SCHEDULE B TO THE DISTRIBUTION AGREEMENT (AMENDED AS OF NOVEMBER 10, 2005) MONEY MARKET FUNDSDistribution Agreement • December 15th, 2005 • JPMorgan Trust I
Contract Type FiledDecember 15th, 2005 Company
SCHEDULE B TO THE DISTRIBUTION AGREEMENT (AMENDED AS OF OCTOBER 31, 2005) MONEY MARKET FUNDSDistribution Agreement • August 3rd, 2005 • Jp Morgan Mutual Fund Investment Trust
Contract Type FiledAugust 3rd, 2005 Company
VAN ECK FUNDS 122 East 42nd Street New York, New York 10168Distribution Agreement • March 1st, 1999 • Van Eck Funds
Contract Type FiledMarch 1st, 1999 CompanyPursuant to Section I of the Distribution Agreement, dated July 30, 1985 (the "Agreement"), between Van Eck Funds (the"Trust") and Van Eck Securities Corporation (the "Distributor"), please be advised an additional series of the Trust, namely, Global Hard Assets Fund (the "Fund") has adopted the Agreement and retained the Distributor to render services contemplated by the Agreement for the Fund. The Fund will issue two classes of shares, namely, Class A and Class C shares. Class A Shares will be sold at "net asset value per share" plus a front-end sales charge and the Class C shares will be sold at "net asset value per share" plus a redemption charge for shares redeemed within twelve months of the date of purchase in accordance with the then current prospectus of the Trust, as from time to time amended.
RECITALSDistribution Agreement • July 1st, 1997 • American Century Variable Portfolios Inc
Contract Type FiledJuly 1st, 1997 Company
Dated: November 8, 1995 Schedule B to the Distribution Agreement between The Parkstone Group of Funds and BISYS Fund Services Limited Partnership (formerly The Winsbury Company Limited Partnership) Dated October 1, 1993Distribution Agreement • October 9th, 1996 • Parkstone Group of Funds /Oh/
Contract Type FiledOctober 9th, 1996 Company