0000225843-10-000011 Sample Contracts

Contract
Custody Agreement • January 25th, 2010 • Sentinel Group Funds Inc

State Street Bank and Trust Company Attn: Custody Department 801 Pennsylvania Kansas City, MO 64105 Re: Custody Agreement dated October 1, 2000 Mark: This is to advise you that Sentinel Group Funds, Inc., in accordance with the Additional Portfolios provision of Section 10(B) of the Custody Agreement dated as of October 1, 2000, by and between the Sentinel Group Funds, Inc. and State Street Bank and Trust Company, hereby requests that your bank act as custodian for the portfolios listed on the updated Schedule A (attached hereto) under the terms of the aforementioned contract. Please indicate your acceptance of the foregoing by executing two copies of this letter agreement, returning one to Sentinel Group Funds, Inc. and retaining one for your records. Sincerely,

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Sentinel Funds Schedule A to Dealer Agreement Effective as of November 13, 2009
Dealer Agreement • January 25th, 2010 • Sentinel Group Funds Inc

Class A Shares: For Class A shares of the Sentinel Balanced, Sentinel Capital Growth, Sentinel Common Stock, Sentinel Conservative Allocation, Sentinel Growth Leaders, Sentinel International Equity, Sentinel Mid Cap Growth, Sentinel Mid Cap Value, Sentinel Small Company, Sentinel Small/Mid Cap, Sentinel Sustainable Core Opportunities and Sentinel Sustainable Growth Opportunities Funds, the sales charge as a percentage of the offering price and the payment to the dealer are shown below:

Sentinel Financial Services Company Dealer Agreement
Dealer Agreement • January 25th, 2010 • Sentinel Group Funds Inc

Sentinel Financial Services Company (“Sentinel Financial”) is the principal underwriter and distributor of the shares of common stock of each of the funds in Sentinel Group Funds, Inc. Such Funds are those enumerated in Schedule A hereto which may be amended from time to time by Sentinel Financial by written notice to you. Sentinel Financial invites your participation, under the following terms and conditions, in the distribution of the Funds, described in the prospectus and Statement of Additional Information, to which reference is hereby made for a full description of the securities.

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