Exhibit (h)(15)Amendment to Selling Group Agreement • July 31st, 2008 • Cash Account Trust
Contract Type FiledJuly 31st, 2008 CompanyThis amendment to the Agreement is entered into as of the date indicated in the signature block below, with an effective date of October 16, 2007, or such earlier date as of which you begin providing the Shareholder information described below, and includes the following provisions:
ADMINISTRATIVE SERVICES AGREEMENTAdministrative Services Agreement • July 31st, 2008 • Cash Account Trust • Massachusetts
Contract Type FiledJuly 31st, 2008 Company JurisdictionAGREEMENT, dated as of June 1, 2008, among Cash Account Trust, a Massachusetts business trust (the “Trust”), on its own behalf and on behalf of each of the Funds listed on Schedule I to this Agreement (each a “Fund” and together, the “Funds”), and Deutsche Investment Management Americas Inc., a Delaware corporation (the “Administrator”), effective with respect to each Fund as of the date set out with respect to such Fund on Schedule I to this Agreement, as may be amended from time to time.
INVESTMENT MANAGEMENT AGREEMENTInvestment Management Agreement • July 31st, 2008 • Cash Account Trust • Massachusetts
Contract Type FiledJuly 31st, 2008 Company JurisdictionAGREEMENT, dated as of June 1, 2008, among Cash Account Trust, a Massachusetts business trust (the “Trust”), on its own behalf and on behalf of each of the Funds listed on Schedule I to this Agreement (each a “Fund” and together, the “Funds”), and Deutsche Investment Management Americas Inc., a Delaware corporation (the “Adviser”), effective with respect to each Fund as of the date set out with respect to such Fund on Schedule I to this Agreement, as may be amended from time to time.
FUND ACCOUNTING SERVICES AGREEMENTFund Accounting Services Agreement • July 31st, 2008 • Cash Account Trust
Contract Type FiledJuly 31st, 2008 CompanyThis Amendment is made as of the 1st day of April, 2003, to each Fund Accounting Services Agreement listed on Schedule A (the “Agreement”) between the Funds listed thereon, on behalf of the Portfolios listed thereon (the “Funds”), and Scudder Fund Accounting Corporation (“Fund Accounting”).