SECURITIES LENDING AUTHORIZATION AGREEMENTSecurities Lending Authorization Agreement • May 1st, 2017 • Wilshire Mutual Funds Inc • Illinois
Contract Type FiledMay 1st, 2017 Company JurisdictionThis Agreement is by and among WILSHIRE MUTUAL FUNDS, INC. an open-end management investment company registered under the Investment Company Act of 1940 (herein referred to as the "Company"), on behalf of its existing and future separate investment portfolios or series identified on Schedule 1 hereto (as may be amended in writing from time to time, herein referred to each as a "Lending Fund"), WILSHIRE ASSOCIATES INCORPORATED, Adviser to the Lending Funds, and THE NORTHERN TRUST COMPANY, the custodian of each of the Lending Funds (herein referred to as "Agent"), and governs the lending of U.S. and non-U.S. securities ("Securities") by Agent as agent of any Lending Fund from one or more accounts of such Lending Fund in the custody of Agent. This Agreement includes as attachments Schedule A, the Borrower Schedule attached thereto, Schedule B (Collateral Guidelines), Schedule C (the Fee Schedule), and the current prospectus for the Northern Institutional Funds' Liquid Assets Portfolio at
SECURITIES LENDING AUTHORIZATION AGREEMENTSecurities Lending Authorization Agreement • April 21st, 2017 • Wilshire Variable Insurance Trust • Illinois
Contract Type FiledApril 21st, 2017 Company JurisdictionThis Agreement is by and among WILSHIRE VARIABLE INSURANCE TRUST, an open-end management investment company registered under the Investment Company Act of 1940 (herein referred to as the “Company”), on behalf of its existing and future separate investment portfolios or series identified on Schedule 1 hereto (as may be amended in writing from time to time, herein referred to each as a “Lending Fund”), WILSHIRE ASSOCIATES INCORPORATED, as Adviser to the Lending Funds, and THE NORTHERN TRUST COMPANY, the custodian of each of the Lending Funds (herein referred to as “Agent”), and governs the lending of U.S. and non-U.S. securities (“Securities”) by Agent as agent of any Lending Fund from one or more accounts of such Lending Fund in the custody of Agent. This Agreement includes as attachments Schedule A, the Borrower Schedule attached thereto, Schedule B (Collateral Guidelines), Schedule C (the Fee Schedule), and the current prospectus for the Northern Institutional Funds’ Liquid Assets Por