, Ltd.
Xxxxx Xxxxx EVG Commodity Subsidiary, Ltd.
Xxxxx Xxxxx SIF Commodity Subsidiary, Ltd.
Xxxxx Xxxxx CIA Commodity Subsidiary, Ltd.
Xxxxx Xxxxx EMLIP Commodity Subsidiary, Ltd.
Xxxxx Xxxxx GMAP Commodity Subsidiary, Ltd.
Xxxxx Xxxxx GMP Commodity Subsidiary, Ltd.
Xxxxx Xxxxx GOP Commodity Subsidiary, Ltd.
Xxxxx Xxxxx IIP Commodity Subsidiary, Ltd.
Xxxxx Xxxxx MSAR Commodity Subsidiary, Ltd.
PSAR Commodity Subsidiary, Ltd