PURCHASE AGREEMENT
EXECUTION VERSION
Purchase Agreement dated December 15, 2014 between Oaktree Funds, a statutory trust organized under the laws of the State of Delaware (the “Trust”), on behalf of its series, Oaktree High Yield Bond Fund and Oaktree Emerging Markets Equity Fund (together, the “Funds”), and Oaktree Fund XX XX, L.P. (the “Sole Initial Shareholder”), a limited partnership organized under the laws of Delaware.
RECITALS:
WHEREAS, the Trust is an investment company registered under the Investment Company Act of 1940 (the “1940 Act”);
WHEREAS, the Trust proposes to issue and sell shares of beneficial interest of each Fund (each a “Share,” and more than one Share, “Shares”) to the public pursuant to a Registration Statement on Form N-1A (the “Registration Statement”) filed with the Securities and Exchange Commission;
WHEREAS, the Shares have not been registered for public offering under the Securities Act of 1933, as amended; and
WHEREAS, Section 14(a) of the 1940 Act requires a registered investment company to have a net worth of at least $100,000 before making a public offering of its securities.
NOW THEREFORE, the Trust and the Sole Initial Shareholder agree as follows:
1. | The Trust offers to sell to the Sole Initial Shareholder, and the Sole Initial Shareholder agrees to purchase from the Trust, such amount of Shares to be specified by the Trust for an aggregate price of not less than $100,000 to be allocated among each class of Shares of each Fund as set out in Schedule A, on a date to be specified by the Trust, prior to the effective date of the Registration Statement. |
2. | The Sole Initial Shareholder represents and warrants to the Trust that the Sole Initial Shareholder is acquiring the Shares for investment purposes only and for the Sole Initial Shareholder’s own account, and not with a view to or in connection with any resale or distribution of any or all of the Shares or of any interest therein or with the current intention to redeem the Shares. |
3. | The Sole Initial Shareholder’s right under this Purchase Agreement to purchase the Shares is not assignable. |
The Trust and the Sole Initial Shareholder have caused their duly authorized officers to execute this Purchase Agreement as of the date first above written.
on behalf of Oaktree High Yield Bond Fundand
Oaktree Emerging Markets Equity Fund
By:
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/s/ Xxxx Xxxx
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Name: Xxxx Xxxx
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Title: Secretary
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By:
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/s/ Xxxxxx Xxxxxxxxx
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Name: Xxxxxx Xxxxxxxxx
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Title: Assistant Secretary
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Oaktree Fund XX XX, L.P.
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By:
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/s/ Xxxx Xxxx
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Name:
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Xxxx Xxxx
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Title:
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Authorized Signatory
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By:
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/s/ Xxxxxx Xxxxxxxxx
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Name:
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Xxxxxx Xxxxxxxxx
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Title:
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Authorized Signatory
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Schedule A
AGGREGATE PURCHASE
Name of Shareholder
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Name of Fund
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Class of Shares
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Number of
Shares per Class |
Amount
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Oaktree Fund XX XX, L.P.
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Oaktree High Yield Bond Fund
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Advisor Class
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2,500
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$25,000
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Institutional Class
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2,500
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$25,000
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Oaktree Fund XX XX, L.P.
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Oaktree Emerging Markets Equity Fund
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Advisor Class
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2,500
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$25,000
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Institutional Class
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2,500
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$25,000
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